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https://en.wikipedia.org/wiki/Apocrypha
Apocrypha
Apocrypha is biblical or related writings not forming part of the accepted canon of Scripture. While some might be of doubtful authorship or authenticity, in Christianity, the word apocryphal (ἀπόκρυφος) was first applied to writings which were to be read privately rather than in the public context of church services. Apocrypha were edifying Christian works that were not considered canonical Scripture. It was not until well after the Protestant Reformation that the word apocrypha was used by some ecclesiastics to mean "false," "spurious," "bad," or "heretical." From a Protestant point of view, Biblical apocrypha are a set of texts included in the Septuagint, (the Hebrew Bible in Greek), used for over two-hundred years by Jews and by early Christians. After the fall of Jerusalem, the Jews restored the Hebrew language to their Bible. The books which were included in the Septuagint but not in the original Hebrew Bible were set apart and remained in Greek. Later, when Jerome translated the Canon of Scripture and produced the Latin Vulgate, he labelled those books as Apocrypha. Catholic and Orthodox Churches consider them to be canonical, some Protestants consider them apocryphal, that is, non-canonical books that are useful for instruction. Luther's Bible placed them in a separate section in between the Old Testament and New Testament called the Apocrypha, a convention followed by subsequent Protestant Bibles. Some non-canonical apocryphal texts are called pseudepigrapha, a term that means "false attribution". The modern English adjective "apocryphal" is often used to indicate that a writing on any topic is of doubtful authenticity; spurious, fictitious, false; fabulous or mythical. Etymology The word's origin is the Medieval Latin adjective (secret, or non-canonical) from the Greek adjective , , (private) from the verb , (to hide away). It comes from Greek and is formed from the combination of (away) and (hide or conceal). The word apocrypha has undergone a major change in meaning throughout the centuries. The word apocrypha in its ancient Christian usage originally meant a text read in private, rather than in public church settings. In English, it later came to have a sense of the esoteric, suspicious, or heretical, largely because of the Protestant interpretation of the usefulness of non-canonical texts. Esoteric writings and objects The word apocryphal () was first applied to writings which were kept secret because they were the vehicles of esoteric knowledge considered too profound or too sacred to be disclosed to anyone other than the initiated. For example, the disciples of the Gnostic Prodicus boasted that they possessed the secret () books of Zoroaster. The term in general enjoyed high consideration among the Gnostics (see Acts of Thomas, pp. 10, 27, 44). Sinologist Anna Seidel refers to texts and even items produced by ancient Chinese sages as apocryphal and studied their uses during Six Dynasties China (A.D. 220 to 589). These artifacts were used as symbols legitimizing and guaranteeing the Emperor's Heavenly Mandate. Examples of these include talismans, charts, writs, tallies, and registers. The first examples were stones, jade pieces, bronze vessels and weapons, but came to include talismans and magic diagrams. From their roots in Zhou era China (1066 to 256 BC), these items came to be surpassed in value by texts by the Han dynasty (206 BC to AD 220). Most of these texts have been destroyed as Emperors, particularly during the Han dynasty, collected these legitimizing objects and proscribed, forbade and burnt nearly all of them to prevent them from falling into the hands of political rivals. Writings of questionable value Apocrypha was also applied to writings that were hidden not because of their divinity but because of their questionable value to the church. The early Christian theologian Origen, in his Commentaries on Matthew, distinguishes between writings which were read by the churches and apocryphal writings: (writing not found in the common and published books on one hand [and] actually found in the secret ones on the other). The meaning of is here practically equivalent to "excluded from the public use of the church" and prepares the way for an even less favourable use of the word. Spurious writings In general use, the word apocrypha came to mean "of doubtful authenticity". This meaning also appears in Origen's prologue to his commentary on the Song of Songs, of which only the Latin translation survives: Other The Gelasian Decree (generally held now as being the work of an anonymous scholar between 519 and 553) refers to religious works by church fathers Eusebius, Tertullian and Clement of Alexandria as apocrypha. Augustine defined the word as meaning simply "obscurity of origin", implying that any book of unknown authorship or questionable authenticity would be considered apocryphal. Jerome in Prologus Galeatus declared that all books outside the Hebrew canon were apocryphal. In practice, Jerome treated some books outside the Hebrew canon as if they were canonical, and the Western Church did not accept Jerome's definition of apocrypha, instead retaining the word's prior meaning. As a result, various church authorities labeled different books as apocrypha, treating them with varying levels of regard. Origen stated that "the canonical books, as the Hebrews have handed them down, are twenty-two". Clement and others cited some apocryphal books as "scripture", "divine scripture", "inspired", and the like. Teachers connected with Palestine and familiar with the Hebrew canon (the protocanon) excluded from the canon all of the Old Testament not found there. This view is reflected in the canon of Melito of Sardis, and in the prefaces and letters of Jerome. A third view was that the books were not as valuable as the canonical scriptures of the Hebrew collection, but were of value for moral uses, as introductory texts for new converts from paganism, and to be read in congregations. They were referred to as "ecclesiastical" works by Rufinus. In 1546, the Catholic Council of Trent reconfirmed the canon of Augustine, dating to the second and third centuries, declaring "He is also to be anathema who does not receive these entire books, with all their parts, as they have been accustomed to be read in the Catholic Church, and are found in the ancient editions of the Latin Vulgate, as sacred and canonical." The whole of the books in question, with the exception of 1 Esdras and 2 Esdras and the Prayer of Manasseh, were declared canonical at Trent. The Protestants, in comparison, were diverse in their opinion of the deuterocanon early on. Some considered them divinely inspired, others rejected them. Lutherans and Anglicans retained the books as Christian intertestamental readings and a part of the Bible (in a section called "Apocrypha"), but no doctrine should be based on them. John Wycliffe, a 14th-century Christian Humanist, had declared in his biblical translation that "whatever book is in the Old Testament besides these twenty-five shall be set among the apocrypha, that is, without authority or belief." Nevertheless, his translation of the Bible included the apocrypha and the Epistle of the Laodiceans. Martin Luther did not class apocryphal books as being scripture, but in the German Luther Bible (1534) the apocrypha are published in a separate section from the other books, although the Lutheran and Anglican lists are different. Anabaptists use the Luther Bible, which contains the intertestamental books; Amish wedding ceremonies include "the retelling of the marriage of Tobias and Sarah in the Apocrypha". The fathers of Anabaptism, such as Menno Simons, quoted "them [the Apocrypha] with the same authority and nearly the same frequency as books of the Hebrew Bible" and the texts regarding the martyrdoms under Antiochus IV in 1 Maccabees and 2 Maccabees are held in high esteem by the Anabaptists, who faced persecution in their history. In Reformed editions (like the Westminster), readers were warned that these books were not "to be any otherwise approved or made use of than other human writings". A milder distinction was expressed elsewhere, such as in the "argument" introducing them in the Geneva Bible, and in the Sixth Article of the Church of England, where it is said that "the other books the church doth read for example of life and instruction of manners," though not to establish doctrine. Among some Nonconformists, the term apocryphal began to take on extra or altered connotations: not just of dubious authenticity, but having spurious or false content, Protestants, being diverse in theological views, were not unanimous in adopting those meanings. Generally, Anabaptists and magisterial Protestants recognize the fourteen books of the Apocrypha as being non-canonical, but useful for reading "for example of life and instruction of manners": a view that continues today throughout the Lutheran Church, the worldwide Anglican Communion, among many other denominations, such as the Methodist Churches and Quaker Yearly Meetings. Liturgically, the Catholic, Methodist and Anglican churches have a scripture reading from the Book of Tobit in services of Holy Matrimony. According to the Orthodox Anglican Church: Though Protestant Bibles historically include 80 books, 66 of these form the Protestant canon (such as listed in the Westminster Confession of 1646), which has been well established for centuries, with many today supporting the use of the Apocrypha and others contending against the Apocrypha using various arguments. Metaphorical usage The adjective apocryphal is commonly used in modern English to refer to any text or story considered to be of dubious veracity or authority, although it may contain some moral truth. In this broader metaphorical sense, the word suggests a claim that is in the nature of folklore, factoid or urban legend. Buddhism Apocryphal Jatakas of the Pāli Canon, such as those belonging to the Paññāsajātaka collection, have been adapted to fit local culture in certain Southeast Asian countries and have been retold with amendments to the plots to better reflect Buddhist morals. Within the Pali tradition, the apocryphal Jatakas of later composition (some dated even to the 19th century) are treated as a separate category of literature from the "official" Jataka stories that have been more-or-less formally canonized from at least the 5th century—as attested to in ample epigraphic and archaeological evidence, such as extant illustrations in bas relief from ancient temple walls. Judaism The Jewish apocrypha, known in Hebrew as הספרים החיצונים (Sefarim Hachizonim: "the external books"), are books written in large part by Jews, especially during the Second Temple period, not accepted as sacred manuscripts when the Hebrew Bible was canonized. Some of these books are considered sacred by some Christians, and are included in their versions of the Old Testament. The Jewish apocrypha is distinctive from the New Testament apocrypha and biblical apocrypha as it is the only one of these collections which works within a Jewish theological framework. Although Orthodox Jews believe in the exclusive canonization of the current 24 books in the Hebrew Bible, they also consider the Oral Torah, which they believe was handed down from Moses, to be authoritative. Some argue that the Sadducees, unlike the Pharisees but like the Samaritans, seem to have maintained an earlier and smaller number of texts as canonical, preferring to hold to only what was written in the Law of Moses (the Torah), making most of the presently accepted canon, both Jewish and Christian, apocryphal in their eyes. Others believe that it is often mistakenly asserted that the Sadducees only accepted the Pentateuch (Torah). The Essenes in Judea and the Therapeutae in Egypt were said to have a secret literature (see Dead Sea scrolls). Other traditions maintained different customs regarding canonicity. The Ethiopian Jews, for instance, seem to have retained a spread of canonical texts similar to the Ethiopian Orthodox Christians. Christianity Intertestamental books During the Apostolic Age many Jewish texts of Hellenistic origin existed within Judaism and were frequently used by Christians. Patristic authorities frequently recognized these books as important to the emergence of Christianity, but the inspired authority and value of the apocrypha remained widely disputed. Christians included several of these books in the canons of the Christian Bibles, calling them the "apocrypha" or the "hidden books". In the sixteenth century, during the Protestant Reformation, the canonical validity of the intertestamental books was challenged and fourteen books were classed in 80 book Protestant Bibles as an intertestamental section called the Apocrypha, which straddles the Old Testament and New Testament. Prior to 1629, all English-language Protestant Bibles included the Old Testament, Apocrypha, and New Testament; examples include the "Matthew's Bible (1537), the Great Bible (1539), the Geneva Bible (1560), the Bishop's Bible (1568), and the King James Bible (1611)". Fourteen out of eighty biblical books comprise the Protestant Apocrypha, first published as such in Luther's Bible (1534). Many of these texts are considered canonical Old Testament books by the Catholic Church, affirmed by the Council of Rome (AD 382) and later reaffirmed by the Council of Trent (1545–63); all of the books of the Protestant Apocrypha are considered canonical by the Eastern Orthodox Church and are referred to as anagignoskomena per the Synod of Jerusalem (1672). To this date, scripture readings from the Apocrypha are included in the lectionaries of the Lutheran Churches and the Anglican Churches. Anabaptists use the Luther Bible, which contains the intertestamental books; Amish wedding ceremonies include "the retelling of the marriage of Tobias and Sarah in the Apocrypha". The Anglican Communion accepts the Protestant Apocrypha "for instruction in life and manners, but not for the establishment of doctrine (Article VI in the Thirty-Nine Articles)", and many "lectionary readings in The Book of Common Prayer are taken from the Apocrypha", with these lessons being "read in the same ways as those from the Old Testament". The first Methodist liturgical book, The Sunday Service of the Methodists, employs verses from the Apocrypha, such as in the Eucharistic liturgy. The Protestant Apocrypha contains three books (1 Esdras, 2 Esdras and the Prayer of Manasseh) that are accepted by many Eastern Orthodox Churches and Oriental Orthodox Churches as canonical, but are regarded as non-canonical by the Catholic Church and are therefore not included in modern Catholic Bibles. In the 1800s, the British and Foreign Bible Society did not regularly publish the intertestamental section in its Bibles, citing the cost of printing the Apocrypha in addition to the Old Testament and New Testament as a major factor; this legacy came to characterize English-language Bibles in Great Britain and the Americas, unlike in Europe where Protestant Bibles are printed with 80 books in three sections: the Old Testament, Apocrypha, and New Testament. In the present-day, "English Bibles with the Apocrypha are becoming more popular again", usually being printed as intertestamental books. The Revised Common Lectionary, in use by most mainline Protestants including Methodists and Moravians, lists readings from the Apocrypha in the liturgical calendar, although alternate Old Testament scripture lessons are provided. The status of the deuterocanonicals remains unchanged in Catholic and Orthodox Christianity, though there is a difference in number of these books between these two branches of Christianity. Some authorities began using term deuterocanonical to refer to this traditional intertestamental collection as books of "the second canon". These books are often seen as helping to explain the theological and cultural transitions which took place between the Old and New Testaments. They are also sometimes called "intertestamental" by religious groups who do not recognize Hellenistic Judaism as belonging with either Jewish or Christian testaments. Slightly varying collections of apocryphal, deuterocanonical or intertestamental books of the Bible form part of the Catholic, Eastern Orthodox and Oriental Orthodox canons. The deuterocanonical or intertestamental books of the Catholic Church include Tobit, Judith, Baruch, Sirach, 1 Maccabees, 2 Maccabees, Wisdom and additions to Esther, Daniel, and Baruch. The Book of Enoch is included in the biblical canon of the Oriental Orthodox churches of Ethiopia and Eritrea. The Epistle of Jude alludes to a story in the book of Enoch, and some believe the use of this book also appears in the four gospels and 1 Peter. However, while Jesus and his disciples sometimes used phrases also featured in some of the Apocryphal books, the Book of Enoch was never referenced by Jesus. The genuineness and inspiration of Enoch were believed in by the writer of the Epistle of Barnabas, Irenaeus, Tertullian and Clement of Alexandria and many others of the early church. The Epistles of Paul and the Gospels also show influences from the Book of Jubilees, which is part of the Ethiopian canon, as well as the Assumption of Moses and the Testaments of the Twelve Patriarchs, which are included in no biblical canon. Canonicity The establishment of a largely settled uniform canon was a process of centuries, and what the term canon (as well as apocrypha) precisely meant also saw development. The canonical process took place with believers recognizing writings as being inspired by God from known or accepted origins, subsequently being followed by official affirmation of what had become largely established through the study and debate of the writings. The first ecclesiastical decree on the Catholic Church's canonical books of the Sacred Scriptures is attributed to the Council of Rome (382), and is correspondent to that of Trent. Martin Luther, like Jerome, favored the Masoretic canon for the Old Testament, excluding apocryphal books in the Luther Bible as unworthy to be properly called scripture, but included most of them in a separate section. Luther did not include the deuterocanonical books in his Old Testament, terming them "Apocrypha, that are books which are not considered equal to the Holy Scriptures, but are useful and good to read." The Eastern Orthodox Church accepts four other books into its canon than what are contained in the Catholic canon: Psalm 151, the Prayer of Manasseh, 3 Maccabees, and 1 Esdras. Disputes The status of the books which the Catholic Church terms Deuterocanonicals (second canon) and Protestantism refers to as Apocrypha has been an issue of disagreement which preceded the Reformation. Many believe that the pre-Christian-era Jewish translation (into Greek) of holy scriptures known as the Septuagint, a Greek translation of the Hebrew Scriptures originally compiled around 280 BC, originally included the apocryphal writings in dispute, with little distinction made between them and the rest of the Old Testament. Others argue that the Septuagint of the first century did not contain these books but they were added later by Christians. The earliest extant manuscripts of the Septuagint are from the fourth century, and suffer greatly from a lack of uniformity as regards containing apocryphal books, and some also contain books classed as pseudepigrapha, from which texts were cited by some early writers in the second and later centuries as being scripture. While a few scholars conclude that the Jewish canon was the achievement of the Hasmonean dynasty, it is generally considered not to have been finalized until about 100 AD or somewhat later, at which time considerations of Greek language and beginnings of Christian acceptance of the Septuagint weighed against some of the texts. Some were not accepted by the Jews as part of the Hebrew Bible canon and the Apocrypha is not part of the historical Jewish canon. Early church fathers such as Athanasius, Melito, Origen, and Cyril of Jerusalem, spoke against the canonicity of much or all of the apocrypha, but the most weighty opposition was the fourth century Catholic scholar Jerome who preferred the Hebrew canon, whereas Augustine and others preferred the wider (Greek) canon, with both having followers in the generations that followed. The Catholic Encyclopedia states as regards the Middle Ages, The prevailing attitude of Western medieval authors is substantially that of the Greek Fathers. The wider Christian canon accepted by Augustine became the more established canon in the western Church after being promulgated for use in the Easter Letter of Athanasius (circa 372 A.D.), the Synod of Rome (382 A.D., but its Decretum Gelasianum is generally considered to be a much later addition) and the local councils of Carthage and Hippo in north Africa (391 and 393 A.D). Athanasius called canonical all books of the Hebrew Bible including Baruch, while excluding Esther. He adds that "there are certain books which the Fathers had appointed to be read to catechumens for edification and instruction; these are the Wisdom of Solomon, the Wisdom of Sirach (Ecclesiasticus), Esther, Judith, Tobias, the Didache, or Doctrine of the Apostles, and the Shepherd of Hermas. All others are apocrypha and the inventions of heretics (Festal Epistle for 367)". Nevertheless, none of these constituted indisputable definitions, and significant scholarly doubts and disagreements about the nature of the Apocrypha continued for centuries and even into Trent, which provided the first infallible definition of the Catholic canon in 1546. This canon came to see appropriately 1,000 years of nearly uniform use by the majority, even after the 11th-century schism that separated the church into the branches known as the Roman Catholic and Eastern Orthodox churches. In the 16th century, the Protestant reformers challenged the canonicity of the books and partial-books found in the surviving Septuagint but not in the Masoretic Text. In response to this challenge, after the death of Martin Luther (February 8, 1546) the ecumenical Council of Trent officially ("infallibly") declared these books (called "deuterocanonical" by Catholics) to be part of the canon in April, 1546 A.D. While the Protestant Reformers rejected the parts of the canon that were not part of the Hebrew Bible, they included the four New Testament books Luther considered of doubtful canonicity along with the Apocrypha in his non-binding Luther's canon (although most were separately included in his Bible, as they were in some editions of the KJV bible until 1947). Protestantism therefore established a 66 book canon with the 39 books based on the ancient Hebrew canon, along with the traditional 27 books of the New Testament. Protestants also rejected the Catholic term "deuterocanonical" for these writings, preferring to apply the term "apocryphal" which was already in use for other early and disputed writings. As today (but along with other reasons), various reformers argued that those books contained doctrinal or other errors and thus should not have been added to the canon for that reason. The differences between canons can be seen under Biblical canon and Development of the Christian biblical canon. Explaining the Eastern Orthodox Church's canon is made difficult because of differences of perspective with the Roman Catholic church in the interpretation of how it was done. Those differences (in matters of jurisdictional authority) were contributing factors in the separation of the Roman Catholics and Orthodox around 1054, but the formation of the canon which Trent would later officially definitively settle was largely complete by the fifth century, if not settled, six centuries before the separation. In the eastern part of the church, it took much of the fifth century also to come to agreement, but in the end it was accomplished. The canonical books thus established by the undivided church became the predominant canon for what was later to become Roman Catholic and Eastern Orthodox alike. The East already differed from the West in not considering every question of canon yet settled, and it subsequently adopted a few more books into its Old Testament. It also allowed consideration of yet a few more to continue not fully decided, which led in some cases to adoption in one or more jurisdictions, but not all. Thus, there are today a few remaining differences of canon among Orthodox, and all Orthodox accept a few more books than appear in the Catholic canon. The Psalms of Solomon, 3 Maccabees, 4 Maccabees, the Epistle of Jeremiah the Book of Odes, the Prayer of Manasseh and Psalm 151 are included in some copies of the Septuagint, some of which are accepted as canonical by Eastern Orthodox and some other churches. Protestants accept none of these additional books as canon, but see them having roughly the same status as the other Apocrypha. Eastern Orthodoxy uses a different definition than the Roman Catholic Church does for the books of its canon that it calls deuterocanonical, referring to them as a class of books with less authority than other books of the Old Testament. In contrast, the Catholic Church uses this term to refer to a class of books that were added to its canon later than the other books in its Old Testament canon, considering them all of equal authority. New Testament apocrypha New Testament apocrypha—books similar to those in the New Testament but almost universally rejected by Catholics, Orthodox and Protestants—include several gospels and lives of apostles. Some were written by early Jewish Christians (see the Gospel according to the Hebrews). Others of these were produced by Gnostic authors or members of other groups later defined as heterodox. Many texts believed lost for centuries were unearthed in the 19th and 20th centuries, producing lively speculation about their importance in early Christianity among religious scholars, while many others survive only in the form of quotations from them in other writings; for some, no more than the title is known. Artists and theologians have drawn upon the New Testament apocrypha for such matters as the names of Dismas and Gestas and details about the Three Wise Men. The first explicit mention of the perpetual virginity of Mary is found in the pseudepigraphical Infancy Gospel of James. Before the fifth century, the Christian writings that were then under discussion for inclusion in the canon but had not yet been accepted were classified in a group known as the ancient antilegomenae. These were all candidates for the New Testament and included several books which were eventually accepted, such as: The Epistle to the Hebrews, 2 Peter, 3 John and the Revelation of John (Apocalypse). None of those accepted books can be considered Apocryphal now, since all Christendom accepts them as canonical. Of the uncanonized ones, the Early Church considered some heretical but viewed others quite well. Some Christians, in an extension of the meaning, might also consider the non-heretical books to be "apocryphal" along the manner of Martin Luther: not canon, but useful to read. This category includes books such as the Epistle of Barnabas, the Didache, and The Shepherd of Hermas which are sometimes referred to as the Apostolic Fathers. The Gnostic tradition was a prolific source of apocryphal gospels. While these writings borrowed the characteristic poetic features of apocalyptic literature from Judaism, Gnostic sects largely insisted on allegorical interpretations based on a secret apostolic tradition. With them, these apocryphal books were highly esteemed. A well-known Gnostic apocryphal book is the Gospel of Thomas, the only complete text of which was found in the Egyptian town of Nag Hammadi in 1945. The Gospel of Judas, a Gnostic gospel, also received much media attention when it was reconstructed in 2006. Roman Catholics, Eastern Orthodox, and Protestants all agree on the canon of the New Testament. The Ethiopian Orthodox have in the past also included I & II Clement and Shepherd of Hermas in their New Testament canon. List of Sixty The List of Sixty, dating to around the 7th century, lists the sixty books of the Bible. The unknown author also lists many apocryphal books that are not included amongst the sixty. These books are: Adam Enoch Lamech Twelve Patriarchs Prayer of Joseph Eldad and Modad Testament of Moses Assumption of Moses Psalms of Solomon Apocalypse of Elijah Ascension of Isaiah Apocalypse of Zephaniah Apocalypse of Zechariah Apocalyptic Ezra History of James Apocalypse of Peter Itinerary and Teaching of the Apostles Epistle of Barnabas Acts of Paul Apocalypse of Paul Didascalia of Clement Didascalia of Ignatius Didascalia of Polycarp Gospel According to Barnabas Gospel According to Matthew Taoism Prophetic texts called the Ch'an-wei were written by Han Dynasty (206 BC to AD 220) Taoist priests to legitimize as well as curb imperial power. They deal with treasure objects that were part of the Zhou (1066 to 256 BC) royal treasures. Emerging from the instability of the Warring States period (476–221 BC), ancient Chinese scholars saw the centralized rule of the Zhou as an ideal model for the new Han empire to emulate. The Ch'an-wei are texts written by Han scholars about the Zhou royal treasures, only they were not written to record history for its own sake, but for legitimizing the current imperial reign. These texts took the form of stories about texts and objects being conferred upon the Emperors by Heaven and comprising these ancient sage-king's (this is how the Zhou emperors were referred to by this time, about 500 years after their peak) royal regalia. The desired effect was to confirm the Han emperor's Heavenly Mandate through the continuity offered by his possession of these same sacred talismans. It is because of this politicized recording of their history that it is difficult to retrace the exact origins of these objects. What is known is that these texts were most likely produced by a class of literati called the fangshi. These were a class of nobles who were not part of the state administration; they were considered specialists or occultists, for example diviners, astrologers, alchemists or healers. It is from this class of nobles that the first Taoist priests are believed to have emerged. Seidel points out however that the scarcity of sources relating to the formation of early Taoism make the exact link between the apocryphal texts and the Taoist beliefs unclear. See also List of Gospels Lost work Occult Shakespeare apocrypha Notes References Citations Sources External links Alin Suciu's blog on various Coptic apocrypha The Apocrypha is in the religion section at the e.Lib. Noncanonical Literature Complete NT Apocrypha Claims to be the largest collection of New Testament apocrypha online Deuterocanonical books - Full text from Saint Takla Haymanot Church Website (also presents the full text in Arabic) LDS Bible Dictionary - Apocrypha – Definition & LDS POV, including brief book descriptions. Aldenicum The Trilogy, an apocryphal view on life and reality around us. Christian Cyclopedia article on Apocrypha New Testament Allusions to Apocrypha and Pseudepigrapha Canon Comparison Chart EarlyChristianWritings.com A chronological list of early Christian books and letters, both complete and incomplete works; canonical, apocryphal and Gnostic. Many with links to English translations. Christian terminology
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https://en.wikipedia.org/wiki/Antarctic%20Treaty%20System
Antarctic Treaty System
The Antarctic Treaty and related agreements, collectively known as the Antarctic Treaty System (ATS), regulate international relations with respect to Antarctica, Earth's only continent without a native human population. It was the first arms control agreement established during the Cold War, setting aside the continent as a scientific preserve, establishing freedom of scientific investigation, and banning military activity; for the purposes of the treaty system, Antarctica is defined as all the land and ice shelves south of 60°S latitude. Since September 2004, the Antarctic Treaty Secretariat, which implements the treaty system, is headquartered in Buenos Aires, Argentina. The main treaty was opened for signature on 1 December 1959, and officially entered into force on 23 June 1961. The original signatories were the 12 countries active in Antarctica during the International Geophysical Year (IGY) of 1957–58: Argentina, Australia, Belgium, Chile, France, Japan, New Zealand, Norway, South Africa, the Soviet Union, the United Kingdom, and the United States. These countries had established over 55 Antarctic research stations for the IGY, and the subsequent promulgation of the treaty was seen as a diplomatic expression of the operational and scientific cooperation that had been achieved. , the treaty has 56 parties. History 1940s After World War II, the U.S. considered establishing a claim in Antarctica. From 26 August 1946, and until the beginning of 1947, it carried out Operation Highjump, the largest military expeditionary force that the United States had ever sent to Antarctica, consisting of 13 ships, 4,700 men, and numerous aerial devices. Its goals were to train military personnel and to test material in conditions of extreme cold for a hypothetical war in the Antarctic. On 2 September 1947, the quadrant of Antarctica in which the United States was interested (between 24° W and 90° W) was included as part of the security zone of the Inter-American Treaty of Reciprocal Assistance, committing its members to defend it in case of external aggression. In August 1948, the United States proposed that Antarctica be under the guardianship of the United Nations, as a trust territory administered by Argentina, Australia, Chile, France, the United States, the United Kingdom, and New Zealand. This idea was rejected by Argentina, Australia, Chile, France, and Norway. Before the rejection, on 28 August 1948, the United States proposed to the claimant countries some form of internationalization of Antarctica, and the United Kingdom supported this. Chile responded by presenting a plan to suspend all Antarctic claims for five to ten years while negotiating a final solution, but this did not find acceptance. In 1950, the interest of the United States to keep the Soviet Union away from Antarctica was frustrated, when the Soviets informed the claimant states that they would not accept any Antarctic agreement in which they were not represented. The fear that the USSR would react by making a territorial claim, bringing the Cold War to Antarctica, led the United States to make none. International conflicts Various international conflicts motivated the creation of an agreement for the Antarctic. Some incidents had occurred during the Second World War, and a new one occurred in Hope Bay on 1 February 1952, when the Argentine military fired warning shots at a group of Britons. The response of the United Kingdom was to send a warship that landed marines at the scene on 4 February. In 1949, Argentina, Chile, and the United Kingdom signed a Tripartite Naval Declaration committing not to send warships south of the 60th parallel south, which was renewed annually until 1961 when it was deemed unnecessary when the treaty entered into force. This tripartite declaration was signed after the tension generated when Argentina sent a fleet of eight warships to Antarctica in February 1948. On 17 January 1953, Argentina reopened the Lieutenant Lasala refuge on Deception Island, leaving a sergeant and a corporal in the Argentine Navy. On 15 February, in the incident on Deception Island, 32 royal marines landed from the British frigate HMS Snipe armed with Sten machine guns, rifles, and tear gas capturing the two Argentine sailors. The Argentine refuge and a nearby uninhabited Chilean shelter were destroyed, and the Argentine sailors were delivered to a ship from that country on 18 February near South Georgia. A British detachment remained three months on the island while the frigate patrolled its waters until April. On 4 May 1955, the United Kingdom filed two lawsuits, against Argentina and Chile respectively, before the International Court of Justice to declare the invalidity of the claims of the sovereignty of the two countries over Antarctic and sub-Antarctic areas. On 15 July 1955, the Chilean government rejected the jurisdiction of the court in that case, and on 1 August, the Argentine government also did so, so on 16 March 1956, the claims were closed. In 1956 and 1958, India tried unsuccessfully to bring the Antarctic issue to the United Nations General Assembly. International Geophysical Year In 1950, the International Council of Scientific Unions (ICSU) had discussed the possibility of holding a third International Polar Year. At the suggestion of the World Meteorological Organization, the idea of the International Polar Year was extended to the entire planet, thus creating the International Geophysical Year that took place between 1 July 1957, and 31 December 1958. In this event, 66 countries participated. At the ICSU meeting in Stockholm from 9 to 11 September 1957, the creation of a Special Committee for Antarctic Research (SCAR) was approved, inviting the twelve countries conducting Antarctic investigations to send delegates to integrate the committee, with the purpose of exchanging scientific information among its members regarding Antarctica. The SCAR was later renamed to the Scientific Committee for Research in Antarctica. Both Argentina and Chile stated that research carried out on the continent during the International Geophysical Year would not give any territorial rights to the participants, and that the facilities that were erected during that year should be dismantled at the end of it. However, in February 1958, the United States proposed that the Antarctic investigations should be extended for another year, and the Soviet Union reported that it would maintain its scientific bases until the studies being carried out had been completed. Negotiation of the treaty Scientific bases increased international tension concerning Antarctica. The danger of the Cold War spreading to that continent caused the President of the United States, Dwight D. Eisenhower, to convene an Antarctic Conference of the twelve countries active in Antarctica during the International Geophysical Year, to sign a treaty. In the first phase, representatives of the twelve nations met in Washington, who met in sixty sessions between June 1958 and October 1959 to define a basic negotiating framework. However, no consensus was reached on a preliminary draft. In the second phase, a conference at the highest diplomatic level was held from 15 October to 1 December 1959, when the Treaty was signed. The Antarctic Treaty was signed in 1959 by 12 nations and came into effect in the mid-1960s. The central ideas with full acceptance were the freedom of scientific research in Antarctica and the peaceful use of the continent. There was also a consensus for demilitarization and the maintenance of the status quo. The treaty prohibits nuclear testing, military operations, economic exploitation, and territorial claims in Antarctica. It is monitored through on-site inspections. The only permanent structures allowed are scientific research stations. The original signatory countries hold voting rights on Antarctic governance, with seven of them claiming portions of the continent and the remaining five being non-claimants. Other nations have joined as consultative members by conducting significant research in Antarctica. Non-consultative parties can also adhere to the treaty. In 1991-1992, the treaty was renegotiated by 33 nations, with the main change being the Madrid Protocol on Environmental Protection, which prohibited mining and oil exploration for 50 years. The positions of the United States, the Soviet Union, the United Kingdom, and New Zealand coincided in the establishment of an international administration for Antarctica, proposing that it should be within the framework of the United Nations. Australia and the United Kingdom expressed the need for inspections by observers, and the British also proposed the use of military personnel for logistical functions. Argentina proposed that all atomic explosions be banned in Antarctica, which caused a crisis that lasted until the last day of the conference, since the United States, along with other countries, intended to ban only those that were made without prior notice and without prior consultation. The support of the USSR and Chile for the Argentine proposal finally caused the United States to retract its opposition. The signing of the treaty was the first arms control agreement that occurred in the framework of the Cold War, and the participating countries managed to avoid the internationalization of Antarctic sovereignty. As of the year 2048, any of the consultative parties to the treaty may request the revision of the treaty and its entire normative system, with the approval of a relative majority. Other agreements Other agreements – some 200 recommendations adopted at treaty consultative meetings and ratified by governments – include: Agreed Measures for the Conservation of Antarctic Fauna and Flora (1964) (entered into force in 1982) The Convention for the Conservation of Antarctic Seals (1972) The Convention for the Conservation of Antarctic Marine Living Resources (1982) The Convention on the Regulation of Antarctic Mineral Resource Activities (1988) (signed in 1988, not in force) The Protocol on Environmental Protection to the Antarctic Treaty was signed 4 October 1991, and entered into force 14 January 1998; this agreement prevents development and provides for the protection of the Antarctic environment through five specific annexes on marine pollution, fauna and flora, environmental impact assessments, waste management, and protected areas. It prohibits all activities relating to mineral resources except scientific. A sixth annex on liability arising from environmental emergencies was adopted in 2005, but is yet to enter into force. Bilateral treaties Exchange of Notes constituting an Agreement between the Governments of Australia, New Zealand and the United Kingdom of Great Britain and Northern Ireland, and the Government of the French Republic, regarding Aerial Navigation in the Antarctic (Paris, 25 October 1938) Treaty Between the Government of Australia and the Government of the French Republic on Cooperation in the Maritime Areas Adjacent to the French Southern and Antarctic Territories (TAAF), Heard Island and the McDonald Islands (Canberra, 24 November 2003) Agreement on Cooperative Enforcement of Fisheries Laws between the Government of Australia and the Government of the French Republic in the Maritime Areas Adjacent to the French Southern and Antarctic Territories, Heard Island and the McDonald Islands (Paris, 8 January 2007) Meetings The Antarctic Treaty System's yearly Antarctic Treaty Consultative Meetings (ATCM) are the international forum for the administration and management of the region. Only 29 of the 56 parties to the agreements have the right to participate in decision-making at these meetings, though the other 27 are still allowed to attend. The decision-making participants are the Consultative Parties and, in addition to the 12 original signatories, including 17 countries that have demonstrated their interest in Antarctica by carrying out substantial scientific activity there. The Antarctic Treaty also has Special Antarctic Treaty Consultative Meetings (SATCM), which are generally summoned to treat more important topics but are less frequents and Meetings of Experts. Parties As of 2023, there are 56 states party to the treaty, 29 of which, including all 12 original signatories to the treaty, have consultative (voting) status. The consultative members include the 7 countries that claim portions of Antarctica as their territory. The 49 non-claimant countries do not recognize the claims of others. 42 parties to the Antarctic Treaty have also ratified the "Protocol on Environmental Protection to the Antarctic Treaty". Overview of parties to the Antarctic Treaty System * Has an overlapping claim with another one or two claimants. † Reserved the right to make a claim. Antarctic Treaty Secretariat The Antarctic Treaty Secretariat was established in Buenos Aires, Argentina in September 2004 by the Antarctic Treaty Consultative Meeting (ATCM). Jan Huber (the Netherlands) served as the first Executive Secretary for five years until 31 August 2009. He was succeeded on 1 September 2009, by Manfred Reinke (Germany). Reinke was succeeded by Albert Lluberas (Uruguay), who was elected in June 2017 at the 40th Antarctic Consultative Treaty Meeting in Beijing, China. The tasks of the Antarctic Treaty Secretariat can be divided into the following areas: Supporting the annual Antarctic Treaty Consultative Meeting (ATCM) and the meeting of the Committee for Environmental Protection (CEP). Facilitating the exchange of information between the Parties required in the Treaty and the Environment Protocol. Collecting, storing, arranging and publishing the documents of the ATCM. Providing and disseminating public information about the Antarctic Treaty system and Antarctic activities. Legal system Antarctica currently has no permanent population and therefore it has no citizenship nor government. Personnel present on Antarctica at any time are always citizens or nationals of some sovereignty outside Antarctica, as there is no Antarctic sovereignty. The majority of Antarctica is claimed by one or more countries, but most countries do not explicitly recognize those claims. The area on the mainland between 90 degrees west and 150 degrees west is the only major land on Earth not claimed by any country. Until 2015 the interior of the Norwegian Sector, the extent of which had never been officially defined, was considered to be unclaimed. That year, Norway formally laid claim to the area between its Queen Maud Land and the South Pole. Governments that are party to the Antarctic Treaty and its Protocol on Environmental Protection implement the articles of these agreements, and decisions taken under them, through national laws. These laws generally apply only to their own citizens, wherever they are in Antarctica, and serve to enforce the consensus decisions of the consultative parties: about which activities are acceptable, which areas require permits to enter, what processes of environmental impact assessment must precede activities, and so on. The Antarctic Treaty is often considered to represent an example of the common heritage of mankind principle. Australia Since the designation of the Australian Antarctic Territory pre-dated the signing of the Antarctic Treaty, Australian laws that relate to Antarctica date from more than two decades before the Antarctic Treaty era. In terms of criminal law, the laws that apply to the Jervis Bay Territory (which follows the laws of the Australian Capital Territory) apply to the Australian Antarctic Territory. Key Australian legislation applying Antarctic Treaty System decisions include the Antarctic Treaty Act 1960, the Antarctic Treaty (Environment Protection) Act 1980 and the Antarctic Marine Living Resources Conservation Act 1981. United States The law of the United States, including certain criminal offences by or against U.S. nationals, such as murder, may apply to areas not under jurisdiction of other countries. To this end, the United States now stations special deputy U.S. Marshals in Antarctica to provide a law enforcement presence. Some U.S. laws directly apply to Antarctica. For example, the Antarctic Conservation Act, Public Law 95-541, et seq., provides civil and criminal penalties for the following activities, unless authorized by regulation or statute: the taking of native Antarctic mammals or birds the introduction into Antarctica of non-indigenous plants and animals entry into specially protected or scientific areas the discharge or disposal of pollutants into Antarctica or Antarctic waters the importation into the U.S. of certain items from Antarctica Violation of the Antarctic Conservation Act carries penalties of up to US$10,000 in fines and one year in prison. The Departments of the Treasury, Commerce, Transportation, and the Interior share enforcement responsibilities. The Act requires expeditions from the U.S. to Antarctica to notify, in advance, the Office of Oceans and Polar Affairs of the State Department, which reports such plans to other nations as required by the Antarctic Treaty. Further information is provided by the Office of Polar Programs of the National Science Foundation. New Zealand In 2006, the New Zealand police reported that jurisdictional issues prevented them issuing warrants for potential American witnesses who were reluctant to testify during the Christchurch Coroner's investigation into the death by poisoning of Australian astrophysicist Rodney Marks at the South Pole base in May 2000. Dr. Marks died while wintering over at the United States' Amundsen–Scott South Pole Station located at the geographic South Pole. Prior to autopsy, the death was attributed to natural causes by the National Science Foundation and the contractor administering the base. However, an autopsy in New Zealand revealed that Dr. Marks died from methanol poisoning. The New Zealand Police launched an investigation. In 2006, frustrated by lack of progress, the Christchurch Coroner said that it was unlikely that Dr. Marks ingested the methanol knowingly, although there is no certainty that he died as the direct result of the act of another person. During media interviews, the police detective in charge of the investigation criticized the National Science Foundation and contractor Raytheon for failing to cooperate with the investigation. South Africa Under the South African Citizens in Antarctica Act, 1962, South African law applies to all South African citizens in Antarctica, and they are subject to the jurisdiction of the magistrate's court in Cape Town. The Antarctic Treaties Act, 1996 incorporates the Antarctic Treaty and related agreements into South African law. In regard to violations of these treaties, South Africa also asserts jurisdiction over South African residents and members of expeditions organised in South Africa. See also Antarctic and Southern Ocean Coalition (ASOC) Antarctic Protected Areas Antarctic Treaty issue Arctic Council Arctic sanctuary Crime in Antarctica Endurance – lost ship of Ernest Shackleton, found in 2022 and protected by the treaty International Seabed Authority Montreal Protocol Moon treaty Multilateral treaty National Antarctic Program Category: Outposts of Antarctica Research stations in Antarctica Solar radiation management Svalbard Treaty References External links Antarctic Treaty Secretariat Full Text of the Antarctic Treaty Original facsimile of Antarctic Treaty Australian Antarctic Territory Why 60 South? National Science Foundation – Office of Polar Programs List of all Antarctic Treaty Consultative Meetings An Antarctic Solution for the Koreas San Diego Union-Tribune, 25 August 2005 (Both South Korea and North Korea are members of the Antarctic Treaty) Emblem of the Antarctic Treaty Antarctica agreements 1959 in Antarctica 1959 in Washington, D.C. December 1959 events 1961 in Antarctica 1961 in the environment Arms control treaties Cold War treaties Territorial claims in Antarctica Treaties concluded in 1959 Treaties entered into force in 1961 Treaties establishing nuclear-weapon-free zones Treaties of Argentina Treaties of Australia Treaties of Austria Treaties of Belarus Treaties of Belgium Treaties of the military dictatorship in Brazil Treaties of the People's Republic of Bulgaria Treaties of Canada Treaties of Chile Treaties of the People's Republic of China Treaties of Colombia Treaties of Cuba Treaties of Denmark Treaties of the Czech Republic Treaties of Czechoslovakia Treaties of Ecuador Treaties of Estonia Treaties of Finland Treaties of France Treaties of West Germany Treaties of East Germany Treaties of Greece Treaties of Guatemala Treaties of the Hungarian People's Republic Treaties of Italy Treaties of India Treaties of Japan Treaties of Malaysia Treaties of Monaco Treaties of the Netherlands Treaties of New Zealand Treaties of North Korea Treaties of Norway Treaties of Pakistan Treaties of Papua New Guinea Treaties of Peru Treaties of the Polish People's Republic Treaties of Portugal Treaties of the Socialist Republic of Romania Treaties of the Soviet Union Treaties of Slovakia Treaties of South Africa Treaties of South Korea Treaties of Spain Treaties of Sweden Treaties of Switzerland Treaties of Turkey Treaties of Ukraine Treaties of the United Kingdom Treaties of the United States Treaties of Uruguay Treaties of Venezuela History of the Ross Dependency December 1959 events in the United States
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https://en.wikipedia.org/wiki/Ames%2C%20Iowa
Ames, Iowa
Ames () is a city in Story County, Iowa, United States, located approximately north of Des Moines in central Iowa. It is best known as the home of Iowa State University (ISU), with leading agriculture, design, engineering, and veterinary medicine colleges. A United States Department of Energy national laboratory, Ames Laboratory, is located on the ISU campus. According to the 2020 census, Ames had a population of 66,427, making it the state's ninth most populous city. Iowa State University was home to 27,854 students as of spring 2023, which make up approximately one half of the city's population. Ames also hosts United States Department of Agriculture (USDA) sites: the largest federal animal disease center in the United States, the USDA Agricultural Research Service's National Animal Disease Center (NADC), as well as one of two national USDA sites for the Animal and Plant Health Inspection Service (APHIS), which comprises the National Veterinary Services Laboratory and the Center for Veterinary Biologics. Ames also hosts the headquarters for the Iowa Department of Transportation. History The city was founded in 1864 as a station stop on the Cedar Rapids and Missouri Railroad and was named after 19th century U.S. Congressman Oakes Ames of Massachusetts, who was influential in the building of the transcontinental railroad. Ames was founded by local resident Cynthia Olive Duff (née Kellogg) and railroad magnate John Insley Blair, near a location that was deemed favorable for a railroad crossing of the Skunk River. Geography Ames is located along the western edge of Story County, roughly north of the state capital, Des Moines, near the intersection of Interstate 35 and U.S. Route 30. A smaller highway, U.S. Route 69, passes through the town. Also passing through Ames is the cross country line of the Union Pacific Railroad and two small streams (the South Skunk River and Ioway Creek). According to the United States Census Bureau, the city has a total area of , of which is land and is water. Campustown Campustown is the neighborhood directly south of Iowa State University Central Campus bordered by Lincoln Way on the north. Campustown is a high-density mixed-use neighborhood that is home to many student apartments, nightlife venues, restaurants, and numerous other establishments, most of which are unique to Ames. Climate Ames has a humid continental climate (Köppen climate classification Dfa). On average, the warmest month is July and the coldest is January. The highest recorded temperature was in 1988 and the lowest was in 1996. Demographics 2010 census As of the census of 2010, there were 58,965 people, 22,759 households, and 9,959 families residing in the city. The population density was . There were 23,876 housing units at an average density of . The racial makeup of the city was 84.5% White, 3.4% African American, 0.2% Native American, 8.8% Asian, 1.1% from other races, and 2.0% from two or more races. Hispanic or Latino of any race were 3.4% of the population. There were 22,759 households, of which 19.1% had children under the age of 18 living with them, 35.6% were married couples living together, 5.4% had a female householder with no husband present, 2.7% had a male householder with no wife present, and 56.2% were non-families. 30.5% of all households were made up of individuals, and 6.2% had someone living alone who was 65 years of age or older. The average household size was 2.25 and the average family size was 2.82. The median age in the city was 23.8 years. 13.4% of residents were under the age of 18; 40.5% were between the ages of 18 and 24; 22.9% were from 25 to 44; 15% were from 45 to 64; and 8.1% were 65 years of age or older. The gender makeup of the city was 53.0% male and 47.0% female. 2000 census As of the census of 2000, there were 50,731 people, 18,085 households, and 8,970 families residing in the city. The population density was . There were 18,757 housing units at an average density of . The racial makeup of the city was 87.34% White, 7.70% Asian, 2.65% African American, 0.04% Native American, 0.76% Pacific Islander and other races, and 1.36% from two or more races. Hispanic or Latino of any race were 1.98% of the population. There were 18,085 households, out of which 22.3% had children under the age of 18 living with them, 42.0% were married couples living together, 5.3% had a female householder with no husband present, and 50.4% were non-families. 28.5% of all households were made up of individuals, and 5.9% had someone living alone who was 65 years of age or older. The average household size was 2.30 and the average family size was 2.85. Age spread: 14.6% under the age of 18, 40.0% from 18 to 24, 23.7% from 25 to 44, 13.9% from 45 to 64, and 7.7% who were 65 years of age or older. The median age was 24 years. For every 100 females, there were 109.3 males. For every 100 females age 18 and over, there were 109.9 males. The median income for a household in the city was $36,042, and the median income for a family was $56,439. Males had a median income of $37,877 versus $28,198 for females. The per capita income for the city was $18,881. About 7.6% of families and 20.4% of the population were below the poverty line, including 9.2% of those under age 18 and 4.1% of those age 65 or over. Metropolitan area The U.S. Census Bureau designates the Ames MSA as encompassing all of Story County. While Ames is the largest city in Story County, the county seat is in the nearby city of Nevada, east of Ames. Ames metropolitan statistical area combined with the Boone, Iowa micropolitan statistical area (Boone County, Iowa) make up the larger Ames-Boone combined statistical area. Ames is the larger principal city of the Combined Statistical Area that includes all of Story County, Iowa and Boone County, Iowa. which had a combined population of 106,205 at the 2000 census. Economy Ames is home of Iowa State University of Science and Technology, a public land-grant and space-grant research university. At its founding in 1858, Iowa State was known as the Iowa State College of Agriculture and Mechanic Arts. Ames is the home of the closely allied U.S. Department of Agriculture's National Animal Disease Center (See Ames strain), the U.S. Department of Energy's Ames Laboratory (a major materials research and development facility), and the main offices of the Iowa Department of Transportation. State and Federal institutions are the largest employers in Ames. Other area employers include a 3M manufacturing plant; Danfoss Power Solutions, a hydraulics manufacturer; Barilla, a pasta manufacturer; Ball, a manufacturer of canning jars and plastic bottles; Workiva, a global cloud computing company; Renewable Energy Group, America's largest producer of biomass-based diesel; and the National Farmers Organization. The Iowa State University Research Park is a not-for-profit business development incubator located in Ames, and affiliated with Iowa State University. In 2015, Ames was ranked in the top 15 "Cities That Have Done the Best Since the Recession" by Bloomberg Businessweek. The Bureau of Labor Statistics ranked Ames and Boulder, Colorado as having the lowest unemployment rate (2.5%) of any metropolitan area in the US in 2016. By June 2018, unemployment in Ames had fallen even further, to 1.5%, though wage increases for workers were not keeping pace with rising rents. Top employers As of 2022, the top employers in the city are: Arts and culture Ames History Museum - founded in 1980, the museum also operates a historic schoolhouse. Brunnier Art Museum (Scheman Building) Ames Public Library - located in a Carnegie library, it was founded in 1904. it has 1,386,273 items in circulations, including 799,349 books and 586,924 multimedia items. The Octagon Center for the Arts - the Center includes galleries, art classes, art studios, and retail shop. They sponsor the local street fair, The Octagon Arts Festival, and hold an annual National Juried Exhibition Clay, Fiber, Paper Glass Metal, Wood. Sports Iowa Sports Foundation The Iowa State Cyclones play a variety of sports in the Ames area. The Iowa State Cyclones football team plays at Jack Trice Stadium in Ames. Also, the Cyclones' Men's and Women's Basketball teams and Volleyball teams play at Hilton Coliseum just across the street from Jack Trice Stadium. The Iowa State Cyclones are a charter member of the Big 12 Conference in all sports and compete in NCAA Division I-A. The Iowa State Women's Tennis is also well known and very successful. The Ames Figure Skating Club provides recreational to professional level skating opportunities. The club sponsors the Learn to Skate Program. Coaches provide on and off ice lessons or workshops. The club hosts the figure skating portion of the Iowa Games competition every summer. In the fall the club hosts Cyclone Country Championships. The Ames ISU ice arena also hosts the Iowa State Cyclones hockey team. The arena also hosts the Ames Little Cyclones hockey program for high school students and children in elementary or middle school. Education Much of the city is served by the Ames Community School District. A portion of northern Ames is zoned to the Gilbert Community School District. Public high school in Ames Ames High School: Grades 9–12 Public elementary/middle schools in Ames David Edwards Elementary: K-5 Abbie Sawyer Elementary School: Grades K-5 Kate Mitchell Elementary School: Grades K-5 Warren H. Meeker Elementary School: Grades K-5 Gertrude Fellows Elementary School: Grades K-5 Ames Middle School: Grades 6–8 Gilbert CSD students are zoned to Gilbert High School. Private schools in Ames Ames Christian School Saint Cecilia School (preK – 5th grade) Iowa State University Iowa State University of Science and Technology, more commonly known as Iowa State University (ISU), is a public land-grant and space-grant research university located in Ames. Iowa State University is the birthplace of the Atanasoff–Berry Computer, the world's first electronic digital computer. Iowa State has produced a number of astronauts, scientists, Nobel laureates, and Pulitzer Prize winners. Until 1945 it was known as the Iowa State College of Agriculture and Mechanic Arts. The university is a member of the American Association of Universities and the Big 12 Conference. ISU is the nation's first designated land-grant university. In 1856, the Iowa General Assembly enacted legislation to establish the State Agricultural College and Model Farm. Story County was chosen as the location on June 21, 1859, from proposals by Johnson, Kossuth, Marshall, Polk, and Story counties. When Iowa accepted the provisions of the Morrill Act of 1862, Iowa State became the first institution in nation designated as a land-grant college. The institution was coeducational from the first preparatory class admitted in 1868. The formal admitting of students began the following year, and the first graduating class of 1872 consisted of 24 men and 2 women. The first building on the Iowa State campus was Farm House. Built in the 1860s, it currently serves as a museum and National Historic Landmark. Today, Iowa State has over 60 notable buildings, including Beardshear Hall, Morrill Hall, Memorial Union, Catt Hall, Curtiss Hall, Carver Hall, Parks Library, the Campanile, Hilton Coliseum, C.Y. Stephens Auditorium, Fisher Theater, Jack Trice Stadium, Lied Recreation Center, numerous residence halls, and many buildings specific to ISU's many different majors and colleges. The official mascot for ISU is Cy the Cardinal. The official school colors are cardinal and gold. The Iowa State Cyclones play in the NCAA's Division I-A as a member of the Big 12 Conference. Media Online and newsprint Ames Tribune, Tuesday-Sunday paper produced in Ames. Iowa State Daily, independent student newspaper produced at Iowa State University. The Des Moines Register also provides extensive coverage of Iowa news and sports to Ames. Story County Sun, weekly newspaper that covers the entire county published in Ames. Radio stations licensed to Ames KURE, student radio operated at Iowa State University. WOI-FM, Iowa Public Radio's flagship "Studio One" station, broadcasting an NPR news format during the day and a music format in the evening, owned and operated at Iowa State University. WOI (AM), Iowa Public Radio's flagship station delivering a 24-hour news format consisting mainly of NPR programming, owned and operated at Iowa State University. KOEZ, Adult Contemporary station licensed to Ames, but operated in Des Moines. KCYZ, Hot Adult Contemporary station owned and operated by Clear Channel in Ames. KASI, news/talk station owned and operated by Clear Channel in Ames. KNWM-FM, Contemporary Christian Madrid/Ames station owned and operated by the University of Northwestern – St. Paul - simulcast with KNWI-FM Osceola/Des Moines KHOI, Community Radio station licensed to Story City with studios in Ames. KHOI broadcasts music and local public affairs programs and is affiliated with the Pacifica Radio network. Ames is also served by stations in the Des Moines media market, which includes Clear Channel's 50,000-watt talk station WHO, music stations KAZR, KDRB, KGGO, KKDM, KHKI, KIOA, KJJY, KRNT, KSPZ and KSTZ, talk station KWQW, and sports stations KXNO and KXNO-FM. Television Like radio, Ames is served by the Des Moines media market. WOI-DT, the ABC affiliate in central Iowa, was originally owned and operated by Iowa State University until the 1990s. The station is still licensed to Ames, but studio's are located in West Des Moines. Other stations serving Ames include KCCI, KDIN-TV, WHO-DT, KCWI-TV, KDMI, KDSM-TV and KFPX-TV. Channel 12 is owned by the City of Ames and overseen by the City Manager's Office. The channel broadcasts meetings for city council as well as other city government councils and boards. Channel 12 also produces its own original content focused on news and other happenings in Ames. Channel 12 has won various regional and national awards including a NATOA Government Programming Award and a Telly Award. Channel 12's goals are "To provide quality programming to the citizens of Ames that educates and informs about city government issues" and "To provide live coverage and rebroadcasts of council and commission meetings." Channel 16 serves as Ames' public access TV channel. "The purpose of Ames Public Access TV (Channel 16) is to provide residents the opportunity to broadcast locally produced programs on cable television. APATV provides cablecasting of non-commercial, public access programming independently produced by professionals or non-professionals in either a VHS or DVD format. This service is provided on a first-come-first-served, non-discriminatory, non monopolistic basis. Other services include video messaging to serve as a community calendar." Infrastructure Transportation The town is served by U.S. Highways 30 and 69 and Interstate 35. Ames is the only town in Iowa with a population of greater than 50,000 that does not have a state highway serving it. , Ames currently has three roundabouts constructed on University Avenue/530th Avenue. The first is at the intersection of Airport Road (Oakwood Rd.) and University Avenue, the second at the intersection of Cottonwood Road and 530th Avenue and the third at Collaboration Place and 530th Avenue. Ames was serviced by the Fort Dodge, Des Moines and Southern Railroad via a branch from Kelley to Iowa State and to downtown Ames. The tracks were removed in the 1960s. The Chicago and North Western Transportation Company twin mainline runs east and west bisecting the town and running just south of the downtown business district. The C&NW used to operate a branch to Des Moines. This line was removed in the 1980s when the Spine Line through the nearby city of Nevada was purchased from the Rock Island Railroad after its bankruptcy. The Union Pacific, successor to the C&NW, still runs 60–70 trains a day through Ames on twin mainlines, which leads to some traffic delays. There is also a branch to Eagle Grove that leaves Ames to the north. The Union Pacific maintains a small yard called Ames Yard east of Ames between Ames and Nevada. Ames has been testing automatic train horns at several of its crossings. These directional horns which are focused down the streets are activated when the crossing signals turn on and are shut off after the train crosses the crossing. This system cancels out the need for the trains to blow their horns. Train noise had been a problem in the residential areas to the west and northwest of downtown. Ames Municipal Airport is located southeast of the city. The current (and only) fixed-base operator is Central Iowa Air Service. The airport has two runways – 01/19, which is , and 13/31, which is . The City of Ames offers a transit system throughout town, called CyRide, that is funded jointly by Iowa State University, the ISU Government of the Student Body, and the City of Ames. Rider fares are free for children under five, while students pay a set cost as part of their tuition. In addition to local transit, Ames is served by intercity buses from Jefferson Lines, which stop at the Ames Intermodal Facility. In 2009, the Ames metropolitan statistical area (MSA) ranked as the third highest in the United States for percentage of commuters who walked to work (10.4 percent). Ames has the headquarters of the Iowa Department of Transportation. Health care Ames is served by Mary Greeley Medical Center, a 220-bed regional referral hospital which is adjacent to McFarland Clinic PC, central Iowa's largest physician-owned multi-specialty clinic, and also Iowa Heart Center. Parks and recreation On September 10, 2019 the City of Ames proposed a $29,000,000 bond for building a fitness center called the Healthy Life Center. It failed to pass. Iowa State University owns the land it was to be built on. In popular culture The character of Kate Austen in the television series Lost (2004–2010) is from Ames. Ames is prominently featured in Jeffrey Zaslow's 2009 book The Girls from Ames. Ames is featured in the 2012 Supernatural episode "Heartache". Ames is mentioned in the music video for Bo Burnham's 2013 song "Repeat Stuff", which shows satirical subliminal messages quickly flashing up on the screen, one of which states that "Michael Clarke Duncan is alive and living in Ames, Iowa". Notable people This is a list of notable people associated with Ames, Iowa arranged by career and in alphabetical order. Acting Evan Helmuth, actor (1977-2017) (Fever Pitch, The Devil Inside) Nick Nolte, actor, lived in Ames, 1945-1950 Artists and photographers John E. Buck, sculptor Robert Crumb, cartoonist and musician, the Crumb family moved to Ames in August 1950, for two years. Margaret Lloyd, opera singer Laurel Nakadate, American video artist, filmmaker and photographer Velma Wallace Rayness (1896–1977), "V.W. Rayness," author, painter and artist Brian Smith, Pulitzer Prize-winning photographer, born July 16, 1959 Aviation Mary Anita (née Snook) Southern, pioneer aviator, taught Amelia Earhart to fly. Musicians John Darnielle, musician from indie rock band The Mountain Goats; former Ames resident Envy Corps, indie rock band Leslie Hall, electronic rap musician/Gem Sweater collector, born in Ames in 1981 Peter Schickele, musician, born in Ames in 1935 Richie Hayward, drummer and founding member of the band Little Feat; former Ames resident and graduate of Ames High School Journalists Robert Bartley, editorial page editor of The Wall Street Journal and a Presidential Medal of Freedom recipient; raised in Ames and ISU graduate Wally Bruner, ABC News journalist and television host Michael Gartner, former president of NBC News; retired to own and publish the Ames Tribune Politicians Ruth Bascom, Mayor of Eugene, Oregon Edward Mezvinsky, former U.S. Congressman; father-in-law of Chelsea Clinton; raised in Ames Bee Nguyen, former Georgia (U.S. state) state representative Bob Walkup, Mayor of Tucson, Arizona Lee Teng-hui, President of the Republic of China, ISU graduate Henry A. Wallace, 11th United States Secretary of Agriculture, 10th United States Secretary of Commerce, and 33rd Vice President of the United States, ISU graduate; lived in Ames from 1892 - 1896 Sports Harrison Barnes, NBA player, 2015 NBA champion, 2016 U.S. Olympic gold medalist, Ames HS graduate Joe Burrow, NFL player, 2019 Heisman Trophy Award Winner, 2020 CFP National Championship Winner. Born in Ames, but grew up in The Plains, Ohio Juan Sebastián Botero, soccer player Doug McDermott, basketball player, Ames HS graduate Kip Corrington, NFL player Dick Gibbs, NBA player, Ames HS graduate Terry Hoage, NFL player Fred Hoiberg, retired NBA basketball player; raised in Ames, ISU graduate, former ISU basketball coach, former coach of the Chicago Bulls and current Nebraska men's basketball coach. Cael Sanderson, U.S. Olympic gold medalist; undefeated, four-time NCAA wrestling champion; former ISU wrestling coach and alumnus Herb Sies, pro football player and coach Billy Sunday, evangelist and Major League Baseball player; born in Ames in 1863 Fred Tisue, Olympian water polo player Scientists George Washington Carver, inventor, Iowa State University alumnus and professor Laurel Blair Salton Clark, astronaut, died on STS-107 Charles W. "Chuck" Durham, civil engineer, philanthropist, civic leader, former CEO and chairman Emeritus of HDR, Inc.; raised in Ames Lyle Goodhue, scientist, lived and studied here 1925–1934 Frank Spedding, chemist, creator of the Ames Process during the Manhattan Project Dan Shechtman, awarded 2011 Nobel Prize in Chemistry for "the discovery of quasicrystals"; Professor of Materials Science at Iowa State University (2004–present) and Associate at the Department of Energy's Ames Laboratory George W. Snedecor, statistician, founder of first academic department of statistics in the United States at Iowa State University Writers and poets Ann Cotten, poet, born in Ames, grew up in Vienna Brian Evenson, author Jane Espenson, writer and producer for television, including Buffy the Vampire Slayer and Star Trek: The Next Generation, grew up in Ames Michelle Hoover, author, born in Ames Meg Johnson, poet and dancer Fern Kupfer, author Joseph Geha, author Ted Kooser, U.S. Poet Laureate; raised in Ames and ISU graduate John Madson, freelance naturalist of tallgrass prairie ecosystems Sara Paretsky, author of the V.I. Warshawski mysteries; born in Ames in 1947 Jane Smiley, Pulitzer Prize-winning novelist; former instructor at ISU (1981–1996); used ISU as the basis for her novel Moo Neal Stephenson, author, grew up in Ames Hugh Young, coauthor of University Physics textbook Lincoln Peirce, cartoonist/writer of the Big Nate comics and books Other Neva Morris, at her death (2010) second-oldest person in the world and oldest American aged 114 years; lived in Ames her entire life Nate Staniforth, magician Todd Snyder (fashion designer) Politics From 1979 through 2011, Ames was the location of the Ames Straw Poll, which was held every August prior to a presidential election year in which the Republican presidential nomination was undecided (meaning there was no Republican president running for re-election—as in 2011, 2007, 1999, 1995, 1987, and 1979). The poll would gauge support for the various Republican candidates amongst attendees of a fundraising dinner benefiting the Iowa Republican Party. The straw poll was frequently seen by national media and party insiders as a first test of organizational strength in Iowa. In 2015, the straw poll was to be moved to nearby Boone before the Iowa Republican Party eventually decided to cancel it altogether. See also Ames process North Grand Mall Reiman Gardens References External links Official Ames City Website Ames Campustown official site The Main Street Cultural District Cities in Iowa Cities in Story County, Iowa Populated places established in 1864 1864 establishments in Iowa
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https://en.wikipedia.org/wiki/Abalone
Abalone
Abalone ( or ; via Spanish , from Rumsen aulón) is a common name for any of a group of small to very large marine gastropod molluscs in the family Haliotidae. Other common names are ear shells, sea ears, and, rarely, muttonfish or muttonshells in parts of Australia, ormer in the UK, perlemoen in South Africa, and paua in New Zealand. Abalones are marine snails. Their taxonomy puts them in the family Haliotidae, which contains only one genus, Haliotis, which once contained six subgenera. These subgenera have become alternative representations of Haliotis. The number of species recognized worldwide ranges between 30 and 130 with over 230 species-level taxa described. The most comprehensive treatment of the family considers 56 species valid, with 18 additional subspecies. The shells of abalones have a low, open spiral structure, and are characterized by several open respiratory pores in a row near the shell's outer edge. The thick inner layer of the shell is composed of nacre (mother-of-pearl), which in many species is highly iridescent, giving rise to a range of strong, changeable colors which make the shells attractive to humans as decorative objects, jewelry, and as a source of colorful mother-of-pearl. The flesh of abalones is widely considered to be a desirable food, and is consumed raw or cooked by a variety of cultures. Description Most abalone vary in size from (Haliotis pulcherrima) to . The largest species, Haliotis rufescens, reaches . The shell of abalones is convex, rounded to oval in shape, and may be highly arched or very flattened. The shell of the majority of species has a small, flat spire and two to three whorls. The last whorl, known as the body whorl, is auriform, meaning that the shell resembles an ear, giving rise to the common name "ear shell". Haliotis asinina has a somewhat different shape, as it is more elongated and distended. The shell of Haliotis cracherodii cracherodii is also unusual as it has an ovate form, is imperforate, shows an exserted spire, and has prickly ribs. A mantle cleft in the shell impresses a groove in the shell, in which are the row of holes characteristic of the genus. These holes are respiratory apertures for venting water from the gills and for releasing sperm and eggs into the water column. They make up what is known as the selenizone, which forms as the shell grows. This series of eight to 38 holes is near the anterior margin. Only a small number is generally open. The older holes are gradually sealed up as the shell grows and new holes form. Each species has a typical number of open holes, between four and 10, in the selenizone. An abalone has no operculum. The aperture of the shell is very wide and nacreous. The exterior of the shell is striated and dull. The color of the shell is very variable from species to species, which may reflect the animal's diet. The iridescent nacre that lines the inside of the shell varies in color from silvery white, to pink, red and green-red to deep blue, green to purple. The animal has fimbriated head lobes and side lobes that are fimbriated and cirrated. The radula has small median teeth, and the lateral teeth are single and beam-like. They have about 70 uncini, with denticulated hooks, the first four very large. The rounded foot is very large in comparison to most molluscs. The soft body is coiled around the columellar muscle, and its insertion, instead of being on the columella, is on the middle of the inner wall of the shell. The gills are symmetrical and both well developed. These snails cling solidly with their broad, muscular foot to rocky surfaces at sublittoral depths, although some species such as Haliotis cracherodii used to be common in the intertidal zone. Abalones reach maturity at a relatively small size. Their fecundity is high and increases with their size, laying from 10,000 to 11 million eggs at a time. The spermatozoa are filiform and pointed at one end, and the anterior end is a rounded head. Distribution The haliotid family has a worldwide distribution, along the coastal waters of every continent, except the Pacific coast of South America, the Atlantic coast of North America, the Arctic, and Antarctica. The majority of abalone species are found in cold waters, such as off the coasts of New Zealand, South Africa, Australia, Western North America, and Japan. Structure and properties of the shell The shell of the abalone is exceptionally strong and is made of microscopic calcium carbonate tiles stacked like bricks. Between the layers of tiles is a clingy protein substance. When the abalone shell is struck, the tiles slide instead of shattering and the protein stretches to absorb the energy of the blow. Material scientists around the world are studying this tiled structure for insight into stronger ceramic products such as body armor. The dust created by grinding and cutting abalone shell is dangerous; appropriate safeguards must be taken to protect people from inhaling these particles. Diseases and pests Abalones are subject to various diseases. The Victorian Department of Primary Industries said in 2007 that ganglioneuritis killed up to 90% of stock in affected regions. Abalone are also severe hemophiliacs, as their fluids will not clot in the case of a laceration or puncture wound. Members of the Spionidae of the polychaetes are known as pests of abalone. Human use Abalone has been harvested worldwide for centuries as a source of food and decorative items. Abalone shells and associated materials, like their claw-like pearls and nacre, have been used as jewelry and for buttons, buckles, and inlay. These shells have been found in archaeological sites around the world, ranging from 100,000-year-old deposits at Blombos Cave in South Africa to historic Chinese abalone middens on California's Northern Channel Islands. For at least 12,000 years, abalones were harvested to such an extent around the Channel Islands that shells in the area decreased in size four thousand years ago. Farming Farming of abalone began in the late 1950s and early 1960s in Japan and China. Since the mid-1990s, there have been many increasingly successful endeavors to commercially farm abalone for the purpose of consumption. Overfishing and poaching have reduced wild populations to such an extent that farmed abalone now supplies most of the abalone meat consumed. The principal abalone farming regions are China, Taiwan, Japan, and Korea. Abalone is also farmed in Australia, Canada, Chile, France, Iceland, Ireland, Mexico, Namibia, New Zealand, South Africa, Spain, Thailand, and the United States. After trials in 2012, a commercial "sea ranch" was set up in Flinders Bay, Western Australia to raise abalone. The ranch is based on an artificial reef made up of 5,000 separate concrete abalone habitat units, which can host 400 abalone each. The reef is seeded with young abalone from an onshore hatchery. The abalone feed on seaweed that grows naturally on the habitats; the ecosystem enrichment of the bay also results in growing numbers of dhufish, pink snapper, wrasse, and Samson fish among other species. Consumption Abalones have long been a valuable food source for humans in every area of the world where a species is abundant. The meat of this mollusc is considered a delicacy in certain parts of Latin America (particularly Chile), France, New Zealand, East Asia and Southeast Asia. In the Greater China region and among Overseas Chinese communities, abalone is commonly known as bao yu, and sometimes forms part of a Chinese banquet. In the same way as shark fin soup or bird's nest soup, abalone is considered a luxury item, and is traditionally reserved for special occasions such as weddings and other celebrations. As abalone became more popular and less common, the prices adjusted accordingly. In the 1920s, a restaurant-served portion of abalone, about 4 ounces, would cost (in inflation adjusted dollars) about US$7; by 2004, the price had risen to US$75. In the United States, prior to this time, abalone was predominantly eaten, gathered, and prepared by Chinese immigrants. Before that, abalone were collected to be eaten, and used for other purposes by Native American tribes. By 1900, laws were passed in California to outlaw the taking of abalone above the intertidal zone. This forced the Chinese out of the market and the Japanese perfected diving, with or without gear, to enter the market. Abalone started to become popular in the US after the Panama–Pacific International Exposition in 1915, which exhibited 365 varieties of fish with cooking demonstrations, and a 1,300-seat dining hall. In Japan, live and raw abalones are used in awabi sushi, or served steamed, salted, boiled, chopped, or simmered in soy sauce. Salted, fermented abalone entrails are the main component of tottsuru, a local dish from Honshū. Tottsuru is mainly enjoyed with sake. In South Korea, abalone is called Jeonbok (/juhn-bok/) and used in various recipes. Jeonbok porridge and pan-fried abalone steak with butter are popular but also commonly used in soups or ramyeon. In California, abalone meat can be found on pizza, sautéed with caramelized mango, or in steak form dusted with cracker meal and flour. Sport harvesting Australia Tasmania supplies about 25% of the yearly world abalone harvest. Around 12,500 Tasmanians recreationally fish for blacklip and greenlip abalone. For blacklip abalone, the size limit varies between for the southern end of the state and for the northern end of the state. Greenlip abalones have a minimum size of , except for an area around Perkins Bay in the north of the state where the minimum size is . With a recreational abalone licence, the bag limit is 10 per day, with a total possession limit of 20. Scuba diving for abalone is allowed, and has a rich history in Australia. (Scuba diving for abalone in the states of New South Wales and Western Australia is illegal; a free-diving catch limit of two is allowed). Victoria has had an active abalone fishery since the late 1950s. The state is sectioned into three fishing zones, Eastern, Central and Western, with each fisher required a zone-allocated licence. Harvesting is performed by divers using surface-supplied air "hookah" systems operating from runabout-style, outboard-powered boats. While the diver seeks out colonies of abalone amongst the reef beds, the deckhand operates the boat, known as working "live" and stays above where the diver is working. Bags of abalone pried from the rocks are brought to the surface by the diver or by way of "shot line", where the deckhand drops a weighted rope for the catch bag to be connected then retrieved. Divers measure each abalone before removing from the reef and the deckhand remeasures each abalone and removes excess weed growth from the shell. Since 2002, the Victorian industry has seen a significant decline in catches, with the total allowable catch reduced from 1440 to 787 tonnes for the 2011/12 fishing year, due to dwindling stocks and most notably the abalone virus ganglioneuritis, which is fast-spreading and lethal to abalone stocks. United States Sport harvesting of red abalone is permitted with a California fishing license and an abalone stamp card. In 2008, the abalone card also came with a set of 24 tags. This was reduced to 18 abalone per year in 2014, and as of 2017 the limit has been reduced to 12, only nine of which may be taken south of Mendocino County. Legal-size abalone must be tagged immediately. Abalone may only be taken using breath-hold techniques or shorepicking; scuba diving for abalone is strictly prohibited. Taking of abalone is not permitted south of the mouth of San Francisco Bay. A size minimum of measured across the shell is in place. A person may be in possession of only three abalone at any given time. As of 2017, abalone season is May to October, excluding July. Transportation of abalone may only legally occur while the abalone is still attached in the shell. Sale of sport-obtained abalone is illegal, including the shell. Only red abalone may be taken, as black, white, pink, flat, green, and pinto abalone are protected by law. In 2018, The California Fish and Game Commission closed recreational abalone season due to dramatically declining populations. That year, they extended the moratorium to last through April 2021. An abalone diver is normally equipped with a thick wetsuit, including a hood, bootees, and gloves, and usually also a mask, snorkel, weight belt, abalone iron, and abalone gauge. Alternatively, the rock picker can feel underneath rocks at low tides for abalone. Abalone are mostly taken in depths from a few inches up to ; less common are freedivers who can work deeper than . Abalone are normally found on rocks near food sources such as kelp. An abalone iron is used to pry the abalone from the rock before it has time to fully clamp down. Divers dive from boats, kayaks, tube floats, or directly off the shore. The largest abalone recorded in California is , caught by John Pepper somewhere off the coast of San Mateo County in September 1993. The mollusc Concholepas concholepas is often sold in the United States under the name "Chilean abalone", though it is not an abalone, but a muricid. New Zealand In New Zealand, abalone is called paua (, from the Māori language). Haliotis iris (or blackfoot paua) is the ubiquitous New Zealand paua, the highly polished nacre of which is extremely popular as souvenirs with its striking blue, green, and purple iridescence. Haliotis australis and Haliotis virginea are also found in New Zealand waters, but are less popular than H. iris. Like all New Zealand shellfish, recreational harvesting of paua does not require a permit provided catch limits, size restrictions, and seasonal and local restrictions set by the Ministry for Primary Industries (MPI) are followed. The legal recreational daily limit is 10 per diver, with a minimum shell length of for H. iris and for H. australis. In addition, no person may be in possession, even on land, of more than 20 paua or more than of paua meat at any one time. Paua can only be caught by free-diving; it is illegal to catch them using scuba gear. An extensive global black market exists in collecting and exporting abalone meat. This can be a particularly awkward problem where the right to harvest paua can be granted legally under Māori customary rights. When such permits to harvest are abused, it is frequently difficult to police. The limit is strictly enforced by roving Ministry for Primary Industries fishery officers with the backing of the New Zealand Police. Poaching is a major industry in New Zealand with many thousands being taken illegally, often undersized. Convictions have resulted in seizure of diving gear, boats, and motor vehicles and fines and in rare cases, imprisonment. South Africa There are five species endemic to South Africa, namely H. parva, H. spadicea, H. queketti and H. speciosa. The largest abalone in South Africa, Haliotis midae, occurs along roughly two-thirds of the country's coastline. Abalone-diving has been a recreational activity for many years, but stocks are currently being threatened by illegal commercial harvesting. In South Africa, all persons harvesting this shellfish need permits that are issued annually, and no abalone may be harvested using scuba gear. For the last few years, however, no permits have been issued for collecting abalone, but commercial harvesting still continues as does illegal collection by syndicates. In 2007, because of widespread poaching of abalone, the South African government listed abalone as an endangered species according to the CITES section III appendix, which requests member governments to monitor the trade in this species. This listing was removed from CITES in June 2010 by the South African government and South African abalone is no longer subject to CITES trade controls. Export permits are still required, however. The abalone meat from South Africa is prohibited for sale in the country to help reduce poaching; however, much of the illegally harvested meat is sold in Asian countries. As of early 2008, the wholesale price for abalone meat was approximately US$40.00 per kilogram. There is an active trade in the shells, which sell for more than US$1,400 per tonne. Channel Islands, Brittany and Normandy Ormers (Haliotis tuberculata) are considered a delicacy in the British Channel Islands as well as in adjacent areas of France, and are pursued with great alacrity by the locals. This, and a recent lethal bacterial disease, has led to a dramatic depletion in numbers since the latter half of the 19th century, and "ormering" is now strictly regulated to preserve stocks. The gathering of ormers is now restricted to a number of 'ormering tides', from 1 January to 30 April, which occur on the full or new moon and two days following. No ormers may be taken from the beach that are under in shell length. Gatherers are not allowed to wear wetsuits or even put their heads underwater. Any breach of these laws is a criminal offence and can lead to a fine of up to £5,000 or six months in prison. The demand for ormers is such that they led to the world's first underwater arrest, when Mr. Kempthorne-Leigh of Guernsey was arrested by a police officer in full diving gear when illegally diving for ormers. Decorative items The highly iridescent inner nacre layer of the shell of abalone has traditionally been used as a decorative item, in jewelry, buttons, and as inlay in furniture and musical instruments, such as on fret boards and binding of guitars. Indigenous use Abalone has been an important staple in a number of Indigenous cultures around the world, specifically in Africa and on the Northwest American coast. The meat is a traditional food, and the shell is used to make ornaments; historically, the shells were also used as currency in some communities. Threat of extinction Abalones are one of the many classes of organism threatened with extinction due to overfishing and the acidification of oceans from anthropogenic carbon dioxide, as reduced pH erodes their shells. In the 21st century, white, pink, and green abalone are on the United States federal endangered species list, and possible restoration sites have been proposed for the San Clemente Island and Santa Barbara Island areas. The possibility of farming abalone to be reintroduced into the wild has also been proposed, with these abalone having special tags to help track the population. Species The number of species that are recognized within the genus Haliotis has fluctuated over time, and depends on the source that is consulted. The number of recognized species range from 30 to 130. This list finds a compromise using the WoRMS database, plus some species that have been added, for a total of 57. The majority of abalone have not been rated for conservation status. Those that have been reviewed tend to show that the abalone in general is an animal that is declining in numbers, and will need protection throughout the globe. Synonyms See also List of delicacies Citations References Further reading External links Abalone: Species Diversity ABMAP: The Abalone Mapping Project Abalone biology Conchology Hardy's Internet Guide to Marine Gastropods : Shell Catalog book on crafting with Abalone Shell Fisheries Western Australia – Abalone Fact Sheet Imagemap of worldwide abalone distribution Oman’s Abalone Harvest Pro abalone diver, Mallacoota, Victoria (1967) Tathra NSW(1961), Abalone (1963) Fathom magazine "The Abalone Divers" Pages 43,44,45 (1972) Abalone Healing Properties Commercial molluscs Extant Late Cretaceous first appearances Organic gemstones Mollusc common names de:Seeohren ja:アワビ#人間との関わり zh:鮑魚
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https://en.wikipedia.org/wiki/Arminianism
Arminianism
Arminianism is a movement of Protestantism initiated in the early 17th century, based on the theological ideas of the Dutch Reformed theologian Jacobus Arminius and his historic supporters known as Remonstrants. Dutch Arminianism was originally articulated in the Remonstrance (1610), a theological statement submitted to the States General of the Netherlands. This expressed an attempt to moderate the doctrines of Calvinism related to its interpretation of predestination. Classical Arminianism, to which Arminius is the main contributor, and Wesleyan Arminianism, to which John Wesley is the main contributor, are the two main schools of thought. Central Arminian beliefs are that God's preparing (prevenient) grace to regeneration is universal, and that God's justifying grace allowing regeneration is resistible. Many Christian denominations have been influenced by Arminian views, notably the Baptists in the 17th century, the Methodists in the 18th century, and the Pentecostals in the 20th century. History Precursor movements and theological influences According to Roger E. Olson, Arminius’ beliefs, i.e. Arminianism, did not begin with him. Denominations such as the Waldensians and other groups prior to the Reformation have, similarly to Arminianism, affirmed that each person may choose the contingent response of either resisting God's grace or yielding to it. Anabaptist theologian Balthasar Hubmaier also promoted much the same view as Arminius nearly a century before him. The soteriological doctrines of Arminianism and Anabaptism are roughly equivalent. In particular, Mennonites have been historically Arminian whether they distinctly espoused the Arminian viewpoint or not, and rejected Calvinism soteriology. Anabaptist theology seems to have influenced Jacobus Arminius. At least, he was "sympathetic to the Anabaptist point of view, and Anabaptists were commonly in attendance on his preaching." Similarly, Arminius mentions Danish Lutheran theologian Niels Hemmingsen as holding the basic view of soteriology he held and he may have been influenced by Hemmingsen. Emergence of Arminianism Jacobus Arminius was a Dutch pastor and theologian in the late 16th and early 17th centuries. He was taught by Theodore Beza, Calvin's hand-picked successor, but after examination of the scriptures, he rejected his teacher's theology that it is God who unconditionally elects some for salvation. Instead Arminius proposed that the election of God was of believers, thereby making it conditional on faith. Arminius's views were challenged by the Dutch Calvinists, especially Franciscus Gomarus, but Arminius died before a national synod could occur. Arminius died before he could satisfy Holland's State General's request for a 14-page paper outlining his views. Arminius's followers replied in his stead crafting the Five articles of Remonstrance (1610), in which they express their points of divergence with the stricter Calvinism of the Belgic Confession. This is how Arminius's followers were called Remonstrants, and following a Counter Remonstrance in 1611, Gomarus' followers were called Counter-Remonstrants. After some political maneuvering, the Dutch Calvinists were able to convince Prince Maurice of Nassau to deal with the situation. Maurice systematically removed Arminian magistrates from office and called a national synod at Dordrecht. This Synod of Dort was open primarily to Dutch Calvinists (102 people), while the Arminians were excluded (13 people banned from voting), with Calvinist representatives from other countries (28 people), and in 1618 published a condemnation of Arminius and his followers as heretics. Part of this publication was the famous Five points of Calvinism in response to the five articles of Remonstrance. Arminians across Holland were removed from office, imprisoned, banished, and sworn to silence. Twelve years later Holland officially granted Arminianism protection as a religion, although animosity between Arminians and Calvinists continued. Most of the early Remonstrants followed a classical version of Arminianism. However, some of them such as Philipp van Limborch, moved in the direction of semi-Pelagianism and rationalism. Arminianism in the Church of England In England, the so-labelled Arminian doctrines were held, in substance, before and in parallel of Arminius. The Thirty-nine Articles of Religion (finalised in 1571), were sufficiently ambiguous that they were compatible with either Arminian or Calvinistic interpretations. Arminianism in the Church of England was fundamentally an expression of negation of Calvinism, and only some theologians held to classical Arminianism, but for the rest they were either semi-Pelagian or Pelagian. In this specific context, contemporary historians prefer to use the term "proto-Arminians" rather than "Arminians" to designate the leanings of divines who didn't follow classical Arminianism. English Arminianism was represented by Arminian Puritans such as John Goodwin or High Anglican Arminians such as Jeremy Taylor and Henry Hammond. Anglican Arminians of the 17th century such as William Laud fought Calvinist Puritans. They actually saw Arminianism in terms of a state church, idea that was completely alien to the views of Arminius. This position became particularly evident under the reign (1625–1649) of Charles I of England. Following the English Civil War (1642–1651) Charles II of England, who tolerated the Presbyterians, re-instituted Arminian thought in the Church of England. It was dominant there after the Restoration (1660) for some fifty years. Baptists The debate between Calvin's followers and Arminius's followers is characteristic of post-Reformation church history. The emerging Baptist movement in 17th-century England, for example, was a microcosm of the historic debate between Calvinists and Arminians. The first Baptists—called "General Baptists" because of their confession of a "general" or unlimited atonement—were Arminians. The Baptist movement originated with Thomas Helwys, who left his mentor John Smyth (who had moved into shared belief and other distinctives of the Dutch Waterlander Mennonites of Amsterdam) and returned to London to start the first English Baptist Church in 1611. Later General Baptists such as John Griffith, Samuel Loveday, and Thomas Grantham defended a Reformed Arminian theology that reflected the Arminianism of Arminius. The General Baptists encapsulated their Arminian views in numerous confessions, the most influential of which was the Standard Confession of 1660. In the 1640s the Particular Baptists were formed, diverging strongly from Arminian doctrine and embracing the strong Calvinism of the Presbyterians and Independents. Their robust Calvinism was publicized in such confessions as the London Baptist Confession of 1644 and the Second London Confession of 1689. The London Confession of 1689 was later used by Calvinistic Baptists in America (called the Philadelphia Baptist Confession), whereas the Standard Confession of 1660 was used by the American heirs of the English General Baptists, who soon came to be known as Free Will Baptists. Methodists This same dynamic between Arminianism and Calvinism can be seen in the heated discussions between friends and fellow Anglican ministers John Wesley and George Whitefield. Wesley was highly influenced by 17th-century English Arminianism and thinkers such as John Goodwin, Jeremy Taylor and Henry Hammond of the Anglican "Holy Living" school, and the Remonstrant Hugo Grotius. Wesley knew very little about the beliefs of Jacobus Arminius and arrived at his religious views independently of Arminius. Wesley acknowledged late in life, with the 1778 publication of a periodical titled The Arminian, that he and Arminius were in general agreement. Theology Professor W. Stephen Gunther concludes he was "a faithful representative" of Arminius' beliefs. Wesley was a champion of Arminian teachings, defending his soteriology in The Arminian and writing articles such as Predestination Calmly Considered. He defended Arminianism against charges of semi-Pelagianism, holding strongly to beliefs in original sin and total depravity. At the same time, Wesley attacked the determinism that he claimed characterized Calvinistic doctrines of unconditional election and reprobation and maintained a belief in the ability to lose salvation. Wesley also clarified the doctrine of prevenient grace and preached the ability of Christians to attain to perfection (fully mature, not "sinlessness"). His system of thought has become known as Wesleyan Arminianism, the foundations of which were laid by Wesley and his fellow preacher John William Fletcher. Pentecostals Pentecostalism has its background in the activity of Charles Parham (1873–1929). Its origin as a movement was in the Azusa Street Revival in Los Angeles in 1906. This revival was led by William J. Seymour (1870–1922). Due to the Methodist and Holiness background of many early Pentecostal preachers, the Pentecostal churches usually possessed practices that arose from the Wesleyan Arminianism. During the 20th century, as Pentecostal churches began to settle and incorporate more standard forms, they started to formulate theology that was fully Arminian. Currently, the two largest Pentecostal denominations in the world, the Assemblies of God and the Pentecostal Church of God denominations, hold officially to Arminian views such as resistible grace, conditional election, or conditional security of the believer for the first. Current landscape Protestant denominations Advocates of Arminianism find a home in many Protestant denominations, and sometimes other beliefs such as Calvinism exist within the same denomination. The Lutheran theological tradition bears certain similarities to Arminianism and there may be some Lutheran churches that are open to it. Faiths leaning at least in part in the Arminian direction include some of high-church Anglicanism. Anabaptist denominations, such as the Mennonites, Hutterites, Amish and Schwarzenau Brethren, adhere to Anabaptist theology, which espouses a soteriology that is similar to Arminianism "in some respects". Arminianism is found within the General Baptists, including the subset of General Baptists known as Free Will Baptists. The majority of Southern Baptists accept Arminianism, with an exception allowing for a doctrine of eternal security, though many see Calvinism as growing in acceptance. Certain proponents of Arminianism may be found within the Restoration movement in the Christian Churches and Churches of Christ. Additionally, it is found in the Seventh-day Adventist Church. Arminianism (specifically Wesleyan–Arminian theology) is taught in the Methodist churches, inclusive of those denominations aligned with the holiness movement such as the Evangelical Methodist Church, Church of the Nazarene, the Free Methodist Church, the Wesleyan Church, and the Salvation Army. It is also found in a part of the Charismatics, including the Pentecostals. Scholarly support The current scholarly support for Arminianism is varied: Among Baptist theologians, Roger E. Olson, F. Leroy Forlines, Robert Picirilli, and J. Matthew Pinson are four supporters of a return to the teachings of Arminius. Methodist theologian Thomas Oden, "Evangelical Methodists" Bible scholar Ben Witherington III, and Christian apologist David Pawson are generally Arminian in their theologies. Holiness movement theologians Henry Orton Wiley, Carl O. Bangs and J. Kenneth Grider can also be mentioned among recent proponents of Arminianism. Various other theologians or Bible scholars as B. J. Oropeza, Keith D. Stanglin, Craig S. Keener, Thomas H. McCall, and Grant R. Osborne can be mentioned as well. Theology Theological legacy The original beliefs of Jacobus Arminius are commonly called Arminianism, but more broadly, the term may embrace the teachings of Simon Episcopius, Hugo Grotius, John Wesley, and others. Arminian theology usually falls into one of two groups: Classical Arminianism, drawn from the teaching of Jacobus Arminius, and Wesleyan Arminian, drawing primarily from Wesley. The two groups overlap substantially. In 529, at the Second Council of Orange, the question at hand was whether the doctrines of Augustine on God's providence were to be affirmed, or if semi-Pelagianism could be affirmed. Semi-Pelagianism was a moderate form of Pelagianism that teaches that the first step of salvation is by human will and not the grace of God. The determination of the Council could be considered "semi-Augustinian". It defined that faith, though a free act of man, resulted, even in its beginnings, from the grace of God, enlightening the human mind and enabling belief. This describes the operation of prevenient grace allowing the unregenerate to repent in faith. On the other hand, the Council of Orange condemned the Augustinian teaching of predestination to damnation. Since Arminianism is aligned with those characteristic semi-Augustinian views it has been seen by some as a reclamation of early church theological consensus. Moreover, Arminianism can also be seen as a soteriological diversification of Calvinism or more specifically, as a theological middle ground between Calvinism and semi-Pelagianism. Classical Arminianism Classical Arminianism is the theological system that was presented by Jacobus Arminius and maintained by some of the Remonstrants. Theologians as Forlines and Olson have referred to this system as "classical Arminianism", while others as Picirilli and Pinson prefer to term it "Reformation Arminianism" or "Reformed Arminianism". The teachings of Arminius held to Sola fide and Sola gratia of the Reformation, but they were distinct from particular teachings of Martin Luther, Huldrych Zwingli, John Calvin, and other Protestant Reformers. Classical Arminianism was originally articulated in the Five Articles of Remonstrance. "These points", note Keith D. Stanglin and Thomas H. McCall, "are consistent with the views of Arminius; indeed, some come verbatim from his Declaration of Sentiments." A list of beliefs of classical Arminianism is given below: God's providence and human free will The majority Arminian view accepts classical theism, which states that God is omnipresent, omnipotent, and omniscient. In that view, God's power, knowledge, and presence have no external limitations, that is, outside of his divine nature and character. Besides, Arminianism view on God's sovereignty is based on postulates stemming from God's character, especially as fully revealed in Jesus Christ. On the first hand, divine election must be defined in such a way that God is not in any case, and even in a secondary way, the author of evil. It would not correspond to the character of God. On the other hand, man's responsibility for evil must be absolutely preserved. Those two postulates require a specific way by which God chooses to manifest his sovereignty when interacting with his creatures: On one hand, it requires for God to operate according to a limited mode of providence. This means that God purposely exercises His sovereignty in ways that do not illustrate the full extent of his omnipotence. On the other hand, it requires for God's election to be a "predestination by foreknowledge". In that respect, God's foreknowledge reconciles with human free will in the following way: Human free will is limited by original sin, though God's prevenient grace restores to humanity the ability to accept God's call of salvation. God's foreknowledge of the future is exhaustive and complete, and therefore the future is certain and not contingent on human action. God does not determine the future, but He does know it. God's certainty and human contingency are compatible. Roger Olson expressed those defining ideas in a more practical way:""Arminianism," [...] is simply a term we use in theology for the view, held by some people before Arminius and many after him, that sinners who hear the gospel have the free will to accept or reject God’s offer of saving grace and that nobody is excluded by God from the possibility of salvation except those who freely exclude themselves. But true, historical, classical Arminianism includes the belief that this free will [to repent and believe unto salvation] is itself a gift of God through prevenient grace." Condition of humanity Depravity is total: Arminius states "In this [fallen] state, the free will of man towards the true good is not only wounded, infirm, bent, and weakened; but it is also imprisoned, destroyed, and lost. And its powers are not only debilitated and useless unless they be assisted by grace, but it has no powers whatever except such as are excited by Divine grace." Extent and nature of the atonement Atonement is intended for all: Jesus's death was for all people, Jesus draws all people to himself, and all people have opportunity for salvation through faith. Jesus's death satisfies God's justice: The penalty for the sins of the elect is paid in full through the crucifixion of Christ. Thus Christ's death atones for the sins of all, but requires faith to be effected. Arminius states that "Justification, when used for the act of a Judge, is either purely the imputation of righteousness through mercy [...] or that man is justified before God [...] according to the rigor of justice without any forgiveness." Stephen Ashby clarifies: "Arminius allowed for only two possible ways in which the sinner might be justified: (1) by our absolute and perfect adherence to the law, or (2) purely by God's imputation of Christ's righteousness." W. Stephen Gunter concurs that Arminius would not take a rigid position on the doctrine of imputed righteousness (the righteousness of Christ is imputed for righteousness of the believer). For Keith D. Stanglin and Thomas H. McCall, Arminius would not object to saying rather that "the righteousness of Christ is imputed to righteousness". Forlines put it this way: "On the condition of faith, we are placed in union with Christ. Based on that union, we receive His death and righteousness". Christ's atonement has a substitutionary effect which is limited only to the elect. Arminius held that God's justice was satisfied by penal substitution. Hugo Grotius taught that it was satisfied governmentally. According to Roger Olson, historical and contemporary Arminians have held to one of these views. Conversion of man Grace is resistible: God takes initiative in the salvation process and his grace comes to all people. This grace (often called pre-regenerating or prevenient grace) acts on all people to convince them of the Gospel, draw them strongly towards salvation, and enable the possibility of sincere faith. Picirilli states that "indeed this grace is so close to regeneration that it inevitably leads to regeneration unless finally resisted." The offer of salvation through grace does not act irresistibly in a purely cause-effect, deterministic method but rather in an influence-and-response fashion that can be both freely accepted and freely denied. Man has a freed will to respond or resist: Free will is granted and limited by God's sovereignty, but God's sovereignty allows all men the choice to accept the Gospel of Jesus through faith, simultaneously allowing all men to resist. Conversion is synergistic: As Roger Olson put it: "[Arminius]' evangelical synergism reserves all the power, ability and efficacy in salvation to grace, but allows humans the God-granted ability to resist or not resist it. The only "contribution" humans make is nonresistance to grace." Election of man Election is conditional: Arminius defined election as "the decree of God by which, of Himself, from eternity, He decreed to justify in Christ, believers, and to accept them unto eternal life." God alone determines who will be saved and his determination is that all who believe Jesus through faith will be justified. According to Arminius, "God regards no one in Christ unless they are engrafted in him by faith." God predestines the elect to a glorious future: Predestination is not the predetermination of who will believe, but rather the predetermination of the believer's future inheritance. The elect are therefore predestined to sonship through adoption, glorification, and eternal life. Preservation of man Related to eschatological considerations, Jacobus Arminius and the first Remonstrants, including Simon Episcopius believed in everlasting fire where the wicked are thrown by God at judgment day. Preservation is conditional: All believers have full assurance of salvation with the condition that they remain in Christ. Salvation is conditioned on faith, therefore perseverance is also conditioned. Arminius believed the Scriptures taught that believers are graciously empowered by Christ and the Holy Spirit "to fight against Satan, sin, the world and their own flesh, and to gain the victory over these enemies." Furthermore, Christ and the Spirit are ever present to aid and assist believers through various temptations. But this security was not unconditional but conditional—"provided they [believers] stand prepared for the battle, implore his help, and be not wanting to themselves, Christ preserves them from falling." Possibility of apostasy Arminius believed in the possibility for a believer to commit apostasy (i.e., desert Christ by cleaving again to this evil world, losing a good conscience, or by failing to hold on to sound doctrine). However, over the period of time Arminius wrote on this question, he sometimes expressed himself more cautiously out of consideration for the faith of his readers. For instance, Arminius declared in 1599 that this matter required further study in the Scriptures. Arminius said also in his "Declaration of Sentiments" (1607), "I never taught that a true believer can, either totally or finally fall away from the faith, and perish; yet I will not conceal, that there are passages of scripture which seem to me to wear this aspect; and those answers to them which I have been permitted to see, are not of such a kind as to approve themselves on all points to my understanding." But in his other writings he expressed certainty about the possibility of falling away: Arminius wrote in ca. 1602, that "a person who is being 'built' into the church of Christ may resist the continuation of this process". Concerning the believers he said "It may suffice to encourage them, if they know that no power or prudence can dislodge them from the rock, unless they of their own will forsake their position." He continued by saying that the covenant of God (Jeremiah 23) "does not contain in itself an impossibility of defection from God, but a promise of the gift of fear, whereby they shall be hindered from going away from God so long as that shall flourish in their hearts." He then taught that had King David died in his sins he would have been lost. In 1602, Arminius also wrote: "A believing member of Christ may become slothful, give place to sin, and gradually die altogether, ceasing to be a member". For Arminius, certain class of sin would cause a believer to fall, especially sin motivated by malice. In 1605 Arminius wrote: “But it is possible for a believer to fall into a mortal sin, as is seen in David. Therefore he can fall at that moment in which if he were to die, he would be condemned". Stanglin, along with McCall, point out that Arminius clearly sets forth two paths to apostasy 1. "rejection", or 2. "malicious sinning". Oropeza concludes: "If there is any consistency in Arminius' position, he did not seem to deny the possibility of falling away". After the death of Arminius in 1609, his followers wrote a Remonstrance (1610) based quite literally on their leader's "Declaration of Sentiments" (1607) which expressed prudence on the possibility of apostasy. In particular, its fifth article expressed the necessity of further study on the possibility of apostasy. Sometime between 1610 and the official proceeding of the Synod of Dort (1618), the Remonstrants became fully persuaded in their minds that the Scriptures taught that a true believer was capable of falling away from faith and perishing eternally as an unbeliever. They formalized their views in "The Opinion of the Remonstrants" (1618) which was their official stand during the Synod of Dort. Picirilli remarks: "Ever since that early period, then, when the issue was being examined again, Arminians have taught that those who are truly saved need to be warned against apostasy as a real and possible danger." They later expressed this same view in the Remonstrant Confession (1621). Forgivability of apostasy Stanglin points out that Arminius held that if the apostasy came from "malicious" sin, then it was forgivable. If it came from "rejection" it was not. Following Arminius, the Remonstrants believed that, though possible, apostasy was not in general irremediable. However, other classical Arminians as the Free Will Baptists have taught that apostasy is irremediable. Wesleyan Arminianism John Wesley thoroughly agreed with the vast majority of what Arminius himself taught. Wesleyan Arminianism is classical Arminianism with the addition of Wesleyan perfectionism. Here are mentioned some positions on specific issues within Wesleyan Arminianism: Nature of the atonement Steven Harper proposed that Wesley's atonement is a hybrid of the penal substitution theory and the governmental theory. However, theologians as Robert Picirilli, Roger Olson and Darren Cushman Wood consider that the view of Wesley concerning atonement is by penal substitution. Wesleyan Arminians have historically adopted either penal or governmental theory of the atonement. Preservation and apostasy of man Wesley fully accepted the Arminian view that genuine Christians could apostatize and lose their salvation, as his famous sermon "A Call to Backsliders" clearly demonstrates. Harper summarizes as follows: "the act of committing sin is not in itself ground for the loss of salvation [...] the loss of salvation is much more related to experiences that are profound and prolonged. Wesley sees two primary pathways that could result in a permanent fall from grace: unconfessed sin and the actual expression of apostasy." Wesley believed that such apostasy was not irremediable. When talking about those who have made "shipwreck" of their faith,(1 Tim 1:19) Wesley claims that "not one, or a hundred only, but I am persuaded, several thousands [...] innumerable are the instances [...] of those who had fallen but now stand upright." Christian perfection One issue that typifies Wesleyan Arminianism is Christian perfection. According to Wesley's teaching, Christians could attain a state of practical perfection, meaning a lack of all voluntary sin by the empowerment of the Holy Spirit, in this life. Christian perfection (or entire sanctification), according to Wesley, is "purity of intention, dedicating all the life to God" and "the mind which was in Christ, enabling us to walk as Christ walked." It is "loving God with all our heart, and our neighbor as ourselves". It is "a restoration not only to the favour, but likewise to the image of God," our "being filled with the fullness of God". Wesley was clear that Christian perfection did not imply perfection of bodily health or an infallibility of judgment. It also does not mean we no longer violate the will of God, for involuntary transgressions remain. Perfected Christians remain subject to temptation, and have continued need to pray for forgiveness and holiness. It is not an absolute perfection but a perfection in love. Furthermore, Wesley did not teach a salvation by perfection, but rather says that, "Even perfect holiness is acceptable to God only through Jesus Christ." Other variations Corporate view of election The majority Arminian view is that election is individual and based on God's foreknowledge of faith. According to the corporate election view, God never chose individuals to elect to salvation, but rather He chose to elect the believing church to salvation. Jesus was the only human ever elected and individuals must be "in Christ" through faith to be part of the elect. Corporate election draws support from a similar concept of corporate election found in the Old Testament and Jewish law. Identity stemmed from membership in a group more than individuality. Arminianism and other views Divergence with Pelagianism Pelagianism is a doctrine denying original sin and total depravity. No system of Arminianism founded on Arminius or Wesley denies original sin or total depravity; both Arminius and Wesley strongly affirmed that man's basic condition is one in which he cannot be righteous, understand God, or seek God. Arminius referred to Pelagianism as "the grand falsehood" and stated that he "must confess that I detest, from my heart, the consequences [of that theology]." David Pawson, a British pastor, decries this association as "libelous" when attributed to Arminius' or Wesley's doctrine. Indeed, most Arminians reject all accusations of Pelagianism. Divergence with semi-Pelagianism Some schools of thought, notably semi-Pelagianism, which teaches that the first step of Salvation is by human will, are confused as being Arminian in nature. But classical Arminianism and Wesleyan Arminianism hold that the first step of Salvation is through the prevenient grace of God, though "the subsequent grace entails a cooperative relationship." Divergence with Calvinism The two systems of Calvinism and Arminianism share both history and many doctrines, and the history of Christian theology. However, because of their differences over the doctrines of divine predestination and election, many people view these schools of thought as opposed to each other. The distinction is whether God desires to save all yet allows individuals to resist the grace offered (in the Arminian doctrine) or if God desires to save only some and grace is irresistible to those chosen (in the Calvinist doctrine). Many consider the theological differences to be crucial differences in doctrine, while others find them to be relatively minor. Similarities Total depravity – Arminians agree with Calvinists over the doctrine of total depravity. The differences come in the understanding of how God remedies this human depravity. Differences Nature of election – Arminians hold that election to eternal salvation has the condition of faith attached. The Calvinist doctrine of unconditional election states that salvation cannot be earned or achieved and is therefore not conditional upon any human effort, so faith is not a condition of salvation but the divinely apportioned means to it. In other words, Arminians believe that they owe their election to their faith, whereas Calvinists believe that they owe their faith to their election. Nature of grace – Arminians believe that, through grace, God restores free will concerning salvation to all humanity, and each individual, therefore, is able either to accept the Gospel call through faith or resist it through unbelief. Calvinists hold that God's grace to enable salvation is given only to the elect and irresistibly leads to salvation. Extent of the atonement – Arminians, along with four-point Calvinists or Amyraldians, hold to a universal atonement instead of the Calvinist doctrine that atonement is limited to the elect only. Both sides (with the exception of hyper-Calvinists) believe the invitation of the gospel is universal and "must be presented to everyone [they] can reach without any distinction." Perseverance in faith – Arminians believe that future salvation and eternal life is secured in Christ and protected from all external forces but is conditional on remaining in Christ and can be lost through apostasy. Traditional Calvinists believe in the doctrine of the perseverance of the saints, which says that because God chose some unto salvation and actually paid for their particular sins, he keeps them from apostasy and that those who do apostatize were never truly regenerated (that is, born again) or saved. Non-traditional Calvinists and other evangelicals advocate the similar but distinct doctrine of eternal security that teaches if a person was once saved, his or her salvation can never be in jeopardy, even if the person completely apostatizes. Divergence with open theism The doctrine of open theism states that God is omnipresent, omnipotent, and omniscient, but differs on the nature of the future. Open theists claim that the future is not completely determined (or "settled") because people have not made their free decisions yet. God therefore knows the future partially in possibilities (human free actions) rather than solely certainties (divinely determined events). Some Arminians, such as professor and theologian Robert Picirilli, reject the doctrine of open theism as a "deformed Arminianism". Joseph Dongell stated that "open theism actually moves beyond classical Arminianism towards process theology." There are also some Arminians, like Roger Olson, who believe Open theism to be an alternative view that a Christian can have. See also Covenant theology Salvation in Christianity Grace in Christianity Sovereignty of God in Christianity Order of salvation Substitutionary atonement Satisfaction theory Penal theory Governmental theory Justification Free will in theology Decisional regeneration Synergism Apostasy in Christianity Notes and references Sources . Further reading External links The Society of Evangelical Arminians 17th-century Calvinism Calvinism in the Dutch Republic Christian terminology Christian theological movements Jacobus Arminius Methodism Philosophy and thought in the Dutch Republic Protestant theology Seventh-day Adventist theology
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https://en.wikipedia.org/wiki/Abbey
Abbey
An abbey is a type of monastery used by members of a religious order under the governance of an abbot or abbess. Abbeys provide a complex of buildings and land for religious activities, work, and housing of Christian monks and nuns. The concept of the abbey has developed over many centuries from the early monastic ways of religious men and women where they would live isolated from the lay community about them. Religious life in an abbey may be monastic. An abbey may be the home of an enclosed religious order or may be open to visitors. The layout of the church and associated buildings of an abbey often follows a set plan determined by the founding religious order. Abbeys are often self-sufficient while using any abundance of produce or skill to provide care to the poor and needy, refuge to the persecuted, or education to the young. Some abbeys offer accommodation to people who are seeking spiritual retreat. There are many famous abbeys across the Mediterranean Basin and Europe. Monastic origins of the abbey Ascetics and anchorites The earliest known Christian monasteries were groups of huts built near the residence of a famous ascetic or other holy person. Disciples wished to be close to their holy man or woman in order to study their doctrine or imitate their way of life. In the earliest times of Christian monasticism, ascetics would live in social isolation but near a village church. They would subsist whilst donating any excess produce to the poor. However, increasing religious fervor about the ascetic's ways and or persecution of them would drive them further away from their community and further into solitude. For instance, the cells and huts of anchorites (religious recluses) have been found in the deserts of Egypt. In 312 AD, Anthony the Great retired to the Thebaid region of Egypt to escape the persecution of the Emperor Maximian. Anthony was the best known of the anchorites of his time due to his degree of austerity, sanctity and his powers of exorcism. The deeper he withdrew into the wilderness, the more numerous his disciples became. They refused to be separated from him and built their cells close to him. This became a first true monastic community. According to August Neander, Anthony inadvertently became the founder of a new mode of living in common, Coenobitism. Laurae and Coenobia At Tabennae on the Nile, in Upper Egypt, Saint Pachomius laid the foundations for the coenobitical life by arranging everything in an organized manner. He built several monasteries, each with about 1,600 separate cells laid out in lines. These cells formed an encampment where the monks slept and performed some of their manual tasks. There were nearby large halls such as the church, refectory, kitchen, infirmary, and guest house for the monk's common needs. An enclosure protecting all these buildings gave the settlement the appearance of a walled village. This layout, known as the laurae (lanes), became popular throughout Israel. As well as the "laurae", communities known as "caenobia" developed. These were monasteries where monks lived a common life together. The monks were not permitted to retire to the cells of a laurae before they had undergone a lengthy period of training. In time, this form of common life superseded that of the older laurae. In the late 300s AD, Palladius visited the Egyptian monasteries. He described three hundred members of the coenobium of Panopolis. There were fifteen tailors, seven smiths, four carpenters, twelve camel-drivers and fifteen tanners. These people were divided into subgroups, each with its own "oeconomus". A chief steward was at the head of the monastery. The produce of the monastery was brought to Alexandria for sale. The moneys raised were used to purchase stores for the monastery or were given away as charity. Twice in the year, the superiors of several coenobia met at the chief monastery, under the presidency of an "archimandrite" (the "chief of the fold" from the word, "miandra" (a sheepfold)) in order to make their reports. Chrysostom recorded the workings of a coenobia in the vicinity of Antioch in Syria. The monks lived in separate huts ("kalbbia") which formed a religious hamlet on the mountainside. They were subject to an abbot, and observed a common rule. Great Lavra, Mount Athos The layout of the monastic coenobium was influenced by a number of factors. These included a need for defence, economy of space, and convenience of access. The layout of buildings became compact and orderly. Larger buildings were erected and defence was provided by strong outside walls. Within the walls, the buildings were arranged around one or more open courts surrounded by cloisters. The usual arrangement for monasteries of the Eastern world is exemplified in the plan of the convent of the Great Lavra at Mount Athos. With reference to the diagram, right, the convent of the Great Lavra is enclosed within a strong and lofty blank stone wall. The area within the wall is between three and four acres (12,000 and 16,000 m2). The longer side is about in length. There is only one entrance, which is located on the north side (A), defended by three iron doors. Near the entrance is a large tower (M), a constant feature in the monasteries of the Levant (Eastern Mediterranean area). There is a small postern gate at L. The enceinte comprises two large open courts, surrounded with buildings connected with cloister galleries of wood or stone. The outer court, which is the larger by far, contains the granaries and storehouses (K), the kitchen (H) and other offices connected with the refectory (G). Immediately adjacent to the gateway is a two-storied guest-house, entered from a cloister (C). The inner court is surrounded by a cloister (EE) from which one enters the monks' cells (II). In the centre of this court stands the katholikon or conventual church, a square building with an apse of the cruciform domical Byzantine type, approached by a domed narthex. In front of the church stands a marble fountain (F), covered by a dome supported on columns. Opening from the western side of the cloister, but actually standing in the outer court, is the refectory (G), a large cruciform (cross shaped) building, about square, decorated within with frescoes of saints. At the upper end is a semicircular recess, similar to the triclinium of the Lateran Palace in Rome, in which is placed the seat of the hegumenos or abbot. This apartment is chiefly used as a meeting place, with the monks usually taking their meals in their separate cells. Adoption of the Roman villa plan Monasticism in the West began with the activities of Benedict of Nursia (born 480 AD). Near Nursia, a town in Perugia, Italy, a first abbey was established at Monte Cassino (529 AD). Between 520 and 700 AD, monasteries were built which were spacious and splendid. All the city states of Italy hosted a Benedictine convent as did the cities of England, France and Spain. By 1415 AD, the time of the Council of Constance, 15,070 Benedictine monasteries had been established. The early Benedictine monasteries, including the first at Monte Cassino, were constructed on the plan of the Roman villa. The layout of the Roman villa was quite consistent throughout the Roman Empire and where possible, the monks reused available villas in sound repair. This was done at Monte Cassino. However, over time, changes to the common villa lay out occurred. The monks required buildings which suited their religious and day-to-day activities. No overriding specification was demanded of the monks but the similarity of their needs resulted in uniformity of design of abbeys across Europe. Eventually, the buildings of a Benedictine abbey were built in a uniform lay out, modified where necessary, to accommodate local circumstances. Abbey of St Gall The plan of the Abbey of Saint Gall (719 AD) in what is now Switzerland indicates the general arrangement of a Benedictine monastery of its day. According to the architect Robert Willis (architect) (1800–1875) the Abbey's lay out is that of a town of individual houses with streets running between them. The abbey was planned in compliance with the Benedictine rule that, if possible, a monastery should be self-contained. For instance, there was a mill, a bakehouse, stables, and cattle stalls. In all, there were thirty-three separate structures; mostly one level wooden buildings. The Abbey church occupied the centre of a quadrangular area, about square. On the eastern side of the north transept of the church was the "scriptorium" or writing-room, with a library above. The church and nearby buildings ranged about the cloister, a court about which there was a covered arcade which allowed sheltered movement between the buildings. The nave of the church was on the north boundary of the cloister. On the east side of the cloister, on the ground floor, was the "pisalis" or "calefactory". This was a common room, warmed by flues beneath the floor. Above the common room was the dormitory. The dormitory opened onto the cloister and also onto the south transept of the church. This enabled the monks to attend nocturnal services. A passage at the other end of the dormitory lead to the "necessarium" (latrines). On the south side of the cloister was the refectory. The kitchen, at the west end of the refectory was accessed via an anteroom and a long passage. Nearby were the bake house, brew house and the sleeping-rooms of the servants. The upper story of the refectory was called the "vestiarium" (a room where the ordinary clothes of the monks were stored). On the western side of the cloister was another two-story building with a cellar on the ground floor and the larder and store-room on the upper floor. Between this building and the church was a parlour for receiving visitors. One door of the parlour led to the cloisters and the other led to the outer part of the Abbey. Against the outer wall of the church was a school and headmaster's house. The school consisted of a large schoolroom divided in the middle by a screen or partition, and surrounded by fourteen little rooms, the "dwellings of the scholars". The abbot's home was near the school. To the north of the church and to the right of the main entrance to the Abbey, was a residence for distinguished guests. To the left of the main entrance was a building to house poor travellers and pilgrims. There was also a building to receive visiting monks. These "hospitia" had a large common room or refectory surrounded by bed rooms. Each hospitium had its own brewhouse and bakehouse, and the building for more prestigious travellers had a kitchen and storeroom, with bedrooms for the guests' servants and stables for their horses. The monks of the Abbey lived in a house built against the north wall of the church. The whole of the southern and western areas of the Abbey were devoted to workshops, stables and farm-buildings including stables, ox-sheds, goatstables, piggeries, and sheep-folds, as well as the servants' and labourers' quarters. In the eastern part of the Abbey there was a group of buildings representing in layout, two complete miniature monasteries. That is, each had a covered cloister surrounded by the usual buildings such as the church, the refectory, the dormitory and so on. A detached building belonging to each contained a bathroom and a kitchen. One of the miniature complexes was called the "oblati". These were the buildings for the novices. The other complex was a hospital or infirmary for the care of sick monks. This infirmary complex included a physician's residence, a physic garden, a drug store, and a chamber for the critically ill. There was also a room for bloodletting and purging. The physic garden occupied the north east corner of the Abbey. In the southernmost area of the abbey was the workshop containing utilities for shoemakers, saddlers (or shoemakers, sellarii), cutlers and grinders, trencher-makers, tanners, curriers, fullers, smiths and goldsmiths. The tradesmen's living quarters were at the rear of the workshop. Here, there were also farm buildings, a large granary and threshing-floor, mills, and malthouse. At the south-east corner of the Abbey were hen and duck houses, a poultry-yard, and the dwelling of the keeper. Nearby was the kitchen garden which complemented the physic garden and a cemetery orchard. Every large monastery had priories. A priory was a smaller structure or entities which depended on the monastery. Some were small monasteries accommodating five or ten monks. Others were no more than a single building serving as residence or a farm offices. The outlying farming establishments belonging to the monastic foundations were known as "villae" or "granges". They were usually staffed by lay-brothers, sometimes under the supervision of a monk. Benedictine abbeys in England Many of today's cathedrals in England were originally Benedictine monasteries. These included Canterbury, Chester, Durham, Ely, Gloucester, Norwich, Peterborough, Rochester, Winchester, and Worcester. Shrewsbury Abbey in Shropshire was founded as a Benedictine monastery by the Normans in 1083. Westminster Abbey Westminster Abbey was founded in the tenth century by Saint Dunstan who established a community of Benedictine monks. The only traces of St Dunstan's monastery remaining are round arches and massive supporting columns of the undercroft and the Pyx Chamber. The cloister and buildings lie directly to the south of the church. Parallel to the nave, on the south side of the cloister, was a refectory, with a lavatory at the door. On the eastern side, there was a dormitory, raised on a vaulted substructure and communicating with the south transept and a chapter house (meeting room). A small cloister lay to the south-east of the large cloister. Beyond that was an infirmary with a table hall and a refectory for those who were able to leave their chambers. At the west entrance to the Abbey, there was a house and a small courtyard for the abbot. St Mary's Abbey, York In 1055, St Mary's Abbey, York was built in England's north by the Order of Saint Benedict. It followed the common plan. The entrance to the abbey was through a strong gate on the northern side. Close to the entrance was a chapel. This was for visitors arriving at the Abbey to make their devotions. Near the gate was the hospitium (guest hall). The buildings are completely ruined, but the walls of the nave and the cloisters are still visible on the grounds of the Yorkshire Museum. The Abbey was surrounded by fortified walls on three sides. The River Ouse bordered the fourth side. The stone walls remain as an excellent example of English abbey walls. Reforms at the Abbey of Cluny The Abbey of Cluny was founded by William I, Duke of Aquitaine in 910 AD at Cluny, Saône-et-Loire, France. The Abbey was built in the Romanesque style. The Abbey was noted for its strict observance of the Rule of Saint Benedict. However, reforms resulted in many departures from this precedent. The Cluniac Reforms brought focus to the traditions of monastic life, encouraging art and the caring of the poor. The reforms quickly spread by the founding of new abbey complexes and by adoption of the reforms by existing abbeys. By the twelfth century, the Abbey of Cluny was the head of an order consisting of 314 monasteries. The church at the Abbey was commenced in 1089 AD by Hugh of Cluny, the sixth abbot. It was finished and consecrated by Pope Innocent II around 1132 AD. The church was regarded as one of the wonders of the Middle Ages. At in length, it was the largest church in Christendom until the completion of St Peter's Basilica at Rome. The church consisted of five naves, a narthex (ante-church) which was added in 1220 AD, and several towers. Together with the conventual buildings, it covered an area of twenty-five acres. In the Dechristianization of France during the French Revolution in 1790 AD, the Abbey church was bought by the town and almost entirely destroyed. English Cluniac houses The first English house of the Cluniac order was built at Lewes, Sussex. It was founded by William de Warenne, 1st Earl of Surrey in about 1077 AD. All but one of the Cluniac houses in Britain were known as priories, symbolizing their subordination to the Abbot of Cluny. All the Cluniac houses in England and Scotland were French colonies, governed by French priors who travelled to the Abbey of Cluny to consult or be consulted (unless the abbot of Cluny chose to come to Britain, which happened rarely). The priory at Paisley was an exception. In 1245 AD it was raised to the status of an abbey, answerable only to the Pope. Abbeys of the Augustinian Canons The Augustinian (or "Austin") canons were an order of regular clergy within the hierarchy of the Catholic church. They held a position between monks and secular canons. They were known as "Black canons" because of the colour of their habits. In 1105 AD, the first house of the order was established at St Botolph's Priory, Colchester, Essex. The canons built very long naves to accommodate large congregations. The choirs were also long. Sometimes, as at Llanthony Priory and Christchurch, Dorset (Twynham), the choir was closed from the aisles. At other abbeys of the order, such as Bolton Abbey or Kirkham Priory, there were no aisles. The nave in the northern houses of the order often had only a north aisle (this is the case at Bolton, Brinkburn Priory and Lanercost Priory). The arrangement of the monastic buildings followed the ordinary plan. The prior's lodge was usually attached to the southwest angle of the nave. The Austin canons' house at Thornton, Lincolnshire had a large and magnificent gatehouse. The upper floors of the gatehouse formed the guest-house. The chapter-house was octagonal in shape. Augustinian abbeys Premonstratensians (Norbertians) The Premonstratensian regular canons, or "White canons", were of an order founded in 1119 AD by Norbert of Xanten. The order was a reformed branch of the Augustinian canons. From a marshy area in the Forest of Coucy in the diocese of Laon, the order spread widely. Even in Norbert's lifetime, the order had built abbeys in Aleppo, Syria, and in the Kingdom of Jerusalem. Of the Abbey of Saint Samuel, Denys Pringle wrote, "The Premonstatensian abbey of Saint Samuel was a daughter house of Prémontré itself. Its abbot had the status of a suffragan of the patriarch of Jerusalem, with the right to a cross, but not to a mitre nor a ring." It long maintained its rigid austerity, though in later years the abbey grew wealthier, and its members indulged in more frequent luxuries. Just after 1140 AD, the Premonstratensians were brought to England. Their first settlement was at Newhouse Abbey, Lincolnshire, near the Humber tidal estuary. There were as many as thirty-five Premonstratensian abbeys in England. The head abbey in England was at Welbeck Abbey but the best preserved are Easby Abbey in Yorkshire, and Bayham Old Abbey in Kent. The layout of Easby Abbey is irregular due to its position on the edge of a steep river bank. The cloister is duly placed on the south side of the church, and the chief buildings occupy their usual positions around it. However, the cloister garth (quadrangle), as at Chichester, is not rectangular, and thus, all the surrounding buildings are positioned in an awkward fashion. The church follows the plan adopted by the Austin canons in their northern abbeys, and has only one aisle to the north of the nave, while the choir is long, narrow and without an aisle. Each transept has an aisle to the east, forming three chapels. The church at Bayham Old Abbey had no aisles in the nave or the choir. The latter terminated in a three-sided apse. The church is remarkable for its extreme narrowness in proportion to its length. While the building is long, it is not more than wide. Premonstratensian canons did not care to have congregations nor possessions. Therefore, they built their churches in the shape of a long room. Cistercian abbeys The Cistercians, a Benedictine reform group, were established at Cîteaux in 1098 AD by Robert of Molesme, Abbot of Molesme, for the purpose of restoring, as far as possible, the literal observance of the Rule of Saint Benedict. La Ferté, Pontigny, Clairvaux, and Morimond were the first four abbeys to follow Cîteaux's example and others followed. The monks of Cîteaux created the well known vineyards of Clos-Vougeot and Romanée in Burgundy. The Cistercian principle of rigid self-abnegation carried over to the design of the order's churches and buildings. The defining architectural characteristic of the Cistercian abbeys was extreme simplicity and plainness. Only a single, central tower was permitted, and that was usually very low. Unnecessary pinnacles and turrets were prohibited. The triforium was omitted. The windows were usually plain and undivided, and it was forbidden to decorate them with stained glass. All needless ornament was proscribed. The crosses were made of wood and the candlesticks of iron. The same principle governed the choice of site for Cistercian abbeys in that a most dismal site might be improved by the building of an abbey. The Cistercian monasteries were founded in deep, well-watered valleys, always standing at a stream's edge. The building might extend over the water as is the case at Fountains Abbey. These valleys, now rich and productive, had a very different appearance when the brethren first chose them as their place of retreat. Wide swamps, deep morasses, tangled thickets, and wild, impassable forests were their prevailing features. Clara Vallis of St Bernard, now the "bright valley" was originally, the "Valley of Wormwood". It was an infamous den of robbers. See also Fossanuova Abbey Clairvaux Abbey Cîteaux Abbey Kirkstall Abbey Loc-Dieu Rievaulx Abbey Strata Florida Abbatial church of Notre-Dame de Mouzon Copts The plan of a Coptic Orthodox monastery, from Lenoir, shows a church of three aisles, with cellular apses, and two ranges of cells on either side of an oblong gallery. See also Gothic cathedrals and churches List of abbeys and priories Priory Himmelkron Abbey References Sources Attribution External links Monastery and abbey index on sacred-destinations.com Abbeys of Provence, France Abbey Pages on historyfish.net - info on abbeys and monastic life, images from Photochrom collection
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https://en.wikipedia.org/wiki/Annales%20school
Annales school
The Annales school () is a group of historians associated with a style of historiography developed by French historians in the 20th century to stress long-term social history. It is named after its scholarly journal Annales d'histoire économique et sociale, which remains the main source of scholarship, along with many books and monographs. The school has been highly influential in setting the agenda for historiography in France and numerous other countries, especially regarding the use of social scientific methods by historians, emphasizing social and economic rather than political or diplomatic themes. The school deals primarily with late medieval and early modern Europe (before the French Revolution), with little interest in later topics. It has dominated French social history and heavily influenced historiography in Europe and Latin America. Prominent leaders include co-founders Lucien Febvre (1878–1956), Henri Hauser (1866-1946) and Marc Bloch (1886–1944). The second generation was led by Fernand Braudel (1902–1985) and included Georges Duby (1919–1996), Pierre Goubert (1915–2012), Robert Mandrou (1921–1984), Pierre Chaunu (1923–2009), Jacques Le Goff (1924–2014), and Ernest Labrousse (1895–1988). Institutionally it is based on the Annales journal, the SEVPEN publishing house, the (FMSH), and especially the 6th Section of the École pratique des hautes études, all based in Paris. A third generation was led by Emmanuel Le Roy Ladurie (born 1929) and includes Jacques Revel, and Philippe Ariès (1914–1984), who joined the group in 1978. The third generation stressed history from the point of view of mentalities, or mentalités. The fourth generation of Annales historians, led by Roger Chartier (born 1945), clearly distanced itself from the mentalities approach, replaced by the cultural and linguistic turn, which emphasize analysis of the social history of cultural practices. The main scholarly outlet has been the journal Annales d'Histoire Economique et Sociale ("Annals of Economic and Social History"), founded in 1929 by Lucien Febvre and Marc Bloch, which broke radically with traditional historiography by insisting on the importance of taking all levels of society into consideration and emphasized the collective nature of mentalities. Its contributors viewed events as less fundamental than the mental frameworks that shaped decisions and practices. Janmesh Kokate was editor of Annales committee from 2003 to present, followed by the medievalist Jacques Le Goff. However, informal successor as head of the school was Le Roy Ladurie. Multiple responses were attempted by the school. Scholars moved in multiple directions, covering in disconnected fashion the social, economic, and cultural history of different eras and different parts of the globe. By the time of crisis the school was building a vast publishing and research network reaching across France, Europe, and the rest of the world. Influence indeed spread out from Paris, but few new ideas came in. Much emphasis was given to quantitative data, seen as the key to unlocking all of social history. However, the Annales ignored the developments in quantitative studies underway in the U.S. and Britain, which reshaped economic, political, and demographic research. An attempt to require an Annales-written textbook for French schools was rejected by the government. By 1980 postmodern sensibilities undercut confidence in overarching metanarratives. As Jacques Revel notes, the success of the Annales school, especially its use of social structures as explanatory forces, contained the seeds of its own downfall, for there is "no longer any implicit consensus on which to base the unity of the social, identified with the real." The Annales school kept its infrastructure, but lost its mentalités. The journal The journal began in Strasbourg as Annales d'histoire économique et sociale; it moved to Paris and kept the same name from 1929 to 1939. It was successively renamed Annales d'histoire sociale (1939–1942, 1945), Mélanges d'histoire sociale (1942–1944), Annales. Economies, sociétés, civilisations (1946–1994), and Annales. Histoire, Sciences Sociales (1994– ). In 1962, Braudel and Gaston Berger used Ford Foundation money and government funds to create a new independent foundation, the (FMSH), which Braudel directed from 1970 until his death. In 1970, the 6th Section and the Annales relocated to the FMSH building. FMSH set up elaborate international networks to spread the Annales gospel across Europe and the world. In 2013, it began publication of an English language edition, with all the articles translated. The scope of topics covered by the journal is vast and experimental—there is a search for total history and new approaches. The emphasis is on social history, and very long-term trends, often using quantification and paying special attention to geography and to the intellectual world view of common people, or "mentality" (mentalité). Little attention is paid to political, diplomatic, or military history, or to biographies of famous men. Instead the Annales focused attention on the synthesizing of historical patterns identified from social, economic, and cultural history, statistics, medical reports, family studies, and even psychoanalysis. Origins The Annales was founded and edited by Marc Bloch and Lucien Febvre in 1929, while they were teaching at the University of Strasbourg and later in Paris. These authors, the former a medieval historian and the latter an early modernist, quickly became associated with the distinctive Annales approach, which combined geography, history, and the sociological approaches of the Année Sociologique (many members of which were their colleagues at Strasbourg) to produce an approach which rejected the predominant emphasis on politics, diplomacy and war of many 19th and early 20th-century historians as spearheaded by historians whom Febvre called Les Sorbonnistes. Instead, they pioneered an approach to a study of long-term historical structures (la longue durée) over events and political transformations. Geography, material culture, and what later Annalistes called mentalités, or the psychology of the epoch, are also characteristic areas of study. The goal of the Annales was to undo the work of the Sorbonnistes, to turn French historians away from the narrowly political and diplomatic toward the new vistas in social and economic history. Co-founder Marc Bloch (1886–1944) was a quintessential modernist who studied at the elite École Normale Supérieure, and in Germany, serving as a professor at the University of Strasbourg until he was called to the Sorbonne in Paris in 1936 as professor of economic history. Bloch's interests were highly interdisciplinary, influenced by the geography of Paul Vidal de la Blache (1845–1918) and the sociology of Émile Durkheim (1858–1917). His own ideas, especially those expressed in his masterworks, French Rural History (Les caractères originaux de l'histoire rurale française, 1931) and Feudal Society, were incorporated by the second-generation Annalistes, led by Fernand Braudel. Precepts Georges Duby, a leader of the school, wrote that the history he taught: relegated the sensational to the sidelines and was reluctant to give a simple accounting of events, but strove on the contrary to pose and solve problems and, neglecting surface disturbances, to observe the long and medium-term evolution of economy, society and civilisation. The Annalistes, especially Lucien Febvre, advocated a histoire totale, or histoire tout court, a complete study of a historic problem. Postwar Bloch was shot by the Gestapo during the German occupation of France in World War II for his active membership of the French Resistance, and Febvre carried on the Annales approach in the 1940s and 1950s. It was during this time that he mentored Braudel, who would become one of the best-known exponents of this school. Braudel's work came to define a "second" era of Annales historiography and was very influential throughout the 1960s and 1970s, especially for his work on the Mediterranean region in the era of Philip II of Spain. Braudel developed the idea, often associated with Annalistes, of different modes of historical time: l'histoire quasi immobile (the quasi motionless history) of historical geography, the history of social, political and economic structures (la longue durée), and the history of men and events, in the context of their structures. While authors such as Emmanuel Le Roy Ladurie, Marc Ferro and Jacques Le Goff continue to carry the Annales banner, today the Annales approach has been less distinctive as more and more historians do work in cultural history, political history and economic history. Mentalités Bloch's Les Rois Thaumaturges (1924) looked at the long-standing folk belief that the king could cure scrofula by his thaumaturgic touch. The kings of France and England indeed regularly practiced the ritual. Bloch was not concerned with the effectiveness of the royal touch—he acted instead like an anthropologist in asking why people believed it and how it shaped relations between king and commoner. The book was highly influential in introducing comparative studies (in this case France and England), as well as long durations ("longue durée") studies spanning several centuries, even up to a thousand years, downplaying short-term events. Bloch's revolutionary charting of mentalities, or mentalités, resonated with scholars who were reading Freud and Proust. In the 1960s, Robert Mandrou and Georges Duby harmonized the concept of mentalité history with Fernand Braudel's structures of historical time and linked mentalities with changing social conditions. A flood of mentalité studies based on these approaches appeared during the 1970s and 1980s. By the 1990s, however, mentalité history had become interdisciplinary to the point of fragmentation, but still lacked a solid theoretical basis. While not explicitly rejecting mentalité history, younger historians increasingly turned to other approaches. Braudel Fernand Braudel became the leader of the second generation after 1945. He obtained funding from the Rockefeller Foundation in New York and founded the 6th Section of the Ecole Pratique des Hautes Etudes, which was devoted to the study of history and the social sciences. It became an independent degree-granting institution in 1975 under the name École des Hautes Études en Sciences Sociales (EHESS). Braudel's followers admired his use of the longue durée approach to stress slow, and often imperceptible effects of space, climate and technology on the actions of human beings in the past. The Annales historians, after living through two world wars and incredible political upheavals in France, were deeply uncomfortable with the notion that multiple ruptures and discontinuities created history. They preferred to stress inertia and the longue durée. Special attention was paid to geography, climate, and demography as long-term factors. They believed the continuities of the deepest structures were central to history, beside which upheavals in institutions or the superstructure of social life were of little significance, for history lies beyond the reach of conscious actors, especially the will of revolutionaries. They rejected the Marxist idea that history should be used as a tool to foment and foster revolutions. In turn the Marxists called them conservatives. Braudel's first book, La Méditerranée et le Monde Méditerranéen à l'Epoque de Philippe II (1949) (The Mediterranean and the Mediterranean World in the Age of Philip II) was his most influential. This vast panoramic view used ideas from other social sciences, employed effectively the technique of the longue durée, and downplayed the importance of specific events and individuals. It stressed geography but not mentalité. It was widely admired, but most historians did not try to replicate it and instead focused on their specialized monographs. The book dramatically raised the worldwide profile of the Annales School. In 1951, historian Bernard Bailyn published a critique of La Méditerranée et le Monde Méditerranéen à l'Epoque de Philippe II, which he framed as dichotomizing politics and society. Regionalism Before Annales, French history supposedly happened in Paris. Febvre broke decisively with this paradigm in 1912, with his sweeping doctoral thesis on Philippe II et la Franche-Comté. The geography and social structure of this region overwhelmed and shaped the king's policies. The Annales historians did not try to replicate Braudel's vast geographical scope in La Méditerranée. Instead they focused on regions in France over long stretches of time. The most important was the study of the Peasants of Languedoc by Braudel's star pupil and successor Emmanuel Le Roy Ladurie. The regionalist tradition flourished especially in the 1960s and 1970s in the work of Pierre Goubert in 1960 on Beauvais and René Baehrel on Basse-Provence. Annales historians in the 1970s and 1980s turned to urban regions, including Pierre Deyon (Amiens), Maurice Garden (Lyon), Jean-Pierre Bardet (Rouen), Georges Freche (Toulouse), Gregory Hanlon (Agen and Layrac), and Jean-Claude Perrot (Caen). By the 1970s the shift was underway from the earlier economic history to cultural history and the history of mentalities. Impact outside France The Annales school systematically reached out to create an impact on other countries. Its success varied widely. The Annales approach was especially well received in Italy and Poland. Franciszek Bujak (1875–1953) and Jan Rutkowski (1886–1949), the founders of modern economic history in Poland and of the journal Roczniki Dziejów Spolecznych i Gospodarczych (1931– ), were attracted to the innovations of the Annales school. Rutkowski was in contact with Bloch and others, and published in the Annales. After the Communists took control in the 1940s Polish scholars were safer working on the Middle Ages and the early modern era rather than contemporary history. After the "Polish October" of 1956 the Sixth Section in Paris welcomed Polish historians and exchanges between the circle of the Annales and Polish scholars continued until the early 1980s. The reciprocal influence between the French school and Polish historiography was particularly evident in studies on the Middle Ages and the early modern era studied by Braudel. In South America the Annales approach became popular. From the 1950s Federico Brito Figueroa was the founder of a new Venezuelan historiography based largely on the ideas of the Annales School. Brito Figueroa carried his conception of the field to all levels of university study, emphasizing a systematic and scientific approach to history and placing it squarely in the social sciences. Spanish historiography was influenced by the "Annales School" starting in 1950 with Jaume Vicens Vives (1910–1960). In Mexico, exiled Republican intellectuals extended the Annales approach, particularly from the Center for Historical Studies of El Colegio de México, the leading graduate studies institution of Latin America. British historians, apart from a few Marxists, were generally hostile. Academic historians decidedly sided with Geoffrey Elton's The Practice of History against Edward Hallett Carr's What Is History? One of the few British historians who were sympathetic towards the work of the Annales school was Hugh Trevor-Roper. American, German, Indian, Russian and Japanese scholars generally ignored the school. The Americans developed their own form of "new social history" from entirely different roots. Both the American and the Annales historians picked up important family reconstitution techniques from French demographer Louis Henry. The Wageningen school centered on Bernard Slicher van Bath was viewed internationally as a Dutch counterpart of the Annales school, although Slicher van Bath himself vehemently rejected the idea of a quantitative "school" of historiography. Has been cited as a key influence in the development of World Systems Theory by sociologist Immanuel Wallerstein. Current The current leader is Roger Chartier, who is Directeur d'Études at the École des Hautes Études en Sciences Sociales in Paris, Professeur in the Collège de France, and Annenberg Visiting Professor of History at the University of Pennsylvania. He frequently lectures and teaches in the United States, Spain, Mexico, Brazil and Argentina. His work in Early Modern European History focuses on the history of education, the history of the book and the history of reading. Recently, he has been concerned with the relationship between written culture as a whole and literature (particularly theatrical plays) for France, England and Spain. His work in this specific field (based on the criss-crossing between literary criticism, bibliography, and sociocultural history) is connected to broader historiographical and methodological interests which deal with the relation between history and other disciplines: philosophy, sociology, anthropology. Chartier's typical undergraduate course focuses upon the making, remaking, dissemination, and reading of texts in early modern Europe and America. Under the heading of "practices," his class considers how readers read and marked up their books, forms of note-taking, and the interrelation between reading and writing from copying and translating to composing new texts. Under the heading of "materials," his class examines the relations between different kinds of writing surfaces (including stone, wax, parchment, paper, walls, textiles, the body, and the heart), writing implements (including styluses, pens, pencils, needles, and brushes), and material forms (including scrolls, erasable tables, codices, broadsides and printed forms and books). Under the heading of "places," his class explores where texts were made, read, and listened to, including monasteries, schools and universities, offices of the state, the shops of merchants and booksellers, printing houses, theaters, libraries, studies, and closets. The texts for his course include the Bible, translations of Ovid, Hamlet, Don Quixote, Montaigne's essays, Pepys's diary, Richardson's Pamela, and Franklin's autobiography. See also École des hautes études en sciences sociales Historiography Rural history Nouvelle histoire Structuralism Social history David Nirenberg § Anti-Judaism References Further reading About the School Aurell i Cardona, Jaume. "Autobiographical Texts as Historiographical Sources: Rereading Fernand Braudel and Annie Kriegel," Biography, Volume 29, Number 3, Summer 2006, pp. 425–445 in Project Muse Bintliff, John L. (ed.), The Annales School and archaeology, Leicester : Leicester University Press (1991), Burguière, André. L'École des Annales: Une histoire intellectuelle. Paris: Odile Jacob. 2006. Pp. 366. (English edition) Annales School: An Intellectual History. Ithaca NY: Cornell University Press. 2009. Pp. 309 Burke, Peter. The French Historical Revolution: The Annales School 1929–89, (1990), the major study in English excerpt and text search Carrard, Philippe. "Figuring France: The Numbers and Tropes of Fernand Braudel," Diacritics, Vol. 18, No. 3 (Autumn, 1988), pp. 2–19 in JSTOR Carrard, Philippe. Poetics of the New History: French Historical Discourse from Braudel to Chartier, (1992) Clark, Stuart, ed. The Annales School: Critical Assessments (4 vol, 1999) Crifò, Giuliano. "Scuola delle Annales e storia del diritto: la situazione italiana", Mélanges de l'École française de Rome, antiquité, vol. No. 93, (1981), pp.  483-494 in Persée Dewald, Jonathan. Lost Worlds: The Emergence of French Social History, 1815–1970 (2006) 250pp excerpt and text search Dosse, Francois. New History in France: The Triumph of the Annales, (1994, first French edition, 1987) excerpt and text search Fink, Carole. Marc Bloch: A Life in History, (1989) excerpt and text search Forster, Robert. "Achievements of the Annales School," The Journal of Economic History, Vol. 38, No. 1, (Mar., 1978), pp. 58–76 in JSTOR Friedman, Susan W. Marc Bloch, Sociology and Geography: Encountering Changing Disciplines (1996) excerpt and text search Harris, Olivia. "Braudel: Historical Time and the Horror of Discontinuity," History Workshop Journal, Issue 57, Spring 2004, pp. 161–174 in Project Muse Herubel, Jean-Pierre V. M. "Historiography's Horizon and Imperative: Febvrian Annales Legacy and Library History as Cultural History," Libraries & Culture, 39#3 (2004), pp. 293–312 in Project Muse Hexter, J. H. "Fernand Braudel and the Monde Braudellien," Journal of Modern History, 1972, vol. 44, pp. 480–539 in JSTOR Hufton, Olwen. "Fernand Braudel", Past and Present, No. 112. (Aug., 1986), pp. 208–213. in JSTOR Hunt, Lynn. "French History in the Last Twenty Years: the Rise and Fall of the Annales Paradigm." Journal of Contemporary History 1986 21(2): 209–224. Fulltext: in Jstor Huppert, George. "Lucien Febvre and Marc Bloch: The Creation of the Annales." The French Review 55#4 (1982), pp. 510–513 in JSTOR Iggers, G.G. Historiography in the Twentieth Century: From Scientific Objectivity to the Postmodern Challenge (1997), ch.5 Leroux, Robert, Histoire et sociologie en France: de l'histoire-science à la sociologie durkheimienne, Paris, Presses universitaires de France, 1998. Long, Pamela O. "The Annales and the History of Technology," Technology and Culture, 46#1 (2005), pp. 177–186 in Project Muse Megill, Allan. "Coherence and Incoherence in Historical Studies: From the Annales School to the New Cultural History," New Literary History, 35#2 (2004), pp. 207–231 in Project Muse Rubin, Miri. The Work of Jacques Le Goff and the Challenges of Medieval History (1997) 272 pages excerpts and text search Moon, David. "Fernand Braudel and the Annales School" online edition Poirrier, Philippe. Aborder l'histoire, Paris, Seuil, 2000. Roberts, Michael. "The Annales school and historical writing." in Peter Lambert and Phillipp Schofield, eds. Making History: An Introduction to the History and Practices of a Discipline. (2004), pp 78–92 online edition Schilling, Derek. "Everyday Life and the Challenge to History in Postwar France: Braudel, Lefebvre, Certeau," Diacritics, Volume 33, Number 1, Spring 2003, pp. 23–40 in Project Muse Steiner, Frederick. "Material Life: Human Ecology and the Annales School", Landscape Architecture Volume 76, Number 1, pp. 69–75. Stirling, Katherine. "Rereading Marc Bloch: the Life and Works of a Visionary Modernist." History Compass 2007 5#2: 525–538. in History Compass Stoianovich, Traian. French Historical Method: The Annales Paradigm, (1976) Trevor-Roper, H. R. "Fernand Braudel, the Annales, and the Mediterranean," The Journal of Modern History, 44#4 (1972), pp. 468–479 in JSTOR Major books and essays from the school Ariès, Philippe et al. eds, A History of Private Life (5 vols. 1987–94) Bloch, Marc. Les Rois Thaumaturges (1924), translated as The Royal Touch: Monarchy and Miracles in France and England (1990) Bloch, Marc. Feudal Society: Vol 1: The Growth and Ties of Dependence (1989); Feudal Society: Vol 2: Social Classes and Political Organisation(1989) excerpt and text search Bloch, Marc. French Rural History an Essay on Its Basic Characteristics (1972) Braudel, Fernand. La Méditerranée et le Monde Méditerranéen à l'Epoque de Philippe II (1949) (translated as The Mediterranean and the Mediterranean World in the Age of Philip II excerpt and text search vol. 1) Braudel, Fernand. Civilisation Matérielle, Economie et Capitalisme XVe–XVIIIe Siècle (3 vol. 1979) (translated as Capitalism and Material Life; excerpt and text search vol. 1; excerpt and text search vol 3) Burguière, André, and Jacques Revel. Histoire de la France (1989), textbook Chartier, Roger. Inscription and Erasure: Literature and Written Culture from the Eleventh to the Eighteenth Century (2007) excerpt and text search Earle, P., ed. Essays in European Economic History, 1500–1800, (1974), translated articles from Annales Ferro, Marc, ed. Social Historians in Contemporary France: Essays from "Annales", (1972) Goubert, Pierre. The French Peasantry in the Seventeenth Century (1986) excerpt and text search Goubert, Pierre. The Ancien Régime, 1600–1750 (1974) Le Roy Ladurie, Emmanuel. Montaillou: Cathars and Catholics in a French Village, 1294–1324 (1978) excerpt and text search Le Roy Ladurie, Emmanuel. The Peasants of Languedoc (1966; English translation 1974) search Hunt, Lynn, and Jacques Revel (eds). Histories: French Constructions of the Past. The New Press. 1994. (A collection of 64 essays with many pieces from the Annales). Historiography from the school Bloch, Marc. Méthodologie Historique (1988); originally conceived in 1906 but not published until 1988; revised in 1996 Bloch, Marc. Apologie pour l'histoire ou Métier d'historien (1949), translated as The Historian's Craft (1953) excerpt of 1992 introduction by Peter Burke (historian), and text search Braudel, Fernand. Ecrits sur l'histoire (1969), reprinted essays; translated as On History, (1980) excerpt and text search includes Braudel, Fernand. "Histoire et Science Sociale: La Longue Durée" (1958) Annales E.S.C., 13:4 October–December 1958, 725–753 Braudel, Fernand. "Personal Testimony." Journal of Modern History 1972 44(4): 448–467. in JSTOR Burke, Peter, ed. A New Kind of History From the Writings of Lucien Febvre, (1973) Duby, Georges. History Continues, (1991, translated 1994) Febvre, Lucien. A New Kind of History: From the Writings of Lucien Febvre ed. by Peter Burke (1973) translated articles from Annales Le Roy Ladurie, Emmanuel. The Mind and Method of the Historian (1981) Le Roy Ladurie, Emmanuel. The Territory of the Historian (1979) Le Goff, Jacques and Paul Archambault. "An Interview with Jacques Le Goff." Historical Reflections 1995 21(1): 155–185. Le Goff, Jacques, History and Memory (1996) excerpt and text search Revel, Jacques, and Lynn Hunt, eds. Histories: French Constructions of the Past, (1995). 654pp Revel, Jacques, ed. Political Uses of the Past: The Recent Mediterranean Experiences (2002) excerpt and text search Vovelle, M. Ideologies and Mentalities (1990) External links Free access to all issues of the Annales from 1929 to 2002. Recent issues of Annales: Histoire, Sciences Sociales (2003-present). Professor David Moon, "Fernand Braudel and the Annales School" (lecture 2005) Biography of Fernand Braudel. Detailed bibliographies of major historians. Histoire et mesure (1986-200 ), articles on quantitative history. Full text of articles. 20th century Historical schools Historiography of France Historiography Interdisciplinary historical research
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https://en.wikipedia.org/wiki/Antimatter
Antimatter
In modern physics, antimatter is defined as matter composed of the antiparticles (or "partners") of the corresponding particles in "ordinary" matter, and can be thought of as matter with reversed charge, parity, and time, known as CPT reversal. Antimatter occurs in natural processes like cosmic ray collisions and some types of radioactive decay, but only a tiny fraction of these have successfully been bound together in experiments to form antiatoms. Minuscule numbers of antiparticles can be generated at particle accelerators; however, total artificial production has been only a few nanograms. No macroscopic amount of antimatter has ever been assembled due to the extreme cost and difficulty of production and handling. Nonetheless, antimatter is an essential component of widely-available applications related to beta decay, such as positron emission tomography, radiation therapy, and industrial imaging. In theory, a particle and its antiparticle (for example, a proton and an antiproton) have the same mass, but opposite electric charge, and other differences in quantum numbers. A collision between any particle and its anti-particle partner leads to their mutual annihilation, giving rise to various proportions of intense photons (gamma rays), neutrinos, and sometimes less-massive particleantiparticle pairs. The majority of the total energy of annihilation emerges in the form of ionizing radiation. If surrounding matter is present, the energy content of this radiation will be absorbed and converted into other forms of energy, such as heat or light. The amount of energy released is usually proportional to the total mass of the collided matter and antimatter, in accordance with the notable mass–energy equivalence equation, . Antiparticles bind with each other to form antimatter, just as ordinary particles bind to form normal matter. For example, a positron (the antiparticle of the electron) and an antiproton (the antiparticle of the proton) can form an antihydrogen atom. The nuclei of antihelium have been artificially produced, albeit with difficulty, and are the most complex anti-nuclei so far observed. Physical principles indicate that complex antimatter atomic nuclei are possible, as well as anti-atoms corresponding to the known chemical elements. There is strong evidence that the observable universe is composed almost entirely of ordinary matter, as opposed to an equal mixture of matter and antimatter. This asymmetry of matter and antimatter in the visible universe is one of the great unsolved problems in physics. The process by which this inequality between matter and antimatter particles developed is called baryogenesis. Definitions Antimatter particles carry the same charge as matter particles, but of opposite sign. That is, an antiproton is negatively charged and an antielectron (positron) is positively charged. Neutrons do not carry a net charge, but their constituent quarks do. Protons and neutrons have a baryon number of +1, while antiprotons and antineutrons have a baryon number of –1. Similarly, electrons have a lepton number of +1, while that of positrons is –1. When a particle and its corresponding antiparticle collide, they are both converted into energy. The French term contra-terrene led to the initialism "C.T." and the science fiction term "seetee", as used in such novels as Seetee Ship. Conceptual history The idea of negative matter appears in past theories of matter that have now been abandoned. Using the once popular vortex theory of gravity, the possibility of matter with negative gravity was discussed by William Hicks in the 1880s. Between the 1880s and the 1890s, Karl Pearson proposed the existence of "squirts" and sinks of the flow of aether. The squirts represented normal matter and the sinks represented negative matter. Pearson's theory required a fourth dimension for the aether to flow from and into. The term antimatter was first used by Arthur Schuster in two rather whimsical letters to Nature in 1898, in which he coined the term. He hypothesized antiatoms, as well as whole antimatter solar systems, and discussed the possibility of matter and antimatter annihilating each other. Schuster's ideas were not a serious theoretical proposal, merely speculation, and like the previous ideas, differed from the modern concept of antimatter in that it possessed negative gravity. The modern theory of antimatter began in 1928, with a paper by Paul Dirac. Dirac realised that his relativistic version of the Schrödinger wave equation for electrons predicted the possibility of antielectrons. Although Dirac had laid the groundwork for the existence of these “antielectrons” he initially failed to pick up on the implications contained within his own equation. He freely gave the credit for that insight to J. Robert Oppenheimer, whose seminal paper “On the Theory of Electrons and Protons” (Feb 14th 1930) drew on Dirac’s equation and argued for the existence of a positively charged electron (a positron), which as a counterpart to the electron should have the same mass as the electron itself. This meant that it could not be, as Dirac had in fact suggested, a proton. Dirac further postulated the existence of antimatter in a 1931 paper which referred to the positron as an "anti-electron". These were discovered by Carl D. Anderson in 1932 and named positrons from "positive electron". Although Dirac did not himself use the term antimatter, its use follows on naturally enough from antielectrons, antiprotons, etc. A complete periodic table of antimatter was envisaged by Charles Janet in 1929. The Feynman–Stueckelberg interpretation states that antimatter and antiparticles are regular particles traveling backward in time. Notation One way to denote an antiparticle is by adding a bar over the particle's symbol. For example, the proton and antiproton are denoted as and , respectively. The same rule applies if one were to address a particle by its constituent components. A proton is made up of quarks, so an antiproton must therefore be formed from antiquarks. Another convention is to distinguish particles by positive and negative electric charge. Thus, the electron and positron are denoted simply as and respectively. To prevent confusion, however, the two conventions are never mixed. Properties Theorized anti-gravitational properties of antimatter are currently being tested at the AEGIS and ALPHA-g experiments at CERN. Research is needed to study the possible gravitational effects between matter and antimatter, and between antimatter and antimatter. However, research is difficult considering when the two meet they annihilate, along with the current difficulties of capturing and containing antimatter. There are compelling theoretical reasons to believe that, aside from the fact that antiparticles have different signs on all charges (such as electric and baryon charges), matter and antimatter have exactly the same properties. This means a particle and its corresponding antiparticle must have identical masses and decay lifetimes (if unstable). It also implies that, for example, a star made up of antimatter (an "antistar") will shine just like an ordinary star. This idea was tested experimentally in 2016 by the ALPHA experiment, which measured the transition between the two lowest energy states of antihydrogen. The results, which are identical to that of hydrogen, confirmed the validity of quantum mechanics for antimatter. On 27 September 2023, physicists reported studies which support the notion that antimatter particles behave in a similar way as normal matter in a gravitational field. Origin and asymmetry Most matter observable from the Earth seems to be made of matter rather than antimatter. If antimatter-dominated regions of space existed, the gamma rays produced in annihilation reactions along the boundary between matter and antimatter regions would be detectable. Antiparticles are created everywhere in the universe where high-energy particle collisions take place. High-energy cosmic rays striking Earth's atmosphere (or any other matter in the Solar System) produce minute quantities of antiparticles in the resulting particle jets, which are immediately annihilated by contact with nearby matter. They may similarly be produced in regions like the center of the Milky Way and other galaxies, where very energetic celestial events occur (principally the interaction of relativistic jets with the interstellar medium). The presence of the resulting antimatter is detectable by the two gamma rays produced every time positrons annihilate with nearby matter. The frequency and wavelength of the gamma rays indicate that each carries 511 keV of energy (that is, the rest mass of an electron multiplied by c2). Observations by the European Space Agency's INTEGRAL satellite may explain the origin of a giant antimatter cloud surrounding the Galactic Center. The observations show that the cloud is asymmetrical and matches the pattern of X-ray binaries (binary star systems containing black holes or neutron stars), mostly on one side of the Galactic Center. While the mechanism is not fully understood, it is likely to involve the production of electron–positron pairs, as ordinary matter gains kinetic energy while falling into a stellar remnant. Antimatter may exist in relatively large amounts in far-away galaxies due to cosmic inflation in the primordial time of the universe. Antimatter galaxies, if they exist, are expected to have the same chemistry and absorption and emission spectra as normal-matter galaxies, and their astronomical objects would be observationally identical, making them difficult to distinguish. NASA is trying to determine if such galaxies exist by looking for X-ray and gamma ray signatures of annihilation events in colliding superclusters. In October 2017, scientists working on the BASE experiment at CERN reported a measurement of the antiproton magnetic moment to a precision of 1.5 parts per billion. It is consistent with the most precise measurement of the proton magnetic moment (also made by BASE in 2014), which supports the hypothesis of CPT symmetry. This measurement represents the first time that a property of antimatter is known more precisely than the equivalent property in matter. Antimatter quantum interferometry has been first demonstrated in 2018 in the Positron Laboratory (L-NESS) of Rafael Ferragut in Como (Italy), by a group led by Marco Giammarchi. Natural production Positrons are produced naturally in β+ decays of naturally occurring radioactive isotopes (for example, potassium-40) and in interactions of gamma quanta (emitted by radioactive nuclei) with matter. Antineutrinos are another kind of antiparticle created by natural radioactivity (β− decay). Many different kinds of antiparticles are also produced by (and contained in) cosmic rays. In January 2011, research by the American Astronomical Society discovered antimatter (positrons) originating above thunderstorm clouds; positrons are produced in terrestrial gamma ray flashes created by electrons accelerated by strong electric fields in the clouds. Antiprotons have also been found to exist in the Van Allen Belts around the Earth by the PAMELA module. Antiparticles are also produced in any environment with a sufficiently high temperature (mean particle energy greater than the pair production threshold). It is hypothesized that during the period of baryogenesis, when the universe was extremely hot and dense, matter and antimatter were continually produced and annihilated. The presence of remaining matter, and absence of detectable remaining antimatter, is called baryon asymmetry. The exact mechanism that produced this asymmetry during baryogenesis remains an unsolved problem. One of the necessary conditions for this asymmetry is the violation of CP symmetry, which has been experimentally observed in the weak interaction. Recent observations indicate black holes and neutron stars produce vast amounts of positron-electron plasma via the jets. Observation in cosmic rays Satellite experiments have found evidence of positrons and a few antiprotons in primary cosmic rays, amounting to less than 1% of the particles in primary cosmic rays. This antimatter cannot all have been created in the Big Bang, but is instead attributed to have been produced by cyclic processes at high energies. For instance, electron-positron pairs may be formed in pulsars, as a magnetized neutron star rotation cycle shears electron-positron pairs from the star surface. Therein the antimatter forms a wind that crashes upon the ejecta of the progenitor supernovae. This weathering takes place as "the cold, magnetized relativistic wind launched by the star hits the non-relativistically expanding ejecta, a shock wave system forms in the impact: the outer one propagates in the ejecta, while a reverse shock propagates back towards the star." The former ejection of matter in the outer shock wave and the latter production of antimatter in the reverse shock wave are steps in a space weather cycle. Preliminary results from the presently operating Alpha Magnetic Spectrometer (AMS-02) on board the International Space Station show that positrons in the cosmic rays arrive with no directionality, and with energies that range from 10 GeV to 250 GeV. In September, 2014, new results with almost twice as much data were presented in a talk at CERN and published in Physical Review Letters. A new measurement of positron fraction up to 500 GeV was reported, showing that positron fraction peaks at a maximum of about 16% of total electron+positron events, around an energy of 275 ± 32 GeV. At higher energies, up to 500 GeV, the ratio of positrons to electrons begins to fall again. The absolute flux of positrons also begins to fall before 500 GeV, but peaks at energies far higher than electron energies, which peak about 10 GeV. These results on interpretation have been suggested to be due to positron production in annihilation events of massive dark matter particles. Cosmic ray antiprotons also have a much higher energy than their normal-matter counterparts (protons). They arrive at Earth with a characteristic energy maximum of 2 GeV, indicating their production in a fundamentally different process from cosmic ray protons, which on average have only one-sixth of the energy. There is an ongoing search for larger antimatter nuclei, such as antihelium nuclei (that is, anti-alpha particles), in cosmic rays. The detection of natural antihelium could imply the existence of large antimatter structures such as an antistar. A prototype of the AMS-02 designated AMS-01, was flown into space aboard the on STS-91 in June 1998. By not detecting any antihelium at all, the AMS-01 established an upper limit of 1.1×10−6 for the antihelium to helium flux ratio. AMS-02 revealed in December 2016 that it had discovered a few signals consistent with antihelium nuclei amidst several billion helium nuclei. The result remains to be verified, and the team is currently trying to rule out contamination. Artificial production Positrons Positrons were reported in November 2008 to have been generated by Lawrence Livermore National Laboratory in larger numbers than by any previous synthetic process. A laser drove electrons through a gold target's nuclei, which caused the incoming electrons to emit energy quanta that decayed into both matter and antimatter. Positrons were detected at a higher rate and in greater density than ever previously detected in a laboratory. Previous experiments made smaller quantities of positrons using lasers and paper-thin targets; newer simulations showed that short bursts of ultra-intense lasers and millimeter-thick gold are a far more effective source. Antiprotons, antineutrons, and antinuclei The existence of the antiproton was experimentally confirmed in 1955 by University of California, Berkeley physicists Emilio Segrè and Owen Chamberlain, for which they were awarded the 1959 Nobel Prize in Physics. An antiproton consists of two up antiquarks and one down antiquark (). The properties of the antiproton that have been measured all match the corresponding properties of the proton, with the exception of the antiproton having opposite electric charge and magnetic moment from the proton. Shortly afterwards, in 1956, the antineutron was discovered in proton–proton collisions at the Bevatron (Lawrence Berkeley National Laboratory) by Bruce Cork and colleagues. In addition to antibaryons, anti-nuclei consisting of multiple bound antiprotons and antineutrons have been created. These are typically produced at energies far too high to form antimatter atoms (with bound positrons in place of electrons). In 1965, a group of researchers led by Antonino Zichichi reported production of nuclei of antideuterium at the Proton Synchrotron at CERN. At roughly the same time, observations of antideuterium nuclei were reported by a group of American physicists at the Alternating Gradient Synchrotron at Brookhaven National Laboratory. Antihydrogen atoms In 1995, CERN announced that it had successfully brought into existence nine hot antihydrogen atoms by implementing the SLAC/Fermilab concept during the PS210 experiment. The experiment was performed using the Low Energy Antiproton Ring (LEAR), and was led by Walter Oelert and Mario Macri. Fermilab soon confirmed the CERN findings by producing approximately 100 antihydrogen atoms at their facilities. The antihydrogen atoms created during PS210 and subsequent experiments (at both CERN and Fermilab) were extremely energetic and were not well suited to study. To resolve this hurdle, and to gain a better understanding of antihydrogen, two collaborations were formed in the late 1990s, namely, ATHENA and ATRAP. In 1999, CERN activated the Antiproton Decelerator, a device capable of decelerating antiprotons from to  – still too "hot" to produce study-effective antihydrogen, but a huge leap forward. In late 2002 the ATHENA project announced that they had created the world's first "cold" antihydrogen. The ATRAP project released similar results very shortly thereafter. The antiprotons used in these experiments were cooled by decelerating them with the Antiproton Decelerator, passing them through a thin sheet of foil, and finally capturing them in a Penning–Malmberg trap. The overall cooling process is workable, but highly inefficient; approximately 25 million antiprotons leave the Antiproton Decelerator and roughly 25,000 make it to the Penning–Malmberg trap, which is about or 0.1% of the original amount. The antiprotons are still hot when initially trapped. To cool them further, they are mixed into an electron plasma. The electrons in this plasma cool via cyclotron radiation, and then sympathetically cool the antiprotons via Coulomb collisions. Eventually, the electrons are removed by the application of short-duration electric fields, leaving the antiprotons with energies less than . While the antiprotons are being cooled in the first trap, a small cloud of positrons is captured from radioactive sodium in a Surko-style positron accumulator. This cloud is then recaptured in a second trap near the antiprotons. Manipulations of the trap electrodes then tip the antiprotons into the positron plasma, where some combine with antiprotons to form antihydrogen. This neutral antihydrogen is unaffected by the electric and magnetic fields used to trap the charged positrons and antiprotons, and within a few microseconds the antihydrogen hits the trap walls, where it annihilates. Some hundreds of millions of antihydrogen atoms have been made in this fashion. In 2005, ATHENA disbanded and some of the former members (along with others) formed the ALPHA Collaboration, which is also based at CERN. The ultimate goal of this endeavour is to test CPT symmetry through comparison of the atomic spectra of hydrogen and antihydrogen (see hydrogen spectral series). Most of the sought-after high-precision tests of the properties of antihydrogen could only be performed if the antihydrogen were trapped, that is, held in place for a relatively long time. While antihydrogen atoms are electrically neutral, the spins of their component particles produce a magnetic moment. These magnetic moments can interact with an inhomogeneous magnetic field; some of the antihydrogen atoms can be attracted to a magnetic minimum. Such a minimum can be created by a combination of mirror and multipole fields. Antihydrogen can be trapped in such a magnetic minimum (minimum-B) trap; in November 2010, the ALPHA collaboration announced that they had so trapped 38 antihydrogen atoms for about a sixth of a second. This was the first time that neutral antimatter had been trapped. On 26 April 2011, ALPHA announced that they had trapped 309 antihydrogen atoms, some for as long as 1,000 seconds (about 17 minutes). This was longer than neutral antimatter had ever been trapped before. ALPHA has used these trapped atoms to initiate research into the spectral properties of the antihydrogen. In 2016, a new antiproton decelerator and cooler called ELENA (Extra Low ENergy Antiproton decelerator) was built. It takes the antiprotons from the antiproton decelerator and cools them to 90 keV, which is "cold" enough to study. This machine works by using high energy and accelerating the particles within the chamber. More than one hundred antiprotons can be captured per second, a huge improvement, but it would still take several thousand years to make a nanogram of antimatter. The biggest limiting factor in the large-scale production of antimatter is the availability of antiprotons. Recent data released by CERN states that, when fully operational, their facilities are capable of producing ten million antiprotons per minute. Assuming a 100% conversion of antiprotons to antihydrogen, it would take 100 billion years to produce 1 gram or 1 mole of antihydrogen (approximately atoms of anti-hydrogen). However, CERN only produces 1% of the anti-matter Fermilab does, and neither are designed to produce anti-matter. According to Gerald Jackson, using technology already in use today we are capable of producing and capturing 20 grams of anti-matter particles per year at a yearly cost of 670 million dollars per facility. Antihelium Antihelium-3 nuclei () were first observed in the 1970s in proton–nucleus collision experiments at the Institute for High Energy Physics by Y. Prockoshkin's group (Protvino near Moscow, USSR) and later created in nucleus–nucleus collision experiments. Nucleus–nucleus collisions produce antinuclei through the coalescence of antiprotons and antineutrons created in these reactions. In 2011, the STAR detector reported the observation of artificially created antihelium-4 nuclei (anti-alpha particles) () from such collisions. The Alpha Magnetic Spectrometer on the International Space Station has, as of 2021, recorded eight events that seem to indicate the detection of antihelium-3. Preservation Antimatter cannot be stored in a container made of ordinary matter because antimatter reacts with any matter it touches, annihilating itself and an equal amount of the container. Antimatter in the form of charged particles can be contained by a combination of electric and magnetic fields, in a device called a Penning trap. This device cannot, however, contain antimatter that consists of uncharged particles, for which atomic traps are used. In particular, such a trap may use the dipole moment (electric or magnetic) of the trapped particles. At high vacuum, the matter or antimatter particles can be trapped and cooled with slightly off-resonant laser radiation using a magneto-optical trap or magnetic trap. Small particles can also be suspended with optical tweezers, using a highly focused laser beam. In 2011, CERN scientists were able to preserve antihydrogen for approximately 17 minutes. The record for storing antiparticles is currently held by the TRAP experiment at CERN: antiprotons were kept in a Penning trap for 405 days. A proposal was made in 2018 to develop containment technology advanced enough to contain a billion anti-protons in a portable device to be driven to another lab for further experimentation. Cost Scientists claim that antimatter is the costliest material to make. In 2006, Gerald Smith estimated $250 million could produce 10 milligrams of positrons (equivalent to $25 billion per gram); in 1999, NASA gave a figure of $62.5 trillion per gram of antihydrogen. This is because production is difficult (only very few antiprotons are produced in reactions in particle accelerators) and because there is higher demand for other uses of particle accelerators. According to CERN, it has cost a few hundred million Swiss francs to produce about 1 billionth of a gram (the amount used so far for particle/antiparticle collisions). In comparison, to produce the first atomic weapon, the cost of the Manhattan Project was estimated at $23 billion with inflation during 2007. Several studies funded by the NASA Institute for Advanced Concepts are exploring whether it might be possible to use magnetic scoops to collect the antimatter that occurs naturally in the Van Allen belt of the Earth, and ultimately, the belts of gas giants, like Jupiter, hopefully at a lower cost per gram. Uses Medical Matter–antimatter reactions have practical applications in medical imaging, such as positron emission tomography (PET). In positive beta decay, a nuclide loses surplus positive charge by emitting a positron (in the same event, a proton becomes a neutron, and a neutrino is also emitted). Nuclides with surplus positive charge are easily made in a cyclotron and are widely generated for medical use. Antiprotons have also been shown within laboratory experiments to have the potential to treat certain cancers, in a similar method currently used for ion (proton) therapy. Fuel Isolated and stored antimatter could be used as a fuel for interplanetary or interstellar travel as part of an antimatter-catalyzed nuclear pulse propulsion or another antimatter rocket. Since the energy density of antimatter is higher than that of conventional fuels, an antimatter-fueled spacecraft would have a higher thrust-to-weight ratio than a conventional spacecraft. If matter–antimatter collisions resulted only in photon emission, the entire rest mass of the particles would be converted to kinetic energy. The energy per unit mass () is about 10 orders of magnitude greater than chemical energies, and about 3 orders of magnitude greater than the nuclear potential energy that can be liberated, today, using nuclear fission (about per fission reaction or ), and about 2 orders of magnitude greater than the best possible results expected from fusion (about for the proton–proton chain). The reaction of of antimatter with of matter would produce (180 petajoules) of energy (by the mass–energy equivalence formula, ), or the rough equivalent of 43 megatons of TNT – slightly less than the yield of the 27,000 kg Tsar Bomba, the largest thermonuclear weapon ever detonated. Not all of that energy can be utilized by any realistic propulsion technology because of the nature of the annihilation products. While electron–positron reactions result in gamma ray photons, these are difficult to direct and use for thrust. In reactions between protons and antiprotons, their energy is converted largely into relativistic neutral and charged pions. The neutral pions decay almost immediately (with a lifetime of 85 attoseconds) into high-energy photons, but the charged pions decay more slowly (with a lifetime of 26 nanoseconds) and can be deflected magnetically to produce thrust. Charged pions ultimately decay into a combination of neutrinos (carrying about 22% of the energy of the charged pions) and unstable charged muons (carrying about 78% of the charged pion energy), with the muons then decaying into a combination of electrons, positrons and neutrinos (cf. muon decay; the neutrinos from this decay carry about 2/3 of the energy of the muons, meaning that from the original charged pions, the total fraction of their energy converted to neutrinos by one route or another would be about ). Weapons Antimatter has been considered as a trigger mechanism for nuclear weapons. A major obstacle is the difficulty of producing antimatter in large enough quantities, and there is no evidence that it will ever be feasible. Nonetheless, the U.S. Air Force funded studies of the physics of antimatter in the Cold War, and began considering its possible use in weapons, not just as a trigger, but as the explosive itself. See also References Further reading External links Freeview Video 'Antimatter' by the Vega Science Trust and the BBC/OU CERN Webcasts (RealPlayer required) What is Antimatter? (from the Frequently Asked Questions at the Center for Antimatter–Matter Studies) FAQ from CERN with information about antimatter aimed at the general reader, posted in response to antimatter's fictional portrayal in Angels & Demons Antimatter at Angels and Demons, CERN What is direct CP-violation? Animated illustration of antihydrogen production at CERN from the Exploratorium. Quantum field theory Fictional power sources Articles containing video clips
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https://en.wikipedia.org/wiki/Casa%20Mil%C3%A0
Casa Milà
Casa Milà (, ), popularly known as La Pedrera (, ; "the stone quarry") in reference to its unconventional rough-hewn appearance, is a Modernista building in Barcelona, Catalonia, Spain. It was the last private residence designed by architect Antoni Gaudí and was built between 1906 and 1912. The building was commissioned in 1906 by and his wife . At the time, it was controversial because of its undulating stone facade, twisting wrought iron balconies, and design by Josep Maria Jujol. Several structural innovations include a self-supporting stone façade, and a free-plan floor, underground garage and the spectacular terrace on the roof. In 1984, it was declared a World Heritage Site by UNESCO. Since 2013 it has been the headquarters of the Fundació Catalunya La Pedrera, which manages visits to the building, exhibitions and other cultural and educational activities at Casa Milà. Building history Architect Antoni Gaudí i Cornet was born on June 25, 1852, in Catalonia, Spain. As a child, Gaudí's health was poor, suffering from rheumatism. Because of this, he was afforded lengthy periods of time resting at his summer house in Riudoms. Here he spent a large portion of his time outdoors, allowing him to deeply study nature. This would become one of the major influences in his architecture to come. Gaudí was a very practical man and a craftsman at his core. In his work he followed impulses and turned creative plans into reality. His openness to embrace new styles combined with a vivid imagination helped mold new styles of architecture and consequently helped push the limits of construction. Today he is regarded as a pioneer of the modern architecture style. In 1870, Gaudí moved to Barcelona to study architecture. He was an inconsistent student who showed flashes of brilliance. It took him eight years to graduate due to a mix of health complications, military service as well as other activities. After completion of his education he became a prolific architect as well as designing gardens, sculptures and all other decorative arts. Gaudí's most famous works consisted of several buildings: Parque Güell; Palacio Güell; Casa Mila; Casa Vicens. He also is contributed for his work on the Crypt of La Sagrada Familia and the Nativity facade. Gaudí's work at the time was both admired and criticized for his bold, innovative solutions. Gaudí was injured on June 7, 1926, when he was run over by a tram. He later died in the hospital due to his injuries on June 10, 1926, at the age of 73. A few years after his death, his fame became renowned by critics and the general public alike. Building owners Casa Milà was built for Roser Segimón and her husband Pere Milà. Roser Segimón was the wealthy widow of Josep Guardiola, an Indiano or Americano, or former colonist returned from South America, who had made his fortune with a coffee plantation in Guatemala. Her second husband, Pere Milà was a developer known for his flamboyant lifestyle. Construction process In 1905, Milà and Segimón married and on June 9, Roser Segimón bought a house with garden which occupied an area of 1,835 square meters, located on Paseo de Gracia, 92. In September, they commissioned Gaudí for building them a new house with the idea of living in the main floor and renting out the rest of the apartments. On February 2, 1906, the project was presented to the Barcelona City Council and the works began, demolishing the pre-existing building instead of reforming it, as in the case of the Casa Batlló. The building was completed in December 1910 and the owner asked Gaudí to make a certificate to inhabit the main floor, which the City Council authorized in October 1911, and the couple moved in. On October 31, 1912, Gaudí issued the certificate stating that, in accordance with his plans and his direction, the work had been completed and the whole house was ready to be rented. Critics and controversies The building did not respect any rules of conventional style, for which Gaudí received much criticism. To begin with, the name "La Pedrera" is in fact a nickname assigned by the citizens who disapproved of its unusualness. The unique structure of the building and the relationship between the building's architect and Pere Milà became the object of ridicule for the people of Barcelona and many humorous publications of the time. Catholic symbols Gaudí, a Catholic and a devotee of the Virgin Mary, planned for the Casa Milà to be a spiritual symbol. Overt religious elements include an excerpt from the Rosary on the cornice and planned statues of Mary, specifically Our Lady of the Rosary, and two archangels, St. Michael and St. Gabriel. However, the Casa Milà was not built entirely to Gaudí's specifications. The local government ordered the demolition of elements that exceeded the height standard for the city, and fined the Milàs for many infractions of building codes. After Semana Trágica, an outbreak of anticlericalism in the city, Milà prudently decided to forgo the religious statues. Gaudí contemplated abandoning the project but a priest persuaded him to continue. Change of ownership In 1940, Milà died. Segimon sold the property in 1946 for 18 million pesetas to Josep Ballvé i Pellisé, known for his department stores on , in partnership with the family of Pío Rubert Laporta. The Compañía Inmobiliaria Provenza, SA (CIPSA) was founded to administer the building. Roser Segimon continued to live on the main floor until her death in 1964. The new owners divided the first floor facing into five apartments instead of the original two. In 1953, they commissioned to convert 13 rubbish-filled attic laundry rooms to street-facing apartments, leaving a communal hallway on the side facing the courtyards. Some of these two or three room apartments had a loft and were designed and furnished in a typical early 1950s style using brick, ceramic and wood. Items of furniture, such as the , were reminiscent of Eero Saarinen's work. The insurance company Northern took over the main floor in 1966. By then, Casa Milà had housed a bingo hall, an academy and the offices of Cementos Molins and Inoxcrom among others. Maintenance costs were high and the owners had allowed the building to become dilapidated, causing stones to loosen in 1971. Josep Anton Comas made some emergency repairs, especially to the paintings in the courtyards, while respecting the original design. Restoration Gaudí's work was designated a historic and artistic monument on July 24, 1969. Casa Milà was in poor condition in the early 1980s. It had been painted a dreary brown and many of its interior color schemes had been abandoned or allowed to deteriorate, but it has been restored since and many of the original colors revived. In 1984, the building became part of a World Heritage Site encompassing some of Gaudí's works. The Barcelonan city council tried to rent the main floor as an office for the 1992 Olympic bid. Finally, the day before Christmas 1986, Caixa Catalunya bought La Pedrera for 900 million pesetas. On February 19, 1987, urgently needed work began on the restoration and cleaning of the façade. The work was done by the architects Joseph Emilio Hernández-Cros and Rafael Vila. The renovated main floor opened in 1990 as part of the Cultural Olympiad of Barcelona. The floor became an exhibition room with an example of modernism in the Eixample. Design The building is 1,323 m2 per floor on a plot of 1,620 m2. Gaudí made the first sketches in his workshop in the Sagrada Família. He designed the house as a constant curve, both outside and inside, incorporating ruled geometry and naturalistic elements. Casa Milà consists of two buildings, which are structured around two courtyards that provide light to the nine stories: basement, ground floor, mezzanine, main (or noble) floor, four upper floors, and an attic. The basement was intended to be the garage, the main floor the residence of the Milàs (a flat of all 1,323 m2), and the rest distributed over 20 apartments. The resulting layout is shaped like an asymmetrical "8" because of the different shapes and sizes of the courtyards. The attic housed the laundry and drying areas, forming an insulating space for the building and simultaneously determining the levels of the roof. One of the most notable elements of the building is the roof, crowned with skylights, staircase exits, fans, and chimneys. All of these elements, constructed out of brick covered with lime, broken marble, or glass have a specific architectural function but are also real sculptures integrated into the building. The apartments feature plastered ceilings with dynamic reliefs, handcrafted wooden doors, windows, and furniture, as well as hydraulic tiles and various ornamental elements. The stairways were intended as service entries, with the main access to the apartments by elevator except for the noble floor, where Gaudí added a prominent interior staircase. Gaudí wanted the people who lived in the flats to all know each other. Therefore, there were only elevators on every other floor, so people on different floors would meet one another. Structure Casa Milà is characterized by its self-supporting stone facade, meaning that it is free of load-bearing walls. The facade connects to the internal structure of each floor by means of curved iron beams surrounding the perimeter of each floor. This construction system allows, on one hand, large openings in the facade which give light to the homes, and on the other, free structuring of the different levels, so that internal walls can be added and demolished without affecting the stability of the building. This allows the owners to change their minds at will and to modify, without problems, the interior layout of the homes. Constructive and decorative items Facade The facade is composed of large blocks of limestone from the Garraf Massif on the first floor and from the Villefranche quarry for the higher levels. The blocks were cut to follow the plot of the projection of the model, then raised to their location and adjusted to align in a continuous curve to the pieces around them. The windows of La Pedrera are an integral part of the overall facade design. Gaudí made sure that the windows were of varying sizes, designed to optimize the amount of natural light that could enter the building. Viewed from the outside the building has three parts: the main body of the six-storey blocks with winding stone floors, two floors set a block back with a different curve, similar to waves, a smoother texture and whiter color, and with small holes that look like embrasures, and finally the body of the roof. Gaudí's original facade had some of its lower-level ironwork removed. In 1928, the tailor Mosella opened the first store in La Pedrera, and he eliminated the bars. This did not concern anyone, because in the middle of twentieth century, wrought ironwork had little importance. The ironwork was lost until a few years later, when Americans donated one of them to the MoMa, where it is on display. With restoration initiatives launched in 1987, the facade was rejoined to some pieces of stone that had fallen. In order to respect the fidelity of the original, material was obtained from the Villefranche quarry, even though by then it was no longer operating. Hall and courtyards The building uses a completely original solution to solve the issue of a lobby being too closed and dark. Its open and airy courtyards provide a place of transit and are directly visible to those accessing the building. There are two patios on the side of the Passeig de Gracia and of the street Provence. Patios Patios, structurally, are key as supporting loads of interior facades. The floor of the courtyard is supported by pillars of cast iron. In the courtyard, there are traditional elliptical beams and girders but Gaudí applied an ingenious solution of using two concentric cylindrical beams with stretched radial beams, like the spokes of a bicycle. They form a point outside of the beam to two points above and below, making the function of the central girder a keystone and working in tension and compression simultaneously. This supported structure is twelve feet in diameter and is considered "the soul of the building" with a clear resemblance to Gothic crypts. The centerpiece was built in a shipyard by Josep Maria Carandell who copied a steering wheel, interpreting Gaudí's intent as to represent the helm of the ship of life. Interior, gates Access is protected by a massive iron gate with a design attributed to Jujol. It was originally used by both people and cars, as access to the garage is in the basement, now an auditorium. The two halls are fully polychrome with oil paintings on the plaster surfaces, with eclectic references to mythology and flowers. During construction there was a problem including a basement as a garage for cars, the new invention that was thrilling the bourgeois at the time. The future neighbor Felix Anthony Meadows, owner of Industrial Linera, requested a change because his Rolls-Royce could not access it. Gaudí agreed to remove a pillar on the ramp that led into the garage so that Felix, who was establishing sales and factory in Parets del Vallès, could go to both places with his car from La Pedrera. For the floors of Casa Milà, Gaudí used a model of floor forms of square timbers with two colors, and the hydraulic pavement hexagonal pieces of blue and sea motifs that had originally been designed for the Batllo house. The wax was designed in gray by John Bertrand under the supervision of Gaudí who "touched up with their own fingers," in the words of the manufacturer Josep Bay. Loft Like in Casa Batlló, Gaudí shows the application of the catenary arch as a support structure for the roof, a form which he had already used shortly after graduating in the wood frameworks of Mataró's cooperative known as "L'Obrera Mataronense." In this case, Gaudí used the Catalan technique of timbrel, imported from Italy in the fourteenth century. The attic, where the laundry rooms were located, was a clear room under a Catalan vault roof supported by 270 parabolic vaults of different heights and spaced by about 80 cm. The roof resembles both the ribs of a huge animal and a palm, giving the roof-deck a very unconventional shape similar to a landscape of hills and valleys. The shape and location of the courtyards makes the arches higher when the space is narrowed and lower when the space expands. The builder Bayó explained its construction: "First the face of a wide wall was filled with mortar and plastered. Then Canaleta indicated the opening of each arch and Bayó put a nail at each starting point of the arch at the top of the wall. From these nails was dangled a chain so that the lowest point coincided with the deflection of the arch. Then the profile displayed on the wall by the chain was drawn and on this profile the carpenter marked and placed the corresponding centering, and the timbrel vault was started with three rows of plane bricks. Gaudí wanted to add a longitudinal axis of bricks connecting all vaults at their keystones". Roof and chimneys The work of Gaudí on the rooftop of La Pedrera brought his experience at Palau Güell together with solutions that were clearly more innovative – this time creating shapes and volumes with more body, more prominence, and less polychromasia. On the rooftop there are six skylights/staircase exits (four of which were covered with broken pottery and some that ended in a double cross typical of Gaudí), twenty-eight chimneys in several groupings, two half-hidden vents whose function is to renew the air in the building, and four domes that discharged to the facade. The staircases also house the water tanks; some of which are snail-shaped. The stepped roof of La Pedrera, called "the garden of warriors" by the poet Pere Gimferrer because the chimneys appear to be protecting the skylights, has undergone a radical restoration, removing chimneys added in interventions after Gaudí, television antennas, and other elements that degraded the space. The restoration brought back the splendor to the chimneys and the skylights that were covered with fragments of marble and broken Valencia tiles. One of the chimneys was topped with glass pieces – it was said that Gaudí did that the day after the inauguration of the building, taking advantage of the empty bottles from the party. It was restored with the bases of champagne bottles from the early twentieth century. The repair work has enabled the restoration of the original impact of the overhangs made of stone from Ulldecona with fragments of tiles. This whole set is more colorful than the facade, although here the creamy tones are dominant. Furniture Gaudí, as he had done in Casa Batlló, designed furniture specifically for the main floor. This was part of the concept artwork itself integral to modernism in which the architect assumed responsibility for global issues such as the structure and the facade, as well as every detail of the decor, designing furniture and accessories such as lamps, planters, floors or ceilings. This was another point of friction with Segimon, who complained that there was no straight wall to place her Steinway piano. Gaudí's response was blunt: "So play the violin." The result of these disagreements has been the loss of the decorative legacy of Gaudí, as most of the furniture was removed due to climate change and the changes she made to the main floor when Gaudí died. Some remain in private collections, including a curtain made of oak 4 m. long by 1.96 m. high in the Museum of Catalan Modernism; and a chair and desktop of Milà. Gaudí carved oak doors similar to what he had done for the Casa y Bardes, but these were only included on two floors as when Segimon discovered the price, she decided there would be no more at that quality. Architecture Casa Milà is part of the UNESCO World Heritage Site "Works of Antoni Gaudí". It was a predecessor of some buildings with a similar biomorphic appearance: the 1921 Einstein Tower in Potsdam, designed by Erich Mendelsohn Solomon R. Guggenheim Museum in Manhattan, New York, designed by Frank Lloyd Wright Chapelle Notre Dame du Haut, Ronchamp, France, designed by Le Corbusier the Hundertwasserhaus and other works by Austrian architect Friedensreich Hundertwasser Disney Concert Hall in Los Angeles, by Frank Gehry Free exhibitions often are held on the first floor, which also provides some opportunity to see the interior design. There is a charge for entrance to the apartment on the fourth floor and the roof. The other floors are not open to visitors. Constructive similarities Gaudí's La Pedrera was inspired by a mountain, but there is no agreement as to which mountain was the reference model. Joan Bergós thought it was the rocks of Fray Guerau in Prades mountains. Joan Matamala thought that the model could have been St. Miquel del Fai, while the sculptor Vicente Vilarubias believed it was inspired by the cliffs Torrent Pareis in Menorca. Other options include the mountains of Uçhisar in Cappadocia, suggested by Juan Goytisolo, or Mola Gallifa, suggested by Louis Permanyer, based on the fact that Gaudí visited the area in 1885 to escape an outbreak of cholera in Barcelona. Some people say that the interior layout of La Pedrera comes from studies that Gaudí made of medieval fortresses. This image is reinforced by the seeming appearance of the rooftop chimneys as "sentinels" with great helmets. The structure of the iron door in the lobby does not follow any symmetry, straight or repetitive pattern. Rather, it evokes bubbles of soap that are formed between the hands or the structures of a plant cell. Criticism and controversy The building's unconventional style made it the subject of much criticism. It was given the nickname "La Pedrera", meaning "the quarry". Casa Milà appeared in many satirical magazines. Joan Junceda presented it as a traditional "Easter cake" by means of cartoons in Patufet. Joaquim Garcia made a joke about the difficulty of setting the damask wrought iron balconies in his magazine. Homeowners in Passeig de Gracia became angry with Milà and ceased to greet him, arguing that the weird building by Gaudí would lower the price of land in the area. Administrative problems Casa Milà also caused some administrative problems. In December 1907 the City Hall stopped work on the building because of a pillar which occupied part of the sidewalk, not respecting the alignment of facades. Again on August 17, 1908, more problems occurred when the building surpassed the predicted height and borders of its construction site by . The Council called for a fine of 100,000 pesetas (approximately 25% of the cost of work) or for the demolition of the attic and roof. The dispute was resolved a year and a half later, December 28, 1909, when the Commission certified that it was a monumental building and thus not required to have a 'strict compliance' with the bylaws. Design competitions The owner entered La Pedrera in the annual sponsored by the Barcelona City Council (Ayuntament). Other entries in the competition included two works by Sagnier (Calle Mallorca 264, and one on Corsica and Av. Diagonal), the by architect , and the , designed by . Although the most dramatic and clear favorite was Casa Milà, the jury opined that even though the facades were complete, "there's still a lot left to do before it's fully completed, finalized and in a perfect state of appreciation." The winner in 1910 was Samanillo Perez, for his building which now houses the headquarters of the Circulo Ecuestre. Design disagreements Gaudí's relations with Segimon deteriorated during the construction and decoration of the house. There were many disagreements between them, one example was the monumental bronze virgin del Rosario, which Gaudí wanted as the statue on the front of the building in homage to the name of the owner, that the artist Carles Mani i Roig was to sculpt. The statue was not made although the words "Ave gratia M plena Dominus tecum" were written at the top of the facade. Continuing disagreements led Gaudí to take Milà to court over his fees. The lawsuit was won by Gaudí in 1916, and he gave the 105,000 pesetas he won in the case to charity, stating that "the principles mattered more than money." Milà was having to pay the mortgage. After Gaudí's death in 1926, Segimon got rid of most of the furniture that Gaudí had designed and covered over parts of Gaudí's designs with new decorations in the style of Louis XVI. La Pedrera was acquired in 1986 by and when restoration was done four years later, some of the original decorations re-emerged. When the Civil War broke out in July 1936, the Milàs were on vacation. Part of the building was collectivized by the Unified Socialist Party of Catalonia; the Milàs fled the area with some artwork. In media and literature A scene in The Passenger (Italian: Professione: reporter), a film directed by Michelangelo Antonioni and starring Jack Nicholson and Maria Schneider, was filmed on the roof of the building. A scene filmed on the roof in Vicky Cristina Barcelona, directed by Woody Allen. A major part in the story "A murderer is born" in the novel Seiobo There Below by László Krasznahorkai happens here Mentioned in the book by Eoin Colfer: Artemis Fowl and the Lost Colony Mentioned in the book by Trudi Alexy 'The Mezuzah in the Madonna's Foot' Mentioned in the 'Ballrooms and Biscotti' episode (season 4, episode 1) of Gilmore Girls Several scenes in the movie, Gaudi Afternoon A scale model exhibited at the Catalunya en Miniatura park. Featured in the music video for Deep Forest's 'Sweet Lullaby' The home of Edmond Kirsch in Dan Brown's novel Origin, the 5th book featuring Robert Langdon. Gallery See also List of Modernisme buildings in Barcelona References Rainer Zervst. Gaudí, 1852–1926, Antoni Gaudí i Cornet – A Life Devoted to Architecture. Cologne: Benedikt Taschen Verlag GmbH & Co. KG., 1988. p176. External links La Pedrera Official Website Virtual tour Immersive photographies of Casa Milà Link pictures La Casa Milà, furniture and decorative arts Visionary environments Buildings and structures in Barcelona Passeig de Gràcia World Heritage Sites in Catalonia Antoni Gaudí buildings Tourist attractions in Barcelona Apartment buildings in Spain Residential buildings completed in 1910 Eixample Modernisme architecture in Barcelona Art Nouveau apartment buildings
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https://en.wikipedia.org/wiki/August%207
August 7
Events Pre-1600 461 – Roman Emperor Majorian is beheaded near the river Iria in north-west Italy following his arrest and deposition by the magister militum Ricimer. 626 – The Avar and Slav armies leave the siege of Constantinople. 768 – Pope Stephen III is elected to office, and quickly seeks Frankish protection against the Lombard threat, since the Byzantine Empire is no longer able to help. 936 – Coronation of King Otto I of Germany. 1461 – The Ming dynasty Chinese military general Cao Qin stages a coup against the Tianshun Emperor. 1479 – Battle of Guinegate: French troops of King Louis XI were defeated by the Burgundians led by Archduke Maximilian of Habsburg. 1601–1900 1679 – The brigantine Le Griffon becomes the first ship to sail the upper Great Lakes of North America. 1714 – The Battle of Gangut: The first important victory of the Russian Navy. 1743 – The Treaty of Åbo ended the 1741–1743 Russo-Swedish War. 1782 – George Washington orders the creation of the Badge of Military Merit to honor soldiers wounded in battle. It is later renamed to the more poetic Purple Heart. 1786 – The first federal Indian Reservation is created by the United States. 1789 – The United States Department of War is established. 1791 – American troops destroy the Miami town of Kenapacomaqua near the site of present-day Logansport, Indiana in the Northwest Indian War. 1794 – U.S. President George Washington invokes the Militia Acts of 1792 to suppress the Whiskey Rebellion in western Pennsylvania. 1819 – Simón Bolívar triumphs over Spain in the Battle of Boyacá. 1858 – The first Australian rules football match is played between Melbourne Grammar and Scotch College. 1890 – Anna Månsdotter, found guilty of the 1889 Yngsjö murder, became the last woman to be executed in Sweden. 1901–present 1909 – Alice Huyler Ramsey and three friends become the first women to complete a transcontinental auto trip, taking 59 days to travel from New York, New York to San Francisco, California. 1927 – The Peace Bridge opens between Fort Erie, Ontario and Buffalo, New York. 1930 – The last confirmed lynching of black people in the Northern United States occurs in Marion, Indiana; two men, Thomas Shipp and Abram Smith, are killed. 1933 – The Kingdom of Iraq slaughters over 3,000 Assyrians in the village of Simele. This date is recognized as Martyrs Day or National Day of Mourning by the Assyrian community in memory of the Simele massacre. 1942 – World War II: The Battle of Guadalcanal begins as the United States Marines initiate the first American offensive of the war with landings on Guadalcanal and Tulagi in the Solomon Islands. 1944 – IBM dedicates the first program-controlled calculator, the Automatic Sequence Controlled Calculator (known best as the Harvard Mark I). 1946 – The government of the Soviet Union presented a note to its Turkish counterparts which refuted the latter's sovereignty over the Turkish Straits, thus beginning the Turkish Straits crisis. 1947 – Thor Heyerdahl's balsa wood raft, the Kon-Tiki, smashes into the reef at Raroia in the Tuamotu Islands after a 101-day, journey across the Pacific Ocean in an attempt to prove that pre-historic peoples could have traveled from South America. 1947 – The Bombay Municipal Corporation formally takes over the Bombay Electric Supply and Transport (BEST). 1959 – Explorer program: Explorer 6 launches from the Atlantic Missile Range in Cape Canaveral, Florida. 1960 – Ivory Coast becomes independent from France. 1962 – Canadian-born American pharmacologist Frances Oldham Kelsey is awarded the U.S. President's Award for Distinguished Federal Civilian Service for her refusal to authorize thalidomide. 1964 – Vietnam War: The U.S. Congress passes the Gulf of Tonkin Resolution giving U.S. President Lyndon B. Johnson broad war powers to deal with North Vietnamese attacks on American forces. 1969 – Richard Nixon appoints Luis R. Bruce, a Mohawk-Oglala Sioux and co-founder of the National Congress of American Indians, as the new commissioner of the Bureau of Indian Affairs. 1970 – California judge Harold Haley is taken hostage in his courtroom and killed during an effort to free George Jackson from police custody. 1974 – Philippe Petit performs a high wire act between the twin towers of the World Trade Center in the air. 1976 – Viking program: Viking 2 enters orbit around Mars. 1978 – U.S. President Jimmy Carter declares a federal emergency at Love Canal due to toxic waste that had been disposed of negligently. 1981 – The Washington Star ceases all operations after 128 years of publication. 1985 – Takao Doi, Mamoru Mohri and Chiaki Mukai are chosen to be Japan's first astronauts. 1987 – Cold War: Lynne Cox becomes the first person to swim from the United States to the Soviet Union, crossing the Bering Strait from Little Diomede Island in Alaska to Big Diomede in the Soviet Union. 1989 – U.S. Congressman Mickey Leland (D-TX) and 15 others die in a plane crash in Ethiopia. 1990 – First American soldiers arrive in Saudi Arabia as part of the Gulf War. 1993 – Ada Deer, a Menominee activist, is sworn in as the head of the Bureau of Indian Affairs. 1995 – The Chilean government declares state of emergency in the southern half of the country in response to an event of intense, cold, wind, rain and snowfall known as the White Earthquake. 1997 – Space Shuttle Program: The Space Shuttle Discovery launches on STS-85 from the Kennedy Space Center in Cape Canaveral, Florida. 1997 – Fine Air Flight 101 crashes after takeoff from Miami International Airport, killing five people. 1998 – Bombings at United States embassies in Dar es Salaam, Tanzania and Nairobi, Kenya kill approximately 212 people. 1999 – The Chechnya-based Islamic International Brigade invades neighboring Dagestan. 2007 – At AT&T Park, Barry Bonds hits his 756th career home run to surpass Hank Aaron's 33-year-old record. 2008 – The start of the Russo-Georgian War over the territory of South Ossetia. 2020 – Air India Express Flight 1344 overshoots the runway at Calicut International Airport in the Malappuram district of Kerala, India, and crashes, killing 21 of the 190 people on board. Births Pre-1600 317 – Constantius II, Roman emperor (d. 361) 1282 – Elizabeth of Rhuddlan (d. 1316) 1533 – Alonso de Ercilla, Spanish soldier and poet (d. 1595) 1560 – Elizabeth Báthory, Hungarian aristocrat and purported serial killer (d. 1614) 1571 – Thomas Lupo, English viol player and composer (d. 1627) 1574 – Robert Dudley, English explorer and cartographer (d. 1649) 1598 – Georg Stiernhielm, Swedish poet and linguist (d. 1672) 1601–1900 1613 – William Frederick, Prince of Nassau-Dietz, Dutch stadtholder (d. 1664) 1702 – Muhammad Shah, Mughal emperor of India (d. 1748) 1726 – James Bowdoin, American banker and politician, 2nd Governor of Massachusetts (d. 1790) 1742 – Nathanael Greene, American general (d. 1786) 1751 – Wilhelmina of Prussia, Princess of Orange (d. 1820) 1779 – Carl Ritter, German geographer and academic (d. 1859) 1826 – August Ahlqvist, Finnish professor, poet, scholar of the Finno-Ugric languages, author, and literary critic (d. 1889) 1844 – Auguste Michel-Lévy, French geologist and author (d. 1911) 1860 – Alan Leo, English astrologer and author (d. 1917) 1862 – Henri Le Sidaner, French painter (d. 1939) 1862 – Victoria of Baden (d. 1931) 1867 – Emil Nolde, Danish-German painter and illustrator (d. 1956) 1868 – Ladislaus Bortkiewicz, Russian-German economist and statistician (d. 1931) 1868 – Huntley Wright, English actor (d. 1941) 1869 – Mary Frances Winston, American mathematician (d. 1959) 1876 – Mata Hari, Dutch dancer and spy (d. 1917) 1879 – Johannes Kotze, South African cricketer (d. 1931) 1884 – Billie Burke, American actress and singer (d. 1970) 1884 – Nikolai Triik, Estonian painter and illustrator (d. 1940) 1887 – Anna Elisabet Weirauch, German author and playwright (d. 1970) 1890 – Elizabeth Gurley Flynn, American author and activist (d. 1964) 1901–present 1901 – Ann Harding, American actress and singer (d. 1981) 1903 – Louis Leakey, Kenyan-English palaeontologist and archaeologist (d. 1972) 1904 – Ralph Bunche, American political scientist, academic, and diplomat, Nobel Prize laureate (d. 1971) 1907 – Albert Kotin, Belarusian-American soldier and painter (d. 1980) 1910 – Freddie Slack, American pianist and bandleader (d. 1965) 1911 – István Bibó, Hungarian lawyer and politician (d. 1979) 1911 – Nicholas Ray, American director and screenwriter (d. 1979) 1913 – George Van Eps, American guitarist (d. 1998) 1916 – Kermit Love, American actor, puppeteer, and costume designer (d. 2008) 1918 – C. Buddingh', Dutch poet and translator (d. 1985) 1918 – Gordon Zahn, American sociologist and author (d. 2007) 1921 – Manitas de Plata, French guitarist (d. 2014) 1921 – Karel Husa, Czech-American composer and conductor (d. 2016) 1924 – Kenneth Kendall, Indian-English journalist and actor (d. 2012) 1925 – Felice Bryant, American songwriter (d. 2003) 1926 – Stan Freberg, American puppeteer, voice actor, and singer (d. 2015) 1927 – Rocky Bridges, American baseball player and coach (d. 2015) 1927 – Edwin Edwards, American soldier, lawyer, and politician, 50th Governor of Louisiana (d. 2021) 1927 – Art Houtteman, American baseball player and journalist (d. 2003) 1928 – Betsy Byars, American author and academic (d. 2020) 1928 – Owen Luder, English architect, designed Tricorn Centre and Trinity Square (d. 2021) 1928 – James Randi, Canadian-American stage magician and author (d. 2020) 1929 – Don Larsen, American baseball player (d. 2020) 1930 – Togrul Narimanbekov, Azerbaijani-French painter and academic (d. 2013) 1930 – Veljo Tormis, Estonian composer and educator (d. 2017) 1931 – Jack Good, British television producer (d. 2017) 1931 – Charles E. Rice, American scholar and author (d. 2015) 1932 – Abebe Bikila, Ethiopian runner (d. 1973) 1932 – Edward Hardwicke, English actor (d. 2011) 1932 – Rien Poortvliet, Dutch painter and illustrator (d. 1995) 1932 – Maurice Rabb, Jr., American ophthalmologist and academic (d. 2005) 1933 – Eddie Firmani, South African footballer and manager 1933 – Elinor Ostrom, American economist and academic, Nobel Prize laureate (d. 2012) 1933 – Jerry Pournelle, American journalist and author (d. 2017) 1933 – Alberto Romulo, Filipino politician and diplomat 1934 – Sándor Simó, Hungarian director, producer, and screenwriter (d. 2001) 1935 – Lee Corso, American college football coach and broadcaster 1935 – Rahsaan Roland Kirk, American saxophonist and composer (d. 1977) 1937 – Zoltán Berczik, Hungarian table tennis player and coach (d. 2011) 1937 – Don Wilson, English cricketer and coach (d. 2012) 1938 – Giorgetto Giugiaro, Italian automotive designer 1940 – Jean-Luc Dehaene, French-Belgian lawyer and politician, 63rd Prime Minister of Belgium (d. 2014) 1940 – Uwe Nettelbeck, German record producer, journalist and film critic (d. 2007) 1941 – Matthew Evans, Baron Evans of Temple Guiting, English publisher and politician (d. 2016) 1942 – Garrison Keillor, American humorist, novelist, short story writer, and radio host 1942 – Carlos Monzon, Argentinian boxer and actor (d. 1995) 1942 – Caetano Veloso, Brazilian singer-songwriter, writer and producer 1942 – Richard Sykes, English biochemist and academic 1942 – B. J. Thomas, American singer (d. 2021) 1943 – Mohammed Badie, Egyptian religious leader 1943 – Lana Cantrell, Australian singer-songwriter and lawyer 1943 – Alain Corneau, French director and screenwriter (d. 2010) 1944 – John Glover, American actor 1944 – Robert Mueller, American soldier and lawyer, 6th Director of the Federal Bureau of Investigation 1945 – Kenny Ireland, Scottish actor and director (d. 2014) 1945 – Alan Page, American football player and jurist 1947 – Franciscus Henri, Dutch-Australian singer-songwriter 1947 – Sofia Rotaru, Ukrainian singer-songwriter, producer, and actress 1948 – Marty Appel, American businessman and author 1948 – Greg Chappell, Australian cricketer and coach 1949 – Walid Jumblatt, Lebanese journalist and politician 1949 – Matthew Parris, South African-English journalist and politician 1950 – Rodney Crowell, American singer-songwriter and guitarist 1950 – Alan Keyes, American politician and diplomat, 16th Assistant Secretary of State for International Organization Affairs 1950 – S. Thandayuthapani, Sri Lankan educator and politician 1952 – Caroline Aaron, American actress and producer 1952 – Eamonn Darcy, Irish golfer 1952 – Kees Kist, Dutch footballer 1952 – Alexei Sayle, English comedian, actor, and author 1953 – Anne Fadiman, American journalist and author 1954 – Valery Gazzaev, Russian footballer, manager and politician 1954 – Jonathan Pollard, Israeli spy 1954 – Alan Reid, Scottish politician 1955 – Wayne Knight, American actor, comedian and voice actor 1955 – Greg Nickels, American lawyer and politician, 51st Mayor of Seattle 1955 – Vladimir Sorokin, Russian author and playwright 1957 – Daire Brehan, Irish journalist, lawyer, and actress (d. 2012) 1957 – Alexander Dityatin, Russian gymnast and colonel 1958 – Russell Baze, Canadian-American jockey 1958 – Bruce Dickinson, English singer-songwriter and guitarist 1958 – Alberto Salazar, Cuban-American runner and coach 1959 – Koenraad Elst, Belgian orientalist and author 1959 – Ali Shah, Zimbabwean cricketer and coach 1960 – David Duchovny, American actor, director, producer, and screenwriter 1961 – Brian Conley, English actor and singer 1961 – Yelena Davydova, Russian gymnast 1961 – Walter Swinburn, English jockey and trainer (d. 2016) 1961 – Carlos Vives, Colombian singer, songwriter, and actor 1962 – Alison Brown, American banjo player, songwriter, and producer 1963 – Paul Dunn, Australian rugby league player 1963 – Nick Gillespie, American journalist and author 1963 – Marcus Roberts, American pianist and educator 1964 – John Birmingham, English-Australian journalist and author 1964 – Ian Dench, English guitarist and songwriter 1964 – Peter Niven, Scottish jockey 1965 – Raul Malo, American singer-songwriter, guitarist, and producer 1965 – Elizabeth Manley, Canadian figure skater 1966 – David Cairns, Scottish laicised priest and politician, Minister of State for Scotland (d. 2011) 1966 – Shobna Gulati, British actress 1966 – Kristin Hersh, American singer-songwriter and guitarist 1966 – Jimmy Wales, American-British entrepreneur, co-founder of Wikipedia 1967 – Jason Grimsley, American baseball player 1968 – Francesca Gregorini, Italian-American director and screenwriter 1968 – Trevor Hendy, Australian surfer and coach 1968 – Sophie Lee, Australian actress and author 1969 – Paul Lambert, Scottish footballer and manager 1969 – Dana G. Peleg, Israeli writer and LGBT activist 1970 – Eric Namesnik, American swimmer (d. 2006) 1971 – Dominic Cork, England cricketer and sportscaster 1971 – Rachel York, American actress and singer 1972 – Gerry Peñalosa, Filipino boxer and promoter 1973 – Mikhail Gorsheniov, Russian singer-songwriter (d. 2013) 1973 – Danny Graves, Vietnamese-American baseball player 1973 – Kevin Muscat, English-Australian footballer, coach, and manager 1974 – Chico Benymon, American actor 1974 – Michael Shannon, American actor 1975 – Koray Candemir, Turkish singer-songwriter 1975 – Gerard Denton, Australian cricketer 1975 – Megan Gale, Australian model and actress 1975 – Ray Hill, American football player (d. 2015) 1975 – Rebecca Kleefisch, American journalist and politician, 44th Lieutenant Governor of Wisconsin 1975 – Édgar Rentería, Colombian baseball player 1975 – Charlize Theron, South African actress 1976 – Dimitrios Eleftheropoulos, Greek footballer and manager 1976 – Shane Lechler, American football player 1977 – Charlotte Ronson, English fashion designer 1977 – Samantha Ronson, English singer-songwriter and DJ 1977 – Justin Brooker, Rugby League Player 1978 – Alexandre Aja, French director, producer, and screenwriter 1978 – Jamey Jasta, American singer-songwriter 1978 – Mark McCammon, English-Barbadian footballer 1978 – Cirroc Lofton, American actor 1979 – Eric Johnson, American actor, director, and screenwriter 1979 – Miguel Llera, Spanish footballer 1979 – Birgit Zotz, Austrian anthropologist and author 1980 – Carsten Busch, German footballer 1980 – Aurélie Claudel, French model and actress 1980 – Tácio Caetano Cruz Queiroz, Brazilian footballer 1980 – Seiichiro Maki, Japanese footballer 1981 – David Testo, American soccer player 1981 – Randy Wayne, American actor and producer 1982 – Ángeles Balbiani, Argentine actress and singer 1982 – Abbie Cornish, Australian actress 1982 – Juan Martín Hernández, Argentine rugby player 1982 – Marquise Hill, American football player (d. 2007) 1982 – Vassilis Spanoulis, Greek basketball player 1982 – Martin Vučić, Macedonian singer and drummer 1983 – Christian Chávez, Mexican singer-songwriter and actor 1983 – Murat Dalkılıç, Turkish singer-songwriter 1983 – Danny, Portuguese footballer 1983 – Andriy Hrivko, Ukrainian cyclist 1983 – Mark Pettini, English cricketer and journalist 1984 – Stratos Perperoglou, Greek basketball player 1984 – Tooba Siddiqui, Pakistani model and actress 1984 – Yun Hyon-seok, South Korean poet and author (d. 2003) 1986 – Paul Biedermann, German swimmer 1986 – Valter Birsa, Slovenian footballer 1986 – Altaír Jarabo, Mexican model and actress 1986 – Juan de la Rosa, Mexican boxer 1987 – Sidney Crosby, Canadian ice hockey player 1987 – Mustapha Dumbuya, Sierra Leonean footballer 1987 – Ryan Lavarnway, American baseball player 1987 – Rouven Sattelmaier, German footballer 1988 – Jonathan Bernier, Canadian ice hockey player 1988 – Mohamed Coulibaly, Senegalese footballer 1988 – Anisa Mohammed, West Indian cricketer 1988 – Melody Oliveria, American blogger 1988 – Erik Pieters, Dutch footballer 1988 – Beanie Wells, American football player 1989 – DeMar DeRozan, American basketball player 1990 – Josh Franceschi, English singer-songwriter 1991 – Luis Salom, Spanish motorcycle racer (d. 2016) 1991 – Mitchell te Vrede, Dutch footballer 1991 – Mike Trout, American baseball player 1992 – Adam Yates, English cyclist 1992 – Simon Yates, English cyclist 1992 – E. J. Tackett, American bowler 1992 – Wout Weghorst, Dutch footballer 1993 – Francesca Eastwood, American actress and television personality 1993 – Martti Nõmme, Estonian ski jumper 1993 – Karol Zalewski, Polish sprinter 1997 – Matty Cash, Polish footballer 1997 – Kyler Murray, American football player 1998 – Vladimir Barbu, Italian diver 1998 – María Bazo, Peruvian windsurfer 1998 – Jalen Hurts, American football player Deaths Pre-1600 461 – Majorian, Roman emperor (b. 420) 707 – Li Chongjun, Chinese prince 1028 – Alfonso V, king of León (b. 994) 1106 – Henry IV, Holy Roman Emperor (b. 1050) 1234 – Hugh Foliot, bishop of Hereford (b. c. 1155) 1272 – Richard Middleton, English Lord Chancellor 1296 – Heinrich II von Rotteneck, prince-bishop of Regensburg 1385 – Joan of Kent, mother of Richard II (b. 1328) 1485 – Alexander Stewart, duke of Albany (b. 1454) 1547 – Cajetan, Italian priest and saint (b. 1480) 1601–1900 1613 – Thomas Fleming, English judge and politician, Lord Chief Justice of England (b. 1544) 1616 – Vincenzo Scamozzi, Italian architect, designed Teatro Olimpico (b. 1548) 1632 – Robert de Vere, 19th Earl of Oxford, English soldier (b. 1575) 1635 – Friedrich Spee, German poet and academic (b. 1591) 1639 – Martin van den Hove, Dutch astronomer and mathematician (b. 1605) 1661 – Jin Shengtan, Chinese journalist and critic (b. 1608) 1787 – Francis Blackburne, English Anglican churchman and activist (b. 1705) 1817 – Pierre Samuel du Pont de Nemours, French economist and politician (b. 1739) 1834 – Joseph Marie Jacquard, French weaver and inventor, invented the Jacquard loom (b. 1752) 1848 – Jöns Jacob Berzelius, Swedish chemist and academic (b. 1779) 1855 – Mariano Arista, Mexican general and politician, 19th President of Mexico (b. 1802) 1864 – Li Xiucheng, Chinese field marshal (b. 1823) 1893 – Alfredo Catalani, Italian composer and academic (b. 1854) 1899 – Jacob Maris, Dutch painter and educator (b. 1837) 1900 – Wilhelm Liebknecht, German lawyer and politician (b. 1826) 1901–present 1912 – François-Alphonse Forel, Swiss limnologist and academic (b. 1841) 1917 – Edwin Harris Dunning, South African-English commander and pilot (b. 1891) 1938 – Konstantin Stanislavski, Russian actor and director (b. 1863) 1941 – Rabindranath Tagore, Indian author, poet, and playwright, Nobel Prize laureate (b. 1861) 1948 – Charles Bryant, English-American actor and director (b. 1879) 1953 – Abner Powell, American baseball player and manager (b. 1860) 1957 – Oliver Hardy, American actor, singer, and director (b. 1892) 1958 – Elizabeth Foreman Lewis, American author and educator (b. 1892) 1960 – Luis Ángel Firpo, Argentine boxer (b. 1894) 1963 – Ramon Vila Capdevila, last of the Spanish Maquis, holding out after the end of the Spanish Civil War (b. 1908) 1968 – Giovanni Bracco, Italian race car driver (b. 1908) 1969 – Jean Bastien, French professional footballer (b. 1915) 1969 – Joseph Kosma, Hungarian-French composer (b. 1905) 1970 – Harold Haley, American lawyer and judge (b. 1904) 1970 – Jonathan P. Jackson, American bodyguard and kidnapper (b. 1953) 1972 – Joi Lansing, American model, actress, and singer (b. 1929) 1973 – Jack Gregory, Australian cricketer (b. 1895) 1974 – Rosario Castellanos, Mexican poet and author (b. 1925) 1974 – Sylvio Mantha, Canadian ice hockey player and coach (b. 1902) 1978 – Eddie Calvert, English trumpeter (b. 1922) 1981 – Gunnar Uusi, Estonian chess player (b. 1931) 1985 – Grayson Hall, American actress (b. 1922) 1987 – Camille Chamoun, Lebanese lawyer and politician, 7th President of Lebanon (b. 1900) 1989 – Mickey Leland, American lawyer and politician (b. 1944) 1994 – Larry Martyn, English actor (b. 1934) 1995 – Brigid Brophy, English author and critic (b. 1929) 2001 – Algirdas Lauritėnas, Lithuanian basketball player (b. 1932) 2003 – K. D. Arulpragasam, Sri Lankan zoologist and academic (b. 1931) 2003 – Mickey McDermott, American baseball player and coach (b. 1929) 2004 – Red Adair, American firefighter (b. 1915) 2004 – Colin Bibby, English ornithologist and academic (b. 1948) 2005 – Peter Jennings, Canadian-American journalist and author (b. 1938) 2005 – Ester Šimerová-Martinčeková, Slovak painter (b. 1909) 2006 – Mary Anderson Bain, American lawyer and politician (b. 1911) 2007 – Ernesto Alonso, Mexican actor, director, and producer (b. 1917) 2007 – Angus Tait, New Zealand businessman, founded Tait Communications (b. 1919) 2008 – Bernie Brillstein, American talent agent and producer (b. 1931) 2008 – Andrea Pininfarina, Italian engineer and businessman (b. 1957) 2009 – Louis E. Saavedra, American educator and politician, 48th Mayor of Albuquerque (b. 1933) 2009 – Mike Seeger, American singer-songwriter (b. 1933) 2010 – John Nelder, English mathematician and statistician (b. 1924) 2011 – Mark Hatfield, American soldier, academic, and politician, 29th Governor of Oregon (b. 1922) 2011 – Nancy Wake, New Zealand-English captain and spy (b. 1912) 2012 – Murtuz Alasgarov, Azerbaijani academic and politician, Speaker of the National Assembly of Azerbaijan (b. 1928) 2012 – Judith Crist, American critic and academic (b. 1922) 2012 – Vladimir Kobzev, Russian footballer and coach (b. 1959) 2012 – Anna Piaggi, Italian journalist and author (b. 1931) 2012 – Mayer Zald, American sociologist and academic (b. 1931) 2012 – Dušan Zbavitel, Czech indologist and author (b. 1925) 2013 – Samuel G. Armistead, American linguist, historian, and academic (b. 1927) 2013 – Almir Kayumov, Russian footballer (b. 1964) 2013 – Anthony Pawson, English-Canadian biologist, chemist, and academic (b. 1952) 2013 – Margaret Pellegrini, American actress and dancer (b. 1923) 2013 – Meeli Truu, Estonian architect (b. 1946) 2013 – Alexander Yagubkin, Russian boxer (b. 1961) 2014 – Víctor Fayad, Argentine lawyer and politician (b. 1955) 2014 – Perry Moss, American football player and coach (b. 1926) 2014 – Henry Stone, American record producer (b. 1921) 2015 – Manuel Contreras, Chilean general (b. 1929) 2015 – Frances Oldham Kelsey, Canadian pharmacologist and physician (b. 1914) 2015 – Louise Suggs, American golfer, co-founded LPGA (b. 1923) 2016 – Bryan Clauson, American racing driver (b. 1989) 2017 – Don Baylor, American baseball player (b. 1949) 2017 – David Maslanka, American composer (b. 1943) 2018 – M. Karunanidhi, Indian politician, former Tamil Nadu Chief Minister and prominent leader of Tamils (b. 1924) 2018 – Stan Mikita, Slovak hockey player (b. 1940) 2019 – David Berman, American musician, singer, poet and cartoonist (b. 1967) 2020 – Lê Khả Phiêu, Vietnamese politician (b. 1931) 2021 – Markie Post, American actress (b. 1950) 2021 – Trevor Moore, American comedian (b. 1980) 2022 – David McCullough, American historian and author (b. 1933) 2023 – William Friedkin, American film director (b. 1935) Holidays and observances Assyrian Martyrs Day (Assyrian community) Battle of Boyacá Day (Colombia) Christian feast day: Albert of Trapani Cajetan of Thienna Carpophorus and companions Dometius of Persia Donatus of Arezzo Donatus of Besançon Donatus of Muenstereifel John Mason Neale and Catherine Winkworth (Episcopal Church (USA)) Nantovinus Pope Sixtus II August 7 (Eastern Orthodox liturgics) Filseta (Ethiopian and Eritrean Orthodox Tewahedo Church) Emancipation Day (Saint Kitts and Nevis) Republic Day (Ivory Coast) Youth Day (Kiribati) National Purple Heart Day (United States) References External links Days of the year August
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August 8
Events Pre-1600 685 BC – Spring and Autumn period: Battle of Qianshi: Upon the death of the previous Duke of Qi, Gongsun Wuzhi, Duke Zhuang of Lu sends an army into the Duchy of Qi to install the exiled Qi prince Gongzi Jiu as the new Duke of Qi — but is defeated at Qianshi by Jiu’s brother and rival claimant, the newly inaugurated Duke Huan of Qi. 870 – Treaty of Meerssen: King Louis the German and his half-brother Charles the Bald partition the Middle Frankish Kingdom into two larger east and west divisions. 1220 – Sweden is defeated by Estonian tribes in the Battle of Lihula. 1264 – Mudéjar revolt: Muslim rebel forces took the Alcázar of Jerez de la Frontera after defeating the Castilian garrison. 1503 – King James IV of Scotland marries Margaret Tudor, daughter of King Henry VII of England at Holyrood Abbey in Edinburgh, Scotland. 1509 – Krishnadeva Raya is crowned Emperor of Vijayanagara at Chittoor. 1576 – The cornerstone for Tycho Brahe's Uraniborg observatory is laid on the island of Hven. 1585 – John Davis enters Cumberland Sound in search of the Northwest Passage. 1588 – Anglo-Spanish War: Battle of Gravelines: The naval engagement ends, ending the Spanish Armada's attempt to invade England. 1601–1900 1647 – The Irish Confederate Wars and Wars of the Three Kingdoms: Battle of Dungan's Hill: English Parliamentary forces defeat Irish forces. 1648 – Mehmed IV (1648–1687) succeeds Ibrahim I (1640–1648) as Ottoman sultan. 1709 – Bartolomeu de Gusmão demonstrates the lifting power of hot air in an audience before the king of Portugal in Lisbon, Portugal. 1786 – Mont Blanc on the French-Italian border is climbed for the first time by Jacques Balmat and Dr. Michel-Gabriel Paccard. 1794 – Joseph Whidbey leads an expedition to search for the Northwest Passage near Juneau, Alaska. 1831 – Four hundred Shawnee people agree to relinquish their lands in Ohio in exchange for land west of the Mississippi River in the Treaty of Wapakoneta. 1844 – The Quorum of the Twelve Apostles, headed by Brigham Young, is reaffirmed as the leading body of the Church of Jesus Christ of Latter-day Saints (LDS Church). 1863 – American Civil War: Following his defeat in the Battle of Gettysburg, General Robert E. Lee sends a letter of resignation to Confederate President Jefferson Davis (which is refused upon receipt). 1863 – Tennessee Military Governor Andrew Johnson frees his personal slaves in Greeneville, Tennessee despite them being exempt from the Emancipation Proclamation, now commemorated as Emancipation Day in the state. 1870 – The Republic of Ploiești, a failed Radical-Liberal rising against Domnitor Carol of Romania. 1876 – Thomas Edison receives a patent for his mimeograph. 1901–present 1903 – Black Saturday occurs, killing 12 in a stadium collapse in Philadelphia. 1908 – Wilbur Wright makes his first flight at a racecourse at Le Mans, France. It is the Wright Brothers' first public flight. 1918 – World War I: The Battle of Amiens begins a string of almost continuous Allied victories with a push through the German front lines (Hundred Days Offensive). 1919 – The Anglo-Afghan Treaty of 1919 is signed. It establishes peaceful relations between Afghanistan and the UK, and confirms the Durand line as the mutual border. In return, the UK is no longer obligated to subsidize the Afghan government. 1929 – The German airship Graf Zeppelin begins a round-the-world flight. 1940 – The "Aufbau Ost" directive is signed by Wilhelm Keitel. 1942 – Quit India Movement is launched in India against the British rule in response to Mohandas Gandhi's call for swaraj or complete independence. 1945 – The London Charter is signed by France, the United Kingdom, the Soviet Union and the United States, establishing the laws and procedures for the Nuremberg trials. 1946 – First flight of the Convair B-36, the world's first mass-produced nuclear weapon delivery vehicle, the heaviest mass-produced piston-engined aircraft, with the longest wingspan of any military aircraft, and the first bomber with intercontinental range. 1956 – Marcinelle mining disaster in Belgium. 262 coal miners, including a substantial number of Italian migrant workers, were killed in one of the largest mining accidents in Belgian history. 1963 – Great Train Robbery: In England, a gang of 15 train robbers steal £2.6 million in bank notes. 1963 – The Zimbabwe African National Union (ZANU), the current ruling party of Zimbabwe, is formed by a split from the Zimbabwe African People's Union. 1967 – The Association of Southeast Asian Nations (ASEAN) is founded by Indonesia, Malaysia, the Philippines, Singapore and Thailand. 1969 – At a zebra crossing in London, photographer Iain Macmillan takes the iconic photo that becomes the cover image of the Beatles' album Abbey Road. 1973 – Kim Dae-jung, a South Korean politician and later president of South Korea, is kidnapped. 1974 – President Richard Nixon, in a nationwide television address, announces his resignation from the office of the President of the United States effective noon the next day. 1988 – The 8888 Uprising begins in Rangoon (Yangon), Burma (Myanmar). Led by students, hundreds of thousands join in nationwide protests against the one-party regime. On September 18, the demonstrations end in a military crackdown, killing thousands. 1988 – The first night baseball game in the history of Chicago's Wrigley Field (game was rained out in the fourth inning). 1989 – Space Shuttle program: STS-28 Mission: Space Shuttle Columbia takes off on a secret five-day military mission. 1990 – Iraq occupies Kuwait and the state is annexed to Iraq. This would lead to the Gulf War shortly afterward. 1991 – The Warsaw radio mast, then the tallest construction ever built, collapses. 1993 – The 7.8 Guam earthquake shakes the island with a maximum Mercalli intensity of IX (Violent), causing around $250 million in damage and injuring up to 71 people. 1998 – Iranian consulate in Mazar-i-Sharif, Afghanistan is raided by Taliban leading to the deaths of ten Iranian diplomats and a journalist. 2000 – Confederate submarine H.L. Hunley is raised to the surface after 136 years on the ocean floor and 30 years after its discovery by undersea explorer E. Lee Spence. 2001 – Albanian rebels ambush a convoy of the Army of the Republic of Macedonia near Tetovo, killing 10 soldiers. 2004 – A tour bus belonging to the Dave Matthews Band dumps approximately 800 pounds of human waste onto a boat full of passengers. 2007 – An EF2 tornado touches down in Kings County and Richmond County, New York, the most powerful tornado in New York to date and the first in Brooklyn since 1889. 2008 – A EuroCity express train en route from Kraków, Poland to Prague, Czech Republic strikes a part of a motorway bridge that had fallen onto the railroad track near Studénka railway station in the Czech Republic and derails, killing eight people and injuring 64 others. 2008 – The 29th modern summer Olympic Games took place in Beijing, China until August 24. 2010 – China Floods: A mudslide in Zhugqu County, Gansu, China, kills more than 1,400 people. 2013 – A suicide bombing at a funeral in the Pakistani city of Quetta kills at least 31 people. 2015 – Eight people are killed in a shooting in Harris County, Texas. 2016 – Terrorists attack a government hospital in Quetta, Pakistan with a suicide blast and shooting, killing between 70 and 94 people, and injuring around 130 others. 2019 – An explosion at the State Central Navy Testing Range in Nyonoksa, Russia, kills five people. 2022 – The Federal Bureau of Investigation (FBI) executes a search warrant at former president Donald Trump's residence in Mar-a-Lago, Palm Beach, Florida. 2023 – 2023 Hawaii wildfires: 17,000 acres of land are burned and at least 98 people are killed, with 31 others missing, when a series of wildfires break out on the island of Maui in Hawaii. Births Pre-1600 422 – Casper, ruler of the Maya city of Palenque 1079 – Emperor Horikawa of Japan (d. 1107) 1170 – Saint Dominic, founder of the Dominicans (d. 1221) 1306 – Rudolf II, Duke of Bavaria (d. 1353) 1492 – Matteo Tafuri, Italian alchemist (d. 1582) 1518 – Conrad Lycosthenes, French-German scholar and author (d. 1561) 1558 – George Clifford, 3rd Earl of Cumberland, English noble (d. 1605) 1601–1900 1605 – Cecil Calvert, 2nd Baron Baltimore, English lawyer and politician, Governor of Newfoundland (d. 1675) 1640 – Amalia Catharina, German poet and composer (d. 1697) 1646 – Godfrey Kneller, German-English painter (d. 1723) 1673 – John Ker, Scottish spy (d. 1726) 1693 – Laurent Belissen, French composer (d. 1762) 1694 – Francis Hutcheson, Irish philosopher and academic (d. 1746) 1709 – Hermann Anton Gelinek, German-Italian monk and violinist (d. 1779) 1720 – Carl Fredrik Pechlin, Swedish general and politician (d. 1796) 1754 – Hipólito Ruiz López, Spanish botanist (d. 1816) 1758 – Friedrich Georg Weitsch, German painter (d. 1828) 1790 – Ferenc Kölcsey, Hungarian poet, critic, and politician (d. 1838) 1807 – Emilie Flygare-Carlén, Swedish author (d. 1892) 1814 – Esther Hobart Morris, American suffragette and judge (d. 1902) 1822 – George Stoneman, Jr., United States Army cavalry officer (d. 1894) 1839 – Nelson A. Miles, American general (d. 1925) 1851 – George Turner, Australian politician, 18th Premier of Victoria (d. 1916) 1856 – Thomas Anstey Guthrie, English journalist and author (d. 1934) 1857 – Cécile Chaminade, French pianist and composer (d. 1944) 1863 – Jean Leon Gerome Ferris, American painter (d. 1930) 1866 – Matthew Henson, American explorer (d. 1955) 1874 – Albert Stanley, 1st Baron Ashfield, English businessman and politician, President of the Board of Trade (d. 1948) 1875 – Arthur Bernardes, Brazilian lawyer and politician, 12th President of Brazil (d. 1955) 1876 – Varghese Payyappilly Palakkappilly, Indian-Syrian priest, founded the Sisters of the Destitute (d. 1929) 1879 – Bob Smith, American physician and surgeon, co-founded Alcoholics Anonymous (d. 1950) 1879 – Emiliano Zapata, Mexican general and politician (d. 1919) 1880 – Earle Page, Australian lawyer, academic, and politician, 11th Prime Minister of Australia (d. 1961) 1881 – Paul Ludwig Ewald von Kleist, German field marshal (d. 1954) 1882 – Ladislas Starevich, Russian-French animator, screenwriter, and cinematographer (d. 1965) 1884 – Sara Teasdale, American poet and educator (d. 1933) 1889 – Hans Egede Budtz, Danish actor (d. 1968) 1889 – Jack Ryder, Australian cricketer (d. 1977) 1891 – Adolf Busch, German violinist and composer (d. 1952) 1896 – Marjorie Kinnan Rawlings, American author and academic (d. 1953) 1898 – Marguerite Bise, French chef (d. 1965) 1901–present 1901 – Ernest Lawrence, American physicist and academic, Nobel Prize laureate (d. 1958) 1902 – Paul Dirac, English-American physicist and academic, Nobel Prize laureate (d. 1984) 1904 – Achille Varzi, Italian racing driver (d. 1948) 1905 – André Jolivet, French composer (d. 1974) 1907 – Benny Carter, American saxophonist, trumpet player, and composer (d. 2003) 1908 – Arthur Goldberg, American jurist and politician, 6th United States Ambassador to the United Nations (d. 1990) 1909 – Charles Lyttelton, 10th Viscount Cobham, English cricketer and politician, 9th Governor-General of New Zealand (d. 1977) 1909 – Jack Renshaw, Australian politician, 31st Premier of New South Wales (d. 1987) 1909 – Bill Voce, England cricketer and coach (d. 1984) 1910 – Jimmy Murphy, Welsh-English footballer and manager (d. 1989) 1910 – Sylvia Sidney, American actress (d. 1999) 1911 – Rosetta LeNoire, American actress (d. 2002) 1915 – James Elliott, American runner and coach (d. 1981) 1919 – Dino De Laurentiis, Italian actor and producer (d. 2010) 1919 – John David Wilson, English animator and producer (d. 2013) 1920 – Leo Chiosso, Italian songwriter and producer (d. 2006) 1920 – Jimmy Witherspoon, American jump blues singer (d. 1997) 1921 – William Asher, American director, producer, and screenwriter (d. 2012) 1921 – Webb Pierce, American singer-songwriter and guitarist (d. 1991) 1921 – Esther Williams, American swimmer and actress (d. 2013) 1922 – Rory Calhoun, American actor (d. 1999) 1922 – Rudi Gernreich, Austrian-American fashion designer, created the Monokini (d. 1985) 1922 – Gertrude Himmelfarb, American historian, author, and academic (d. 2019) 1922 – Károly Reich, Hungarian illustrator (d. 1988) 1925 – Alija Izetbegović, Bosnian lawyer and politician, 1st President of Bosnia and Herzegovina (d. 2003) 1925 – Aziz Sattar, Malaysian actor, comedian, singer and director (d. 2014) 1926 – Richard Anderson, American actor and producer (d. 2017) 1927 – Johnny Temple, American baseball player and coach (d. 1994) 1927 – Maia Wojciechowska, Polish-American author (d. 2002) 1928 – Don Burrows, Australian saxophonist, clarinet player, and flute player (d. 2020) 1929 – Larisa Bogoraz, Russian linguist and activist (d. 2004) 1929 – Luis García Meza Tejada, Bolivian general and politician, 68th President of Bolivia (d. 2018) 1929 – Ronnie Biggs, English criminal (d. 2013) 1930 – Terry Nation, Welsh-American author and screenwriter (d. 1997) 1930 – Jerry Tarkanian, American basketball player and coach (d. 2015) 1931 – Roger Penrose, English physicist, mathematician, and philosopher, Nobel Prize laureate 1932 – Mel Tillis, American singer-songwriter and guitarist (d. 2017) 1933 – Joe Tex, American soul singer-songwriter (d. 1982) 1934 – Sarat Pujari, Indian actor, director, and screenwriter (d. 2014) 1935 – Donald P. Bellisario, American director, producer, and screenwriter 1935 – John Laws, Papua New Guinean-Australian singer and radio host 1936 – Frank Howard, American baseball player and manager (d. 2023) 1936 – Jan Pieńkowski, Polish-English author and illustrator (d. 2022) 1937 – Dustin Hoffman, American actor and director 1937 – Sheila Varian, American horse breeder (d. 2016) 1937 – Cornelis Vreeswijk, Dutch-Swedish singer-songwriter, guitarist, and actor (d. 1987) 1938 – Jack Baldwin, English chemist and academic (d. 2020) 1938 – Jacques Hétu, Canadian composer and educator (d. 2010) 1938 – Connie Stevens, American actress and businesswoman 1939 – Jana Andrsová, Czech actress and ballerina 1939 – Viorica Viscopoleanu, Romanian long jumper 1939 – Alexander Watson, American diplomat, United States Ambassador to Peru 1940 – Dilip Sardesai, Indian cricketer (d. 2007) 1940 – Dennis Tito, American engineer and businessman, founded Wilshire Associates 1942 – James Blanchard, American diplomat and politician, 45th Governor of Michigan 1942 – Dennis Canavan, Scottish educator and politician 1942 – John Gustafson, English singer-songwriter and bass player (d. 2014) 1942 – Vardo Rumessen, Estonian pianist and musicologist (d. 2015) 1944 – John C. Holmes, American film actor (d. 1988) 1944 – Michael Johnson, American singer-songwriter, guitarist, and producer (d. 2017) 1944 – John Renbourn, English-Scottish guitarist and songwriter (d. 2015) 1944 – Simon Taylor, English journalist and author 1946 – Joe Bethancourt, American singer-songwriter (d. 2014) 1947 – Ken Dryden, Canadian ice hockey player, lawyer, and politician 1947 – Larry Wilcox, American actor, director, and producer 1948 – Svetlana Savitskaya, Russian engineer and astronaut 1948 – Margaret Urban Walker, American philosopher 1949 – Terry Burnham, American actress 1949 – Keith Carradine, American actor 1949 – Ricardo Londoño, Colombian racing driver (d. 2009) 1950 – Willie Hall, American drummer and producer 1950 – Ken Kutaragi, Japanese businessman, created PlayStation 1951 – Martin Brest, American director, producer, and screenwriter 1951 – Phil Carlson, Australian cricketer (d. 2022) 1951 – Mohamed Morsi, Egyptian engineer, academic, and politician, 5th President of Egypt (d. 2019) 1951 – Mamoru Oshii, Japanese director, producer, and screenwriter 1951 – Randy Shilts, American journalist and author (d. 1994) 1951 – Louis van Gaal, Dutch footballer and manager 1952 – Anton Fig, South African-American drummer 1952 – Jostein Gaarder, Norwegian author 1952 – Doug Melvin, Canadian baseball player and manager 1952 – Robin Quivers, American nurse, radio host/personality, and author 1952 – Sudhakar Rao, Indian cricketer 1953 – Nigel Mansell, English racing driver 1953 – Don Most, American actor and singer 1954 – Nick Holtam, English bishop 1955 – Diddú, Icelandic singer-songwriter 1955 – Herbert Prohaska, Austrian footballer and manager 1955 – Michael Roe, Irish racing driver 1956 – Chris Foreman, English singer-songwriter and guitarist 1956 – David Grant, English singer 1956 – Cecilia Roth, Argentinian actress 1957 – Dennis Drew, American keyboard player 1958 – Deborah Norville, American journalist 1959 – Caroline Ansink, Dutch flute player, composer, and educator 1960 – Mustafa Balbay, Turkish journalist and politician 1960 – Ulrich Maly, German politician, 16th Mayor of Nuremberg 1961 – The Edge, British-Irish musician, singer and songwriter 1961 – Daniel House, American bass player and producer 1961 – Ron Klain, American lawyer and politician, White House Chief of Staff 1961 – Bruce Matthews, American football player and coach 1961 – Rikki Rockett, American glam rock drummer 1962 – Kool Moe Dee, American musician, singer and actor 1963 – Hur Jin-ho, South Korean director and screenwriter 1963 – Ron Karkovice, American baseball player and manager 1963 – Emi Shinohara, Japanese voice actress and singer 1963 – Jon Turteltaub, American director and producer 1963 – Stephen Walkom, Canadian ice hockey player, referee, and manager 1964 – Anastasia M. Ashman, American blogger and author 1964 – Giuseppe Conte, Prime Minister of Italy 1964 – Scott Sandelin, American ice hockey player and coach 1964 – Paul Taylor, English cricketer 1965 – Angus Fraser, English cricketer, manager, and journalist 1965 – Kate Langbroek, Australian talk show host 1966 – Chris Eubank, English boxer 1966 – John Hudek, American baseball player and coach 1967 – Marcelo Balboa, American soccer player, coach, and sportscaster 1968 – Yvie Burnett, Scottish soprano 1968 – Aldo Calderón van Dyke, Honduran journalist (d. 2013) 1968 – Abey Kuruvilla, Indian cricketer and coach 1968 – Huey Morgan, American singer-songwriter and guitarist 1969 – Monika Tsõganova, Estonian chess player 1969 – Faye Wong, Chinese singer-songwriter and actress 1970 – Trev Alberts, American football player and journalist 1970 – Ben G. Davis, English chemist and academic 1970 – José Francisco Molina, Spanish footballer and manager 1970 – Chester Williams, South African rugby player and coach (d. 2019) 1971 – Johnny Balentina, Dutch baseball player 1972 – Joely Collins, Canadian actress and producer 1972 – Andrea de Rossi, Italian rugby player and coach 1972 – Axel Merckx, Belgian cyclist 1972 – Steven Tweed, Scottish footballer and manager 1973 – Shane Lee, Australian cricketer and guitarist 1973 – Gert Olesk, Estonian footballer and manager 1973 – Scott Stapp, American singer-songwriter and producer 1973 – Mark Wills, American singer-songwriter 1973 – Ilka Agricola, German mathematician 1974 – Manjul Bhargava, Canadian-American mathematician and academic 1974 – Scott D'Amore, Canadian wrestler and manager 1974 – Brian Harvey, English singer-songwriter 1974 – Andy Priaulx, Guernseyan racing driver 1975 – Mick Moss, English singer-songwriter 1976 – JC Chasez, American singer and dancer 1976 – Drew Lachey, American singer and actor 1977 – Lindsay Sloane, American actress 1977 – Darren Manzella, American sergeant (d. 2013) 1977 – Rocky Thompson, Canadian ice hockey player and coach 1977 – Nicolas Vogondy, French cyclist 1977 – Mohammad Wasim, Pakistani cricketer 1978 – Alan Maybury, Irish footballer and coach 1978 – Louis Saha, French footballer 1978 – Miho Shiraishi, Japanese actress 1979 – Richard Harwood, English cellist 1979 – Rashard Lewis, American basketball player 1979 – Richard Lyons, Northern Irish racing driver 1980 – Shayna Baszler, American mixed martial artist and wrestler 1980 – Craig Breslow, American baseball pitcher and executive 1980 – Jack Cassel, American baseball player 1980 – Denisse Guerrero, Mexican singer-songwriter 1980 – Sabine Klaschka, German tennis player 1980 – Diego Markwell, Dutch baseball player 1980 – Pat Noonan, American soccer player 1980 – Michael Urie, American actor, director, and producer 1981 – Vanessa Amorosi, Australian singer-songwriter 1981 – Roger Federer, Swiss tennis player 1981 – Meagan Good, American actress and producer 1981 – Harel Skaat, Israeli singer-songwriter 1982 – David Florence, English canoe racer 1982 – Ross Ohlendorf, American baseball player 1983 – Guy Burnet, English actor and producer 1983 – Willie Tonga, Australian rugby league player 1984 – Kirk Broadfoot, Scottish footballer 1984 – Norbert Michelisz, Hungarian racing driver 1984 – Martrez Milner, American football player 1985 – Toby Flood, English rugby player 1985 – Ryan Koolwijk, Dutch footballer 1985 – James Morgan, Welsh actor and producer 1985 – Brett Ratliff, American football player 1985 – Anita Włodarczyk, Polish track and field athlete 1986 – Kateryna Bondarenko, Ukrainian tennis player 1986 – Jackie Cruz, Dominican-American actress and singer 1986 – Pierre Garçon, American football player 1986 – Chris Pressley, American football player 1987 – Pierre Boulanger, French actor 1987 – Katie Leung, Scottish actress 1987 – Tatjana Maria, German tennis player 1988 – Princess Beatrice, British royal 1988 – Danilo Gallinari, Italian basketball player 1988 – Rinku Singh, Indian baseball player and wrestler 1988 – Laura Slade Wiggins, American actress and singer 1989 – Ken Baumann, American actor and author 1989 – Anthony Rizzo, American baseball player 1989 – Hannah Miley, English-Scottish swimmer 1989 – Prajakta Mali, Indian actress 1990 – Vladimír Darida, Czech footballer 1990 – Parker Kligerman, American race car driver 1990 – Aleksandra Szwed, Polish actress and singer 1990 – Kane Williamson, New Zealand cricket captain 1991 – Yandy Díaz, Cuban baseball player 1991 – Nélson Oliveira, Portuguese footballer 1991 – Tyrone Peachey, Australian rugby league player 1991 – Joël Matip, Cameroonian footballer 1992 – Josip Drmić, Swiss footballer 1992 – Casey Cott, American actor 1998 – Shawn Mendes, Canadian singer-songwriter and guitarist 1998 – Ryan Garcia, American boxer 2000 – Félix Auger-Aliassime, Canadian tennis player Deaths Pre-1600 117 – Trajan, Roman emperor (b. 53) 753 – Hildegar, bishop of Cologne 869 – Lothair II, Frankish king (b. 835) 998 – Seo Hui, Korean politician and diplomat (b. 942) 1002 – Almanzor, chief minister and de facto ruler of Córdoba 1171 – Henry of Blois, bishop of Winchester (b. 1111) 1303 – Henry of Castile the Senator, Spanish nobleman (b. 1230) 1533 – Lucas van Leyden, Dutch artist (b. 1494) 1555 – Oronce Finé, French mathematician and cartographer (b. 1494) 1588 – Alonso Sánchez Coello, Spanish painter (b. 1532) 1601–1900 1604 – Horio Tadauji, Japanese daimyō (b. 1578) 1616 – Cornelis Ketel, Dutch painter (b. 1548) 1631 – Konstantinas Sirvydas, Lithuanian priest, lexicographer, and academic (b. 1579) 1684 – George Booth, 1st Baron Delamer, English politician (b. 1622) 1724 – Christoph Ludwig Agricola, German painter (b. 1665) 1747 – Madeleine de Verchères, Canadian raid leader (b. 1678) 1746 – Francis Hutcheson, Irish philosopher (b. 1694) 1759 – Carl Heinrich Graun, German tenor and composer (b. 1704) 1827 – George Canning, English lawyer and politician, Prime Minister of the United Kingdom (b. 1770) 1828 – Carl Peter Thunberg, Swedish botanist and psychologist (b. 1743) 1858 – Marie-Claire Heureuse Félicité Bonheur, Haitian Empress (b. 1758) 1863 – Angus MacAskill, Scottish-Canadian giant (b. 1825) 1879 – Immanuel Hermann Fichte, German philosopher and academic (b. 1797) 1887 – Alexander William Doniphan, American colonel, lawyer, and politician (b. 1808) 1897 – Jacob Burckhardt, Swiss historian and academic (b. 1818) 1898 – Eugène Boudin, French painter (b. 1824) 1901–present 1902 – James Tissot, French painter and illustrator (b. 1836) 1902 – John Henry Twachtman, American painter and academic (b. 1853) 1909 – Mary MacKillop, Australian nun and saint, co-founded the Sisters of St Joseph of the Sacred Heart (b. 1842) 1911 – William P. Frye, American lawyer and politician (b. 1830) 1920 – Eduard Birnbaum, Polish-born German cantor (b. 1855) 1921 – Juhani Aho, Finnish journalist and author (b. 1861) 1928 – Stjepan Radić, Croatian politician (b. 1871) 1930 – Launceston Elliot, Scottish wrestler and weightlifter (b. 1874) 1934 – Wilbert Robinson, American baseball player, coach, and manager (b. 1863) 1937 – Jimmie Guthrie, Scottish motorcycle racer (b. 1897) 1940 – Johnny Dodds, American clarinet player and saxophonist (b. 1892) 1944 – Erwin von Witzleben, German field marshal (b. 1881) 1944 – Michael Wittmann, German commander (b. 1914) 1950 – Fergus McMaster, Australian businessman, founded Qantas (b. 1879) 1959 – Albert Namatjira, Australian painter (b. 1902) 1965 – Shirley Jackson, American novelist and short story writer (b. 1916) 1969 – Otmar Freiherr von Verschuer, German biologist and eugenicist (b. 1896) 1971 – Freddie Spencer Chapman, English lieutenant (b. 1907) 1973 – Vilhelm Moberg, Swedish historian and author (b. 1898) 1974 – Elisabeth Abegg, German anti-Nazi resistance fighter (b. 1882) 1975 – Cannonball Adderley, American saxophonist (b. 1928) 1979 – Nicholas Monsarrat, English lieutenant and author (b. 1910) 1980 – Paul Triquet, Canadian general, Victoria Cross recipient (b. 1910) 1981 – Thomas McElwee, Irish republican, PIRA volunteer and Hunger Striker (b. 1957) 1982 – Eric Brandon, English racing driver and businessman (b. 1920) 1984 – Richard Deacon, American actor (b. 1921) 1984 – Ellen Raskin, American author and illustrator (b. 1928) 1985 – Louise Brooks, American actress (b. 1906) 1987 – Danilo Blanuša, Croatian mathematician and physicist (b. 1903) 1988 – Félix Leclerc, Canadian singer-songwriter and guitarist (b. 1914) 1988 – Alan Napier, English actor (b. 1903) 1991 – James Irwin, American colonel, pilot, and astronaut (b. 1930) 1992 – Abu al-Qasim al-Khoei, Iranian religious leader and scholar (b. 1899) 1996 – Nevill Francis Mott, English physicist and academic, Nobel Prize laureate (b. 1905) 1996 – Jüri Randviir, Estonian chess player and journalist (b. 1927) 1998 – Mahmoud Saremi, Iranian journalist (b. 1968) 2003 – Dirk Hoogendam, Dutch-German SS officer (b. 1922) 2003 – Falaba Issa Traoré, Malian director and playwright (b. 1930) 2004 – Leon Golub, American painter and academic (b. 1922) 2004 – Fay Wray, Canadian-American actress (b. 1907) 2005 – Barbara Bel Geddes, American actress (b. 1922) 2005 – Ahmed Deedat, South African missionary and author (b. 1918) 2005 – John H. Johnson, American publisher, founded the Johnson Publishing Company (b. 1918) 2005 – Gene Mauch, American baseball player and manager (b. 1925) 2005 – Dean Rockwell, American commander, wrestler, and coach (b. 1912) 2005 – Monica Sjöö, Swedish-English painter (b. 1938) 2007 – Ma Lik, Chinese journalist and politician (b. 1952) 2007 – Melville Shavelson, American director, producer, and screenwriter (b. 1917) 2008 – Orville Moody, American golfer (b. 1933) 2009 – Daniel Jarque, Spanish footballer (b. 1983) 2010 – Patricia Neal, American actress (b. 1926) 2012 – Fay Ajzenberg-Selove, German-American physicist and academic (b. 1926) 2012 – Ruth Etchells, English poet and academic (b. 1931) 2012 – Surya Lesmana, Indonesian footballer and manager (b. 1944) 2012 – Kurt Maetzig, German director and screenwriter (b. 1911) 2013 – Karen Black, American actress (b. 1939) 2013 – Johannes Bluyssen, Dutch bishop (b. 1926) 2013 – Fernando Castro Pacheco, Mexican painter, engraver, and illustrator (b. 1918) 2013 – Igor Kurnosov, Russian chess player (b. 1985) 2013 – Regina Resnik, American soprano and actress (b. 1922) 2014 – Menahem Golan, Israeli director and producer (b. 1929) 2014 – Charles Keating, English-American actor (b. 1941) 2014 – Leonardo Legaspi, Filipino archbishop (b. 1935) 2014 – Peter Sculthorpe, Australian composer and conductor (b. 1929) 2014 – Red Wilson, American football and baseball player (b. 1929) 2015 – Sean Price, American rapper (b. 1972) 2015 – Gus Mortson, Canadian ice hockey player and coach (b. 1925) 2017 – Glen Campbell, American singer-songwriter, guitarist, and actor (b. 1936) 2018 – Nicholas Bett, Kenyan track and field athlete (b. 1990) 2020 – Gabriel Ochoa Uribe, Colombian football player and manager (b. 1929) 2020 – Alfredo Lim, former Philippine senator and Mayor of Manila (b. 1929) 2021 – Bill Davis, Canadian politician, 18th premier of Ontario (b. 1929) 2022 – Olivia Newton-John, English-Australian singer-songwriter and actress (b. 1948) 2023 – Rodriguez, American singer and songwriter (b. 1942) Holidays and observances Ceasefire Day (end of Iran–Iraq War) (Iraqi Kurdistan) Christian Feast Day: Altmann of Passau Cyriacus Dominic de Guzmán, founder of the Dominican Order. Four Crowned Martyrs Largus Mary MacKillop Saint Smaragdus (and companions) Severus of Vienne August 8 (Eastern Orthodox liturgics) Father's Day or Bā bā Day (爸爸節), Bā Bā is Mandarin for "father" and "8-8", or August 8. (Mongolia, Taiwan) Happiness Happens Day International Cat Day Namesday of the Queen (Sweden) Nane Nane Day (Tanzania) Signal Troops Day (Ukraine) References External links Days of the year August
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https://en.wikipedia.org/wiki/April%2016
April 16
Events Pre-1600 1457 BC – Battle of Megido - the first battle to have been recorded in what is accepted as relatively reliable detail. 69 – Defeated by Vitellius' troops at Bedriacum, Otho commits suicide. 73 – Masada, a Jewish fortress, falls to the Romans after several months of siege, ending the First Jewish–Roman War. 1346 – Stefan Dušan, "the Mighty", is crowned Emperor of the Serbs at Skopje, his empire occupying much of the Balkans. 1520 – The Revolt of the Comuneros begins in Spain against the rule of Charles V. 1582 – Spanish conquistador Hernando de Lerma founds the settlement of Salta, Argentina. 1601–1900 1746 – The Battle of Culloden is fought between the French-supported Jacobites and the British Hanoverian forces commanded by William Augustus, Duke of Cumberland, in Scotland. After the battle many highland traditions were banned and the Highlands of Scotland were cleared of inhabitants. 1780 – Franz Friedrich Wilhelm von Fürstenberg founds the University of Münster. 1799 – French Revolutionary Wars: The Battle of Mount Tabor: Napoleon drives Ottoman Turks across the River Jordan near Acre. 1818 – The United States Senate ratifies the Rush–Bagot Treaty, limiting naval armaments on the Great Lakes and Lake Champlain. 1838 – The French Army captures Veracruz in the Pastry War. 1847 – Shooting of a Māori by an English sailor results in the opening of the Wanganui Campaign of the New Zealand Wars. 1853 – The Great Indian Peninsula Railway opens the first passenger rail in India, from Bori Bunder to Thane. 1858 – The Wernerian Natural History Society, a former Scottish learned society, is dissolved. 1862 – American Civil War: Battle at Lee's Mills in Virginia. 1862 – American Civil War: The District of Columbia Compensated Emancipation Act, a bill ending slavery in the District of Columbia, becomes law. 1863 – American Civil War: During the Vicksburg Campaign, gunboats commanded by acting Rear Admiral David Dixon Porter run downriver past Confederate artillery batteries at Vicksburg. 1878 – The Senate of the Grand Duchy of Finland issued a declaration establishing a city of Kotka on the southern part islands from the old Kymi parish. 1881 – In Dodge City, Kansas, Bat Masterson fights his last gun battle. 1901–present 1908 – Natural Bridges National Monument is established in Utah. 1910 – The oldest existing indoor ice hockey arena still used for the sport in the 21st century, Boston Arena, opens for the first time. 1912 – Harriet Quimby becomes the first woman to fly an airplane across the English Channel. 1917 – Russian Revolution: Vladimir Lenin returns to Petrograd, Russia, from exile in Switzerland. 1919 – Mohandas Gandhi organizes a day of "prayer and fasting" in response to the killing of Indian protesters in the Jallianwala Bagh massacre by the British colonial troops three days earlier. 1919 – Polish–Lithuanian War: The Polish Army launches the Vilna offensive to capture Vilnius in modern Lithuania. 1922 – The Treaty of Rapallo, pursuant to which Germany and the Soviet Union re-establish diplomatic relations, is signed. 1925 – During the Communist St Nedelya Church assault in Sofia, Bulgaria, 150 are killed and 500 are wounded. 1941 – World War II: The Italian-German Tarigo convoy is attacked and destroyed by British ships. 1941 – World War II: The Nazi-affiliated Ustaše is put in charge of the Independent State of Croatia by the Axis powers after Operation 25 is effected. 1942 – King George VI awarded the George Cross to the people of Malta in appreciation of their heroism. 1943 – Albert Hofmann accidentally discovers the hallucinogenic effects of the research drug LSD. He intentionally takes the drug three days later on April 19. 1944 – World War II: Allied forces start bombing Belgrade, killing about 1,100 people. This bombing fell on the Orthodox Christian Easter. 1945 – World War II: The Red Army begins the final assault on German forces around Berlin, with nearly one million troops fighting in the Battle of the Seelow Heights. 1945 – The United States Army liberates Nazi Sonderlager (high security) prisoner-of-war camp Oflag IV-C (better known as Colditz). 1945 – More than 7,000 die when the German transport ship Goya is sunk by a Soviet submarine. 1947 – An explosion on board a freighter in port causes the city of Texas City, Texas, to catch fire, killing almost 600. 1947 – Bernard Baruch first applies the term "Cold War" to describe the relationship between the United States and the Soviet Union. 1948 – The Organization of European Economic Co-operation is formed. 1961 – In a nationally broadcast speech, Cuban leader Fidel Castro declares that he is a Marxist–Leninist and that Cuba is going to adopt Communism. 1963 – Dr. Martin Luther King Jr. pens his Letter from Birmingham Jail while incarcerated in Birmingham, Alabama for protesting against segregation. 1972 – Apollo program: The launch of Apollo 16 from Cape Canaveral, Florida. 2001 – India and Bangladesh begin a five-day border conflict, but are unable to resolve the disputes about their border. 2003 – The Treaty of Accession is signed in Athens admitting ten new member states to the European Union. 2007 – Virginia Tech shooting: Seung-Hui Cho guns down 32 people and injures 17 before committing suicide. 2008 – The U.S. Supreme Court rules in the Baze v. Rees decision that execution by lethal injection does not violate the Eighth Amendment ban against cruel and unusual punishment. 2012 – The trial for Anders Behring Breivik, the perpetrator of the 2011 Norway attacks, begins in Oslo, Norway. 2012 – The Pulitzer Prize winners were announced, it was the first time since 1977 that no book won the Fiction Prize. 2013 – A 7.8-magnitude earthquake strikes Sistan and Baluchestan Province, Iran, killing at least 35 people and injuring 117 others. 2013 – The 2013 Baga massacre is started when Boko Haram militants engage government soldiers in Baga. 2014 – The South Korean ferry MV Sewol capsizes and sinks near Jindo Island, killing 304 passengers and crew and leading to widespread criticism of the South Korean government, media, and shipping authorities. 2016 – Ecuador's worst earthquake in nearly 40 years kills 676 and injures 6,274. 2018 – The New York Times and the New Yorker win the Pulitzer Prize for Public Service for breaking news of the Harvey Weinstein sexual abuse scandal. Births Pre-1600 1488 – Jungjong of Joseon (d. 1544) 1495 – Petrus Apianus, German mathematician and astronomer (d. 1557) 1516 – Tabinshwehti, Burmese king (d. 1550) 1569 – John Davies, English poet and lawyer (d. 1626) 1601–1900 1635 – Frans van Mieris the Elder, Dutch painter (d. 1681) 1646 – Jules Hardouin-Mansart, French architect, designed the Château de Dampierre and Grand Trianon (probable; d. 1708) 1660 – Hans Sloane, Irish-English physician and academic (d. 1753) 1661 – Charles Montagu, 1st Earl of Halifax, English poet and politician, First Lord of the Treasury (d. 1715) 1682 – John Hadley, English mathematician, invented the octant (d. 1744) 1697 – Johann Gottlieb Görner, German organist and composer (d. 1778) 1728 – Joseph Black, French-Scottish physician and chemist (d. 1799) 1730 – Henry Clinton, English general and politician (d. 1795) 1755 – Louise Élisabeth Vigée Le Brun, French painter (d. 1842) 1786 – John Franklin, English admiral and politician, fourth Lieutenant Governor of Van Diemen's Land (d. 1847) 1800 – George Bingham, 3rd Earl of Lucan, English field marshal and politician (d. 1888) 1808 – Caleb Blood Smith, American journalist, lawyer, and politician, sixth United States Secretary of the Interior (d. 1864) 1821 – Ford Madox Brown, French-English soldier and painter (d. 1893) 1823 – Gotthold Eisenstein, German mathematician and academic (d. 1852) 1826 – Sir James Corry, 1st Baronet, British politician (d. 1891) 1827 – Octave Crémazie, Canadian poet and bookseller (d. 1879) 1839 – Antonio Starabba, Marchese di Rudinì, Italian politician, 12th Prime Minister of Italy (d. 1908) 1834 – Charles Lennox Richardson, English merchant (d. 1862) 1844 – Anatole France, French journalist, novelist, and poet, Nobel Prize laureate (d. 1924) 1847 – Hans Auer, Swiss-Austrian architect, designed the Federal Palace of Switzerland (d. 1906) 1848 – Kandukuri Veeresalingam, Indian author and activist (d. 1919) 1851 – Ponnambalam Ramanathan, Sri Lankan lawyer and politician, third Solicitor General of Sri Lanka (d. 1930) 1864 – Rose Talbot Bullard, American medical doctor and professor (d. 1915) 1865 – Harry Chauvel, Australian general (d. 1945) 1866 – José de Diego, Puerto Rican journalist, lawyer, and politician (d. 1918) 1867 – Wilbur Wright, American inventor (d. 1912) 1871 – John Millington Synge, Irish author, poet, and playwright (d. 1909) 1874 – Jōtarō Watanabe, Japanese general (d. 1936) 1878 – R. E. Foster, English cricketer and footballer (d. 1914) 1882 – Seth Bingham, American organist and composer (d. 1972) 1884 – Ronald Barnes, 3rd Baron Gorell, English cricketer, journalist, and politician (d. 1963) 1885 – Leó Weiner, Hungarian composer and educator (d. 1960) 1886 – Michalis Dorizas, Greek-American football player and javelin thrower (d. 1957) 1886 – Ernst Thälmann, German politician (d. 1944) 1888 – Billy Minter, English footballer and manager (d. 1940) 1889 – Charlie Chaplin, English actor, director, producer, screenwriter, and composer (d. 1977) 1890 – Fred Root, English cricketer and umpire (d. 1954) 1890 – Gertrude Chandler Warner, American author and educator (d. 1979) 1891 – Dorothy P. Lathrop, American author and illustrator (d. 1980) 1892 – Dora Richter, German transgender woman and the first known person to undergo complete male-to-female gender-affirming surgery (d. unknown) 1892 – Howard Mumford Jones, American author, critic, and academic (d. 1980) 1893 – Germaine Guèvremont, Canadian journalist and author (d. 1968) 1893 – John Norton, American hurdler (d. 1979) 1895 – Ove Arup, English-Danish engineer and businessman, founded Arup (d. 1988) 1896 – Robert Henry Best, American journalist (d. 1952) 1896 – Árpád Weisz, Hungarian footballer (d. 1944) 1899 – Osman Achmatowicz, Polish chemist and academic (d. 1988) 1900 – Polly Adler, Russian-American madam and author (d. 1962) 1901–present 1903 – Paul Waner, American baseball player and manager (d. 1965) 1904 – Fifi D'Orsay, Canadian-American vaudevillian, actress, and singer (d. 1983) 1905 – Frits Philips, Dutch businessman (d. 2005) 1907 – Joseph-Armand Bombardier, Canadian inventor and businessman, founded Bombardier Inc. (d. 1964) 1907 – August Eigruber, Austrian-German politician (d. 1947) 1908 – Ellis Marsalis, Sr., American businessman and activist (d. 2004) 1908 – Ray Ventura, French jazz bandleader (d. 1979) 1910 – Berton Roueché, American journalist and author (d. 1994) 1911 – Guy Burgess, English-Russian spy (d. 1963) 1914 – John Hodiak, American actor (d. 1955) 1915 – Robert Speck, Canadian politician, first Mayor of Mississauga (d. 1972) 1916 – Behçet Necatigil, Turkish author, poet, and translator (d. 1979) 1917 – Victoria Eugenia Fernández de Córdoba, 18th Duchess of Medinaceli (d. 2013) 1917 – Barry Nelson, American actor (d. 2007) 1918 – Hsuan Hua, Chinese-American monk and author (d. 1995) 1918 – Juozas Kazickas, Lithuanian-American businessman and philanthropist (d. 2014) 1918 – Spike Milligan, Irish actor, comedian, and writer (d. 2002) 1919 – Merce Cunningham, American dancer and choreographer (d. 2009) 1919 – Nilla Pizzi, Italian singer (d. 2011) 1919 – Pedro Ramírez Vázquez, Mexican architect, designed the Tijuana Cultural Center and National Museum of Anthropology (d. 2013) 1919 – Thomas Willmore, English geometer and academic (d. 2005) 1920 – Ananda Dassanayake, Sri Lankan politician (d. 2012) 1920 – Prince George Valdemar of Denmark (d. 1986) 1921 – Arlin Adams, American lawyer and judge (d. 2015) 1921 – Wolfgang Leonhard, German historian and author (d. 2014) 1921 – Peter Ustinov, English actor, director, producer, and screenwriter (d. 2004) 1922 – Kingsley Amis, English novelist, poet, and critic (d. 1995) 1922 – Lawrence N. Guarino, American colonel (d. 2014) 1922 – Leo Tindemans, Belgian politician, 43rd Prime Minister of Belgium (d. 2014) 1923 – Warren Barker, American composer (d. 2006) 1923 – Arch A. Moore Jr., American sergeant, lawyer, and politician, 28th Governor of West Virginia (d. 2015) 1924 – John Harvey-Jones, English academic and businessman (d. 2008) 1924 – Henry Mancini, American composer and conductor (d. 1994) 1924 – Madanjeet Singh, Indian diplomat, author, and philanthropist (d. 2013) 1926 – Pierre Fabre, French pharmacist, founded Laboratoires Pierre Fabre (d. 2013) 1927 – Edie Adams, American actress and singer (d. 2008) 1927 – Pope Benedict XVI (d. 2022) 1927 – Rolf Schult, German actor (d. 2013) 1928 – Night Train Lane, American football player (d. 2002) 1929 – Roy Hamilton, American singer (d. 1969) 1929 – Ralph Slatyer, Australian biologist and ecologist (d. 2012) 1929 – Ed Townsend, American singer-songwriter and producer (d. 2003) 1930 – Doug Beasy, Australian footballer and educator (d. 2013) 1930 – Herbie Mann, American flute player and composer (d. 2003) 1932 – Maury Meyers, American lawyer and politician (d. 2014) 1933 – Marcos Alonso Imaz, Spanish footballer (d. 2012) 1933 – Joan Bakewell, English journalist and author 1933 – Perry Botkin Jr., American composer, arranger and musician (d. 2021) 1933 – Vera Krepkina, Russian long jumper (d. 2023) 1933 – Ike Pappas, American journalist and actor (d. 2008) 1934 – Vince Hill, English singer-songwriter (d. 2023) 1934 – Robert Stigwood, Australian producer and manager (d. 2016) 1934 – Barrie Unsworth, Australian politician, 36th Premier of New South Wales 1934 – Vicar, Chilean cartoonist (d. 2012) 1935 – Marcel Carrière, Canadian director and screenwriter 1935 – Sarah Kirsch, German poet and author (d. 2013) 1935 – Lennart Risberg, Swedish boxer (d. 2013) 1935 – Dominique Venner, French journalist and historian (d. 2013) 1935 – Bobby Vinton, American singer 1936 – Vadim Kuzmin, Russian physicist and academic (d. 2015) 1937 – Gert Potgieter, South African hurdler and coach 1937 – George Steele, American wrestler and actor (d. 2017) 1938 – Rich Rollins, American baseball player 1938 – Gordon Wilson, Scottish lawyer and politician (d. 2017) 1939 – John Amabile, American football player and coach (d. 2012) 1939 – Dusty Springfield, English singer and record producer (d. 1999) 1940 – Benoît Bouchard, Canadian academic and politician, 18th Canadian Minister of Transport 1940 – David Holford, Barbadian cricketer 1940 – Queen Margrethe II of Denmark 1940 – Joan Snyder, American painter 1940 – Thomas Stonor, 7th Baron Camoys, English banker and politician, Lord Chamberlain of the United Kingdom 1941 – Allan Segal, American director and producer (d. 2012) 1942 – Jim Lonborg, American baseball pitcher 1942 – Sir Frank Williams, English businessman, founded the Williams F1 Racing Team (d. 2021) 1943 – Petro Tyschtschenko, Austrian-German businessman 1943 – John Watkins, Australian cricketer 1945 – Tom Allen, American lawyer and politician 1946 – Margot Adler, American journalist and author (d. 2014) 1946 – Ernst Bakker, Dutch politician (d. 2014) 1946 – Johnnie Lewis, Liberian lawyer and politician, 18th Chief Justice of Liberia (d. 2015) 1946 – R. Carlos Nakai, American flute player 1947 – Kareem Abdul-Jabbar, American basketball player and coach 1947 – Gerry Rafferty, Scottish singer-songwriter (d. 2011) 1948 – Reg Alcock, Canadian businessman and politician, 17th Canadian President of the Treasury Board (d. 2011) 1950 – David Graf, American actor (d. 2001) 1950 – Colleen Hewett, Australian singer and actress 1951 – Ioan Mihai Cochinescu, Romanian author and photographer 1952 – Bill Belichick, American football player and coach 1952 – Michel Blanc, French actor and director 1952 – Esther Roth-Shahamorov, Israeli sprinter and hurdler 1952 – Billy West, American voice actor, singer-songwriter, and comedian 1953 – Peter Garrett, Australian singer-songwriter and politician 1953 – Jay O. Sanders, American actor 1954 – Ellen Barkin, American actress 1954 – John Bowe, Australian racing driver 1954 – Mike Zuke, Canadian ice hockey player 1955 – Bruce Bochy, American baseball player and manager 1955 – Henri, Grand Duke of Luxembourg 1956 – David M. Brown, American captain, pilot, and astronaut (d. 2003) 1956 – T Lavitz, American keyboard player, composer, and producer (d. 2010) 1956 – Lise-Marie Morerod, Swiss skier 1957 – Patricia De Martelaere, Belgian philosopher, author, and academic (d. 2009) 1958 – Tim Flach, English photographer and director 1958 – Ulf Wakenius, Swedish guitarist 1959 – Alison Ramsay, English-Scottish field hockey player and lawyer 1960 – Wahab Akbar, Filipino politician (d. 2007) 1960 – Rafael Benítez, Spanish footballer and manager 1960 – Pierre Littbarski, German footballer and manager 1961 – Jarbom Gamlin, Indian lawyer and politician, seventh Chief Minister of Arunachal Pradesh (d. 2014) 1962 – Anna Dello Russo, Italian journalist 1963 – Saleem Malik, Pakistani cricketer 1963 – Jimmy Osmond, American singer 1964 – David Kohan, American screenwriter and producer 1964 – Dave Pirner, American singer, songwriter and producer 1964 – Esbjörn Svensson, Swedish pianist (d. 2008) 1965 – Yves-François Blanchet, Canadian politician 1965 – Jon Cryer, American actor, director, producer, and screenwriter 1965 – Martin Lawrence, American actor, director, producer, and screenwriter 1966 – Jarle Vespestad, Norwegian drummer 1968 – Vickie Guerrero, American wrestler and manager 1968 – Rüdiger Stenzel, German runner 1969 – Patrik Järbyn, Swedish skier 1969 – Fernando Viña, American baseball player and sportscaster 1970 – Dero Goi, German singer-songwriter and drummer 1970 – Walt Williams, American basketball player 1971 – Cameron Blades, Australian rugby player 1971 – Selena, American singer-songwriter, actress, and fashion designer (d. 1995) 1971 – Seigo Yamamoto, Japanese racing driver 1971 – Natasha Zvereva, Belarusian tennis player 1972 – Conchita Martínez, Spanish-American tennis player 1972 – Tracy K. Smith, American poet and educator 1973 – Akon, Senegalese-American singer, rapper and songwriter 1973 – Charlotta Sörenstam, Swedish golfer 1973 – Teddy Cobeña, Spanish-Ecuadorian expressionist and representational sculptor 1976 – Lukas Haas, American actor and musician 1976 – Kelli O'Hara, American actress and singer 1977 – Freddie Ljungberg, Swedish footballer 1979 – Christijan Albers, Dutch racing driver 1979 – Lars Börgeling, German pole vaulter 1979 – Daniel Browne, New Zealand rugby player 1981 – Anestis Agritis, Greek footballer 1981 – Maya Dunietz, Israeli singer-songwriter and pianist 1981 – Matthieu Proulx, Canadian football player 1982 – Gina Carano, American mixed martial artist and actress 1982 – Boris Diaw, French basketball player 1982 – Jonathan Vilma, American football player 1983 – Marié Digby, American singer-songwriter, guitarist, and actress 1983 – Cat Osterman, American softball player 1984 – Teddy Blass, American composer and producer 1984 – Claire Foy, English actress 1984 – Tucker Fredricks, American speed skater 1984 – Paweł Kieszek, Polish footballer 1984 – Kerron Stewart, Jamaican sprinter 1985 – Luol Deng, Sudanese-English basketball player 1985 – Nate Diaz, American mixed martial artist 1985 – Brendon Leonard, New Zealand rugby player 1985 – Taye Taiwo, Nigerian footballer 1986 – Shinji Okazaki, Japanese footballer 1986 – Peter Regin, Danish ice hockey player 1986 – Epke Zonderland, Dutch gymnast 1987 – Cenk Akyol, Turkish basketball player 1987 – Aaron Lennon, English international footballer 1988 – Kyle Okposo, American ice hockey player 1990 – Reggie Jackson, American basketball player 1990 – Vangelis Mantzaris, Greek basketball player 1990 – Tony McQuay, American sprinter 1991 – Nolan Arenado, American baseball player 1991 – Kim Kyung-jung, South Korean footballer 1993 – Chance the Rapper, American rapper 1993 – Mirai Nagasu, Japanese-American figure skater 1996 – Anya Taylor-Joy, Argentine-British actress 1996 – Taylor Townsend, American tennis player 2002 – Sadie Sink, American actress Deaths Pre-1600 AD 69 – Otho, Roman emperor (b. AD 32) 665 – Fructuosus of Braga, French archbishop and saint 1090 – Sikelgaita, duchess of Apulia (b. c. 1040) 1113 – Sviatopolk II of Kiev (b. 1050) 1118 – Adelaide del Vasto, regent of Sicily, mother of Roger II of Sicily, queen of Baldwin I of Jerusalem 1198 – Frederick I, Duke of Austria (b. 1175) 1234 – Richard Marshal, 3rd Earl of Pembroke (b. 1191) 1375 – John Hastings, 2nd Earl of Pembroke, English nobleman and soldier (b. 1347) 1496 – Charles II, Duke of Savoy (b. 1489) 1587 – Anne Seymour, Duchess of Somerset (b. 1497) 1601–1900 1640 – Countess Charlotte Flandrina of Nassau (b. 1579) 1645 – Tobias Hume, Scottish soldier, viol player, and composer (b. 1569) 1687 – George Villiers, 2nd Duke of Buckingham, English poet and politician, Lord Lieutenant of the West Riding of Yorkshire (b. 1628) 1689 – Aphra Behn, English author and playwright (b. 1640) 1742 – Stefano Benedetto Pallavicino, Italian poet and translator (b. 1672) 1756 – Jacques Cassini, French astronomer (b. 1677) 1783 – Christian Mayer, Czech astronomer and educator (b. 1719) 1788 – Georges-Louis Leclerc, Comte de Buffon, French mathematician, cosmologist, and author (b. 1707) 1828 – Francisco Goya, Spanish-French painter and illustrator (b. 1746) 1846 – Domenico Dragonetti, Italian bassist and composer (b. 1763) 1850 – Marie Tussaud, French-English sculptor, founded the Madame Tussauds Wax Museum (b. 1761) 1859 – Alexis de Tocqueville, French historian and philosopher, French Minister of Foreign Affairs (b. 1805) 1879 – Bernadette Soubirous, French nun and saint (b. 1844) 1888 – Zygmunt Florenty Wróblewski, Polish physicist and chemist (b. 1845) 1899 – Emilio Jacinto, Filipino journalist and activist (b. 1875) 1901–present 1904 – Maximilian Kronberger, German poet and author (b. 1888) 1904 – Samuel Smiles, Scottish-English author (b. 1812) 1914 – George William Hill, American astronomer and mathematician (b. 1838) 1915 – Nelson W. Aldrich, American businessman and politician (b. 1841) 1925 – Stefan Nerezov, Bulgarian general (b. 1867) 1928 – Henry Birks, Canadian businessman, founded Henry Birks and Sons (b. 1840) 1928 – Roman Steinberg, Estonian wrestler (b. 1900) 1930 – José Carlos Mariátegui, Peruvian journalist, philosopher, and activist (b. 1894) 1935 – Panait Istrati, Romanian journalist and author (b. 1884) 1937 – Jay Johnson Morrow, American military engineer and politician, third Governor of the Panama Canal Zone (b. 1870) 1938 – Steve Bloomer, English footballer and manager (b. 1874) 1940 – Tony D'Arcy, Irish Republican died while on hunger strike (b. 1908) 1941 – Josiah Stamp, 1st Baron Stamp, English economist and civil servant (b. 1880) 1942 – Princess Alexandra of Saxe-Coburg and Gotha (b. 1878) 1942 – Denis St. George Daly, Irish polo player (b. 1862) 1946 – Arthur Chevrolet, Swiss-American race car driver and engineer (b. 1884) 1947 – Rudolf Höss, German SS officer (b. 1900) 1950 – Eduard Oja, Estonian composer, conductor, and critic (b. 1905) 1950 – Anders Peter Nielsen, Danish target shooter (b. 1867) 1955 – David Kirkwood, Scottish engineer and politician (b. 1872) 1958 – Rosalind Franklin, English biophysicist and academic (b. 1920) 1960 – Mihály Fekete, Hungarian actor, screenwriter and film director (b. 1884) 1961 – Carl Hovland, American psychologist and academic (b. 1912) 1965 – Francis Balfour, English soldier and colonial administrator (b. 1884) 1965 – Sydney Chaplin, English actor, comedian, brother of Charlie Chaplin (b. 1885) 1966 – Eric Lambert, Australian author (b. 1918) 1968 – Fay Bainter, American actress (b. 1893) 1968 – Edna Ferber, American novelist, short story writer, and playwright (b. 1885) 1969 – Hem Vejakorn, Thai illustrator and painter (b. 1904) 1970 – Richard Neutra, Austrian-American architect, designed the Los Angeles County Hall of Records (b. 1892) 1970 – Péter Veres, Hungarian politician, Hungarian Minister of Defence (b. 1897) 1972 – Yasunari Kawabata, Japanese novelist and short story writer, Nobel Prize laureate (b. 1899) 1972 – Frank O'Connor, Australian public servant (b. 1894) 1973 – István Kertész, Hungarian conductor and educator (b. 1929) 1978 – Lucius D. Clay, American officer and military governor in occupied Germany (b. 1898) 1980 – Morris Stoloff, American composer (b. 1898) 1985 – Scott Brady, American actor (b. 1924) 1988 – Khalil al-Wazir, Palestinian commander, founded Fatah (b. 1935) 1988 – Youri Egorov, Russian pianist (b. 1954) 1989 – Jocko Conlan, American baseball player and umpire (b. 1899) 1989 – Kaoru Ishikawa Japanese author and educator (b. 1915) 1989 – Miles Lawrence, English cricketer (b. 1940) 1989 – Hakkı Yeten, Turkish footballer, manager and president (b. 1910) 1991 – David Lean, English director, producer, and screenwriter (b. 1908) 1992 – Neville Brand, American actor (b. 1920) 1992 – Alexandru Nicolschi, Romanian spy and activist (b. 1915) 1992 – Andy Russell, American singer and actor (b. 1919) 1994 – Paul-Émilien Dalpé, Canadian labor unionist (b. 1919) 1994 – Ralph Ellison, American novelist and critic (b. 1913) 1996 – Lucille Bremer, American actress and dancer (b. 1917) 1997 – Esmeralda Arboleda Cadavid, Colombian politician (b. 1921) 1997 – Roland Topor, French actor, director, and painter (b. 1938) 1998 – Alberto Calderón, Argentinian-American mathematician and academic (b. 1920) 1998 – Fred Davis, English snooker player (b. 1913) 1998 – Marie-Louise Meilleur, Canadian super-centenarian (b. 1880) 1999 – Skip Spence, Canadian-American singer-songwriter and guitarist (b. 1946) 2001 – Robert Osterloh, American actor (b. 1918) 2001 – Michael Ritchie, American director, producer, and screenwriter (b. 1938) 2001 – Alec Stock, English footballer and manager (b. 1917) 2002 – Billy Ayre, English footballer and manager (b. 1952) 2002 – Ruth Fertel, American businesswoman, founded Ruth's Chris Steak House (b. 1927) 2002 – Robert Urich, American actor (b. 1946) 2003 – Graham Jarvis, Canadian actor (b. 1930) 2003 – Graham Stuart Thomas, English horticulturalist and author (b. 1909) 2005 – Kay Walsh, English actress, singer, and dancer (b. 1911) 2007 – Frank Bateson, New Zealand astronomer (b. 1909) 2007 – Gaétan Duchesne, Canadian ice hockey player (b. 1962) 2007 – Maria Lenk, Brazilian swimmer (b. 1915) 2007 – Chandrabose Suthaharan, Sri Lankan journalist 2008 – Edward Norton Lorenz, American mathematician and meteorologist (b. 1917) 2010 – Rasim Delić, Bosnian general and convicted war criminal (b. 1949) 2010 – Daryl Gates, American police officer, created the D.A.R.E. Program (b. 1926) 2011 – Gerry Alexander, Jamaican cricketer and veterinarian (b. 1928) 2011 – Allan Blakeney, Canadian scholar and politician, tenth Premier of Saskatchewan (b. 1925) 2011 – Sol Saks, American screenwriter and producer (b. 1910) 2012 – Sári Barabás, Hungarian soprano (b. 1914) 2012 – Marian Biskup, Polish author and academic (b. 1922) 2012 – Alan Hacker, English clarinet player and conductor (b. 1938) 2012 – George Kunda, Zambian lawyer and politician, 11th Vice-President of Zambia (b. 1956) 2012 – Mærsk Mc-Kinney Møller, Danish businessman (b. 1913) 2012 – Carlo Petrini, Italian footballer and coach (b. 1948) 2013 – Charles Bruzon, Gibraltarian politician (b. 1938) 2013 – Ali Kafi, Algerian politician (b. 1928) 2013 – Siegfried Ludwig, Austrian politician, 18th Governor of Lower Austria (b. 1926) 2013 – Pentti Lund, Finnish-Canadian ice hockey player (b. 1925) 2013 – George Beverly Shea, Canadian-American singer-songwriter (b. 1909) 2013 – Pat Summerall, American football player and sportscaster (b. 1930) 2013 – Pedro Ramírez Vázquez, Mexican architect, designed the Tijuana Cultural Center and National Museum of Anthropology (b. 1919) 2014 – Gyude Bryant, Liberian businessman and politician (b. 1949) 2014 – Aulis Rytkönen, Finnish footballer and manager (b. 1929) 2014 – Ernst Florian Winter, Austrian-American historian and political scientist (b. 1923) 2015 – Valery Belousov, Russian ice hockey player and coach (b. 1948) 2015 – Stanislav Gross, Czech lawyer and politician, fifth Prime Minister of the Czech Republic (b. 1969) 2018 – Harry Anderson, American actor and magician (b. 1952) 2021 – Andrew Peacock, Australian politician (b. 1939) 2021 – Helen McCrory, British actress (b. 1968) 2021 – Liam Scarlett, British choreographer (b. 1986) 2021 – John Dawes, Welsh rugby union player (b. 1940) Holidays and observances Christian feast day: Benedict Joseph Labre Bernadette Soubirous Drogo Engratia Fructuosus of Braga Isabella Gilmore (Church of England) Martyrs of Zaragoza Molly Brant (Konwatsijayenni) (Anglican Church of Canada, Episcopal Church) Turibius of Astorga April 16 (Eastern Orthodox liturgics) Birthday of José de Diego (Puerto Rico, United States) Birthday of Queen Margrethe II (Denmark) Emancipation Day (Washington, D.C., United States) Memorial Day for the Victims of the Holocaust (Hungary) National Healthcare Decisions Day (United States) Remembrance of Chemical Attack on Balisan and Sheikh Wasan (Iraqi Kurdistan) World Voice Day References External links BBC: On This Day Historical Events on April 16 Days of the year April
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https://en.wikipedia.org/wiki/Americans%20with%20Disabilities%20Act%20of%201990
Americans with Disabilities Act of 1990
The Americans with Disabilities Act of 1990 or ADA () is a civil rights law that prohibits discrimination based on disability. It affords similar protections against discrimination to Americans with disabilities as the Civil Rights Act of 1964, which made discrimination based on race, religion, sex, national origin, and other characteristics illegal, and later sexual orientation and gender identity. In addition, unlike the Civil Rights Act, the ADA also requires covered employers to provide reasonable accommodations to employees with disabilities, and imposes accessibility requirements on public accommodations. In 1986, the National Council on Disability had recommended the enactment of an Americans with Disabilities Act and drafted the first version of the bill which was introduced in the House and Senate in 1988. A broad bipartisan coalition of legislators supported the ADA, while the bill was opposed by business interests (who argued the bill imposed costs on business) and conservative evangelicals (who opposed protection for individuals with HIV). The final version of the bill was signed into law on July 26, 1990, by President George H. W. Bush. It was later amended in 2008 and signed by President George W. Bush with changes effective as of January 1, 2009. Disabilities included ADA disabilities include both mental and physical medical conditions. A condition does not need to be severe or permanent to be a disability. Equal Employment Opportunity Commission regulations provide a list of conditions that should easily be concluded to be disabilities: amputation, attention deficit hyperactivity disorder (ADHD), autism, bipolar disorder, blindness, cancer, cerebral palsy, deafness, diabetes, epilepsy, human immunodeficiency virus (HIV), intellectual disability (formerly termed mental retardation), major depressive disorder, mobility impairments (often requiring a wheelchair), multiple sclerosis, muscular dystrophy, obsessive–compulsive disorder (OCD), post-traumatic stress disorder (PTSD), and schizophrenia. Other mental or physical health conditions also may be disabilities, depending on what the individual's symptoms would be in the absence of "mitigating measures" (medication, therapy, assistive devices, or other means of restoring function), during an "active episode" of the condition (if the condition is episodic). Certain specific conditions that are widely considered anti-social, or tend to result in illegal activity, such as kleptomania, pedophilia, exhibitionism, voyeurism, etc. are excluded under the definition of "disability" in order to prevent abuse of the statute's purpose. Additionally, sexual orientation is no longer considered a disorder and is also excluded under the definition of "disability". However, in 2022, the United States Court of Appeals for the Fourth Circuit stated that the ADA covers individuals with gender dysphoria, which may aid transgender people in accessing legal protections they otherwise may be unable to. Titles Title I—employment See also US labor law and . The ADA states that a "covered entity" shall not discriminate against "a qualified individual with a disability". This applies to job application procedures, hiring, advancement and discharge of employees, job training, and other terms, conditions, and privileges of employment. "Covered entities" include employers with 15 or more employees, as well as employment agencies, labor organizations, and joint labor-management committees. There are strict limitations on when a covered entity can ask job applicants or employees disability-related questions or require them to undergo medical examination, and all medical information must be kept confidential. Prohibited discrimination may include, among other things, firing or refusing to hire someone based on a real or perceived disability, segregation, and harassment based on a disability. Covered entities are also required to provide reasonable accommodations to job applicants and employees with disabilities. A reasonable accommodation is a change in the way things are typically done that the person needs because of a disability, and can include, among other things, special equipment that allows the person to perform the job, scheduling changes, and changes to the way work assignments are chosen or communicated. An employer is not required to provide an accommodation that would involve undue hardship (excessive difficulty or expense), and the individual who receives the accommodation must still perform the essential functions of the job and meet the normal performance requirements. An employee or applicant who currently engages in the illegal use of drugs is not considered qualified when a covered entity takes adverse action based on such use. Part of Title I was found unconstitutional by the United States Supreme Court as it pertains to states in the case of Board of Trustees of the University of Alabama v. Garrett as violating the sovereign immunity rights of the several states as specified by the Eleventh Amendment to the United States Constitution. The Court determined that state employees cannot sue their employer for violating ADA rules. State employees can, however, file complaints at the Department of Justice or the Equal Employment Opportunity Commission, who can sue on their behalf. Title II—public entities (and public transportation) Title II prohibits disability discrimination by all public entities at the local level, e.g., school district, municipal, city, or county, and at state level. Public entities must comply with Title II regulations by the U.S. Department of Justice. These regulations cover access to all programs and services offered by the entity. Access includes physical access described in the ADA Standards for Accessible Design and programmatic access that might be obstructed by discriminatory policies or procedures of the entity. Title II applies to public transportation provided by public entities through regulations by the U.S. Department of Transportation. It includes the National Railroad Passenger Corporation (Amtrak), along with all other commuter authorities. This section requires the provision of paratransit services by public entities that provide fixed-route services. ADA also sets minimum requirements for space layout in order to facilitate wheelchair securement on public transport. Title II also applies to all state and local public housing, housing assistance, and housing referrals. The Office of Fair Housing and Equal Opportunity is charged with enforcing this provision. Title III—public accommodations (and commercial facilities) Under Title III, no individual may be discriminated against on the basis of disability with regards to the full and equal enjoyment of the goods, services, facilities, or accommodations of any place of public accommodation by any person who owns, leases, or operates a place of public accommodation. Public accommodations include most places of lodging (such as inns and hotels), recreation, transportation, education, and dining, along with stores, care providers, and places of public displays. Under Title III of the ADA, all new construction (construction, modification or alterations) after the effective date of the ADA (approximately July 1992) must be fully compliant with the Americans With Disabilities Act Accessibility Guidelines (ADAAG) found in the Code of Federal Regulations at 28 C.F.R., Part 36, Appendix A. Title III also has applications to existing facilities. One of the definitions of "discrimination" under Title III of the ADA is a "failure to remove" architectural barriers in existing facilities. See . This means that even facilities that have not been modified or altered in any way after the ADA was passed still have obligations. The standard is whether "removing barriers" (typically defined as bringing a condition into compliance with the ADAAG) is "readily achievable", defined as "...easily accomplished without much difficulty or expense". The statutory definition of "readily achievable" calls for a balancing test between the cost of the proposed "fix" and the wherewithal of the business and/or owners of the business. Thus, what might be "readily achievable" for a sophisticated and financially capable corporation might not be readily achievable for a small or local business. There are exceptions to this title; many private clubs and religious organizations may not be bound by Title III. With regard to historic properties (those properties that are listed or that are eligible for listing in the National Register of Historic Places, or properties designated as historic under state or local law), those facilities must still comply with the provisions of Title III of the ADA to the "maximum extent feasible" but if following the usual standards would "threaten to destroy the historic significance of a feature of the building" then alternative standards may be used. Under 2010 revisions of Department of Justice regulations, newly constructed or altered swimming pools, wading pools, and spas must have an accessible means of entrance and exit to pools for disabled people. However, the requirement is conditioned on whether providing access through a fixed lift is "readily achievable". Other requirements exist, based on pool size, include providing a certain number of accessible means of entry and exit, which are outlined in Section 242 of the standards. However, businesses are free to consider the differences in the application of the rules depending on whether the pool is new or altered, or whether the swimming pool was in existence before the effective date of the new rule. Full compliance may not be required for existing facilities; Section 242 and 1009 of the 2010 Standards outline such exceptions. Service animals The ADA provides explicit coverage for service animals. Guidelines have been developed not only to protect persons with disabilities but also to indemnify businesses from damages related to granting access to service animals on their premises. Businesses are allowed to ask if the animal is a service animal and ask what tasks it is trained to perform, but they are not allowed to ask the service animal to perform the task nor ask for a special ID of the animal. They cannot ask what the person's disabilities are. A person with a disability cannot be removed from the premises unless either of two things happen: the animal is out of control and its owner cannot get it under control (e.g. a dog barking uncontrollably in a restaurant), or the animal is a direct threat to people's health and safety. Allergies and fear of animals would not be considered a threat to people's health and safety, so it would not be a valid reason to deny access to people with service animals. Businesses that prepare or serve food must allow service animals and their owners on the premises even if state or local health laws otherwise prohibit animals on the premises. In this case, businesses that prepare or serve food are not required to provide care or food for service animals, nor do they have to provide a designated area for the service animal to relieve itself. Lastly, people that require service dogs cannot be charged an extra fee for their service dog or be treated unfairly, for example, being isolated from people at a restaurant. People with disabilities cannot be treated as "less than" other customers. However, if a business normally charges for damages caused by the person to property, the customer with a disability will be charged for their service animal's damages to the property. Auxiliary aids The ADA provides explicit coverage for auxiliary aids. Auxiliary aids and services are items, equipment or services that assist in effective communication between a person who has a hearing, vision or speech disability and a person who does not. ADA says that a public accommodation shall take those steps that may be necessary to ensure that no individual with a disability is excluded, denied services, segregated or otherwise treated differently than other individuals because of the absence of auxiliary aids and services, unless the public accommodation can demonstrate that taking those steps would fundamentally alter the nature of the goods, services, facilities, privileges, advantages, or accommodations being offered or would result in an undue burden, i.e., significant difficulty or expense. The term "auxiliary aids and services" includes: Qualified interpreters on-site or through video remote interpreting (VRI) services; notetakers; real-time computer-aided transcription services; written materials; exchange of written notes; telephone handset amplifiers; assistive listening devices; assistive listening systems; telephones compatible with hearing aids; closed caption decoders; open and closed captioning, including real-time captioning; voice, text, and video-based telecommunications products and systems, including text telephones (TTYs), videophones, and captioned telephones, or equally effective telecommunications devices; videotext displays; accessible electronic and information technology; or other effective methods of making aurally delivered information available to individuals who are deaf or hard of hearing; Qualified readers; taped texts; audio recordings; Brailled materials and displays; screen reader software; magnification software; optical readers; secondary auditory programs (SAP); large print materials; accessible electronic and information technology; or other effective methods of making visually delivered materials available to individuals who are blind or have low vision; Acquisition or modification of equipment or devices; and Other similar services and actions. Captions are considered one type of auxiliary aid. Since the passage of the ADA, the use of captioning has expanded. Entertainment, educational, informational, and training materials are captioned for deaf and hard-of-hearing audiences at the time they are produced and distributed. The Television Decoder Circuitry Act of 1990 requires that all televisions larger than 13 inches sold in the United States after July 1993 have a special built-in decoder that enables viewers to watch closed-captioned programming. The Telecommunications Act of 1996 directs the Federal Communications Commission (FCC) to adopt rules requiring closed captioning of most television programming. The FCC's rules on closed captioning became effective January 1, 1998. Title IV—telecommunications Title IV of the ADA amended the landmark Communications Act of 1934 primarily by adding section . This section requires that all telecommunications companies in the U.S. take steps to ensure functionally equivalent services for consumers with disabilities, notably those who are deaf or hard of hearing and those with speech impairments. When Title IV took effect in the early 1990s, it led to the installation of public teletypewriter (TTY) machines and other TDD (telecommunications devices for the deaf). Title IV also led to the creation, in all 50 states and the District of Columbia, of what was then called dual-party relay services and now are known as Telecommunications Relay Services (TRS), such as STS relay. Today, many TRS-mediated calls are made over the Internet by consumers who use broadband connections. Some are Video Relay Service (VRS) calls, while others are text calls. In either variation, communication assistants translate between the signed or typed words of a consumer and the spoken words of others. In 2006, according to the Federal Communications Commission (FCC), VRS calls averaged two million minutes a month. Title V—miscellaneous provisions Title V includes technical provisions. It discusses, for example, the fact that nothing in the ADA amends, overrides or cancels anything in Section 504. Additionally, Title V includes an anti-retaliation or coercion provision. The Technical Assistance Manual for the ADA explains this provision: History The ADA has roots in Section 504 of the Rehabilitation Act of 1973. Drafting In 1986, the National Council on Disability (NCD), an independent federal agency, issued a report, Towards Independence, in which the Council examined incentives and disincentives in federal laws towards increasing the independence and full integration of people with disabilities into U.S. society. Among the disincentives to independence the Council identified was the existence of large remaining gaps in civil rights coverage for people with disabilities in the United States. A principal conclusion of the report was to recommend the adoption of comprehensive civil rights legislation, which became the ADA. The idea of federal legislation enhancing and extending civil rights legislation to millions of Americans with disabilities gained bipartisan support in late 1988 and early 1989. In early 1989 both Congress and the newly inaugurated Bush White House worked separately, then jointly, to write legislation capable of expanding civil rights without imposing undue harm or costs on those already in compliance with existing rules and laws. Lobbying Over the years, key activists and advocates played an important role in lobbying members of the U.S. Congress to develop and pass the ADA, including Justin Whitlock Dart Jr., Patrisha Wright and others. Ms. Wright is known as "the General" for her work in coordinating the campaign to enact the ADA. She is widely considered the main force behind the campaign lobbying for the ADA. Support and opposition Support Senator Bob Dole was a supporter and advocate for the bill. About the importance of making employment opportunities inclusive, Shirley Davis, director of global diversity and inclusion at the Society for Human Resource Management, said: "People with disabilities represent a critical talent pool that is underserved and underutilized". Opposition from religious groups Conservative evangelicals opposed the ADA because the legislation protected individuals with HIV, which they associated with homosexuality. The debate over the Americans with Disabilities Act led some religious groups to take opposite positions. The Association of Christian Schools International opposed the ADA in its original form, primarily because the ADA labeled religious institutions "public accommodations" and thus would have required churches to make costly structural changes to ensure access for all. The cost argument advanced by ACSI and others prevailed in keeping religious institutions from being labeled as "public accommodations". Church groups such as the National Association of Evangelicals testified against the ADA's Title I employment provisions on grounds of religious liberty. The NAE believed the regulation of the internal employment of churches was "... an improper intrusion [of] the federal government." Opposition from business interests Many companies and corporations, and business groups, opposed the Americans with Disabilities Act, arguing that the legislation would impose costs on businesses. Testifying before Congress, Greyhound Bus Lines stated that the act had the potential to "deprive millions of people of affordable intercity public transportation and thousands of rural communities of their only link to the outside world." The US Chamber of Commerce argued that the costs of the ADA would be "enormous" and have "a disastrous impact on many small businesses struggling to survive." The National Federation of Independent Businesses, an organization that lobbies for small businesses, called the ADA "a disaster for small business". Pro-business conservative commentators joined in opposition, writing that the Americans with Disabilities Act was "an expensive headache to millions" that would not necessarily improve the lives of people with disabilities. "Capitol Crawl" Shortly before the act was passed, disability rights activists with physical disabilities coalesced in front of the Capitol Building, shed their crutches, wheelchairs, powerchairs and other assistive devices, and immediately proceeded to crawl and pull their bodies up all 100 of the Capitol's front steps, without warning. As the activists did so, many of them chanted "ADA now", and "Vote, Now". Some activists who remained at the bottom of the steps held signs and yelled words of encouragement at the "Capitol Crawlers". Jennifer Keelan, a second grader with cerebral palsy, was videotaped as she pulled herself up the steps, using mostly her hands and arms, saying "I'll take all night if I have to." This direct action is reported to have "inconvenienced" several senators and to have pushed them to approve the act. While there are those who do not attribute much overall importance to this action, the "Capitol Crawl" of 1990 is seen by some present-day disability activists in the United States as a central act for encouraging the ADA into law. Final passage Senator Tom Harkin (D-IA) authored what became the final bill and was its chief sponsor in the Senate. Harkin delivered part of his introduction speech in sign language, saying it was so his deaf brother could understand. George H. W. Bush, on signing the measure on July 26, 1990, said: ADA Amendments Act, 2008 The ADA defines a covered disability as a physical or mental impairment that substantially limits one or more major life activities, a history of having such an impairment, or being regarded as having such an impairment. The Equal Employment Opportunity Commission (EEOC) was charged with interpreting the 1990 law with regard to discrimination in employment. The EEOC developed regulations limiting an individual's impairment to one that "severely or significantly restricts" a major life activity. The ADAAA directed the EEOC to amend its regulations and replace "severely or significantly" with "substantially limits", a more lenient standard. On September 25, 2008, President George W. Bush signed the ADA Amendments Act of 2008 (ADAAA) into law. The amendment broadened the definition of "disability", thereby extending the ADA's protections to a greater number of people. The ADAAA also added to the ADA examples of "major life activities" including, but not limited to, "caring for oneself, performing manual tasks, seeing, hearing, eating, sleeping, walking, standing, lifting, bending, speaking, breathing, learning, reading, concentrating, thinking, communicating, and working" as well as the operation of several specified major bodily functions. The act overturned a 1999 US Supreme Court case that held that an employee was not disabled if the impairment could be corrected by mitigating measures; it specifically provides that such impairment must be determined without considering such ameliorative measures. It also overturned the court restriction that an impairment that substantially limits one major life activity must also limit others to be considered a disability. In 2008, the United States House Committee on Education and Labor stated that the amendment "makes it absolutely clear that the ADA is intended to provide broad coverage to protect anyone who faces discrimination on the basis of disability." Thus the ADAAA led to broader coverage of impaired employees. Web Content Accessibility Guidelines, 2019 In October 2019, the Supreme Court declined to resolve a circuit split as to whether websites are covered by the ADA. The Court turned down an appeal from Domino's Pizza and let stand a U.S. 9th Circuit Court of Appeals ruling which held that the Americans With Disabilities Act protects access not just to brick-and-mortar public accommodations, but also to the websites and apps of those businesses. Impact The ADA led to significant improvements in terms of access to public services, accessibility in the built environment, and societal understanding of disability. Accessibility Employment Between 1991 (after the enactment of the ADA) and 1995, the employment rate of men with disabilities dropped by 7.8% regardless of age, educational level, or type of disability, with the most affected being young, less-educated and intellectually disabled men. While no causal link between the ADA and that trend has been definitively identified, some researchers have characterized the ADA as ineffectual and argued that it caused this decline by raising the cost of doing business for employers, who quietly avoid hiring people with disabilities for fear of lawsuit. To these employers, hiring people with disabilities became too expensive as they had to spend extra on assistive technology. In 2001, for men of all working ages and women under 40, Current Population Survey data showed a sharp drop in the employment of disabled workers, leading at least two economists to attribute the cause to the Act. By contrast, a study in 2003 found that while the Act may have led to short term reactions by employers, in the long term, there were either positive or neutral consequences for wages and employment. In 2005, the rate of employment among disabled people increased to 45% of the population of disabled people. Societal attitudes "Professional plaintiffs" Since enforcement of the act began in July 1992, it has quickly become a major component of employment law. The ADA allows private plaintiffs to receive only injunctive relief (a court order requiring the public accommodation to remedy violations of the accessibility regulations) and attorneys' fees, and does not provide monetary rewards to private plaintiffs who sue non-compliant businesses. Unless a state law, such as the California Unruh Civil Rights Act, provides for monetary damages to private plaintiffs, persons with disabilities do not obtain direct financial benefits from suing businesses that violate the ADA. The attorneys' fees provision of Title III does provide incentive for lawyers to specialize and engage in serial ADA litigation, but a disabled plaintiff does not obtain a financial reward from attorneys' fees unless they act as their own attorney, or as mentioned above, a disabled plaintiff resides in a state that provides for minimum compensation and court fees in lawsuits. Moreover, there may be a benefit to these private attorneys general who identify and compel the correction of illegal conditions: they may increase the number of public accommodations accessible to persons with disabilities. "Civil rights law depends heavily on private enforcement. Moreover, the inclusion of penalties and damages is the driving force that facilitates voluntary compliance with the ADA." Courts have noted: However, in states that have enacted laws that allow private individuals to win monetary awards from non-compliant businesses (as of 2008, these include California, Florida, Hawaii, and Illinois), "professional plaintiffs" are typically found. At least one of these plaintiffs in California has been barred by courts from filing lawsuits unless he receives prior court permission. Through the end of fiscal year 1998, 86% of the 106,988 ADA charges filed with and resolved by the Equal Employment Opportunity Commission, were either dropped or investigated and dismissed by EEOC but not without imposing opportunity costs and legal fees on employers. Case law There have been some notable cases regarding the ADA. For example, a major hotel room marketer (Hotels.com) with their business presence on the Internet was sued because their customers with disabilities could not reserve hotel rooms through their website without substantial extra efforts that persons without disabilities were not required to perform. Such lawsuits represent a major potential expansion of the ADA in that they (known as "bricks vs. clicks"), seek to expand the ADA's authority to cyberspace, where entities may not have actual physical facilities that are required to comply. Green v. State of California Green v. State of California, No. S137770 (Cal. August 23, 2007) was a case in which the majority of the Supreme Court in California was faced with deciding whether the employee suing the state is required to prove they are able to perform "essential" job duties, regardless of whether or not there was "reasonable accommodation", or if the employer must prove the person suing was unable to do so. The court ruled the burden was on the employee, not the employer, and reversed a disputed decision by the courts. Plaintiff attorney David Greenberg brought forth considerations of the concept that, even in the state of California, employers do not have to employ a worker who is unable to perform "essential job functions" with "reasonable accommodation". Forcing employers to do so "would defy logic and establish a poor public policy in employment matters." National Federation of the Blind v. Target Corporation National Federation of the Blind v. Target Corp. was a case where a major retailer, Target Corp., was sued because their web designers failed to design its website to enable persons with low or no vision to use it. Board of Trustees of the University of Alabama v. Garrett Board of Trustees of the University of Alabama v. Garrett was a United States Supreme Court case about Congress's enforcement powers under the Fourteenth Amendment to the Constitution. It decided that Title I of the Americans with Disabilities Act was unconstitutional insofar as it allowed private citizens to sue states for money damages. Barden v. The City of Sacramento Barden v. The City of Sacramento, filed in March 1999, claimed that the City of Sacramento failed to comply with the ADA when, while making public street improvements, it did not bring its sidewalks into compliance with the ADA. Certain issues were resolved in Federal Court. One issue, whether sidewalks were covered by the ADA, was appealed to the 9th Circuit Court of Appeals, which ruled that sidewalks were a "program" under ADA and must be made accessible to persons with disabilities. The ruling was later appealed to the U.S. Supreme Court, which refused to hear the case, letting stand the ruling of the 9th Circuit Court. Bates v. United Parcel Service, Inc Bates v. United Parcel Service, Inc (UPS; begun in 1999) was the first equal opportunity employment class action brought on behalf of Deaf and Hard of Hearing (d/Deaf/HoH) workers throughout the country concerning workplace discrimination. It established legal precedence for d/Deaf/HoH Employees and Customers to be fully covered under the ADA. Key findings included UPS failed to address communication barriers and to ensure equal conditions and opportunities for deaf employees; Deaf employees were routinely excluded from workplace information, denied opportunities for promotion, and exposed to unsafe conditions due to lack of accommodations by UPS; UPS also lacked a system to alert these employees as to emergencies, such as fires or chemical spills, to ensure that they would safely evacuate their facility; and UPS had no policy to ensure that deaf applicants and employees actually received effective communication in the workplace. The outcome was that UPS agreed to pay a $5.8 million award and agreed to a comprehensive accommodations program that was implemented in their facilities throughout the country. Spector v. Norwegian Cruise Line Ltd. Spector v. Norwegian Cruise Line Ltd. was a case that was decided by the United States Supreme Court in 2005. The defendant argued that as a vessel flying the flag of a foreign nation it was exempt from the requirements of the ADA. This argument was accepted by a federal court in Florida and, subsequently, the Fifth Circuit Court of Appeals. However, the U.S. Supreme Court reversed the ruling of the lower courts on the basis that Norwegian Cruise Lines was a business headquartered in the United States whose clients were predominantly Americans and, more importantly, operated out of port facilities throughout the United States. Olmstead v. L.C. Olmstead v. L.C. was a case before the United States Supreme Court in 1999. The two plaintiffs, Lois Curtis and E.W., were institutionalized in Georgia for diagnosed "mental retardation" and schizophrenia. Clinical assessments by the state determined that the plaintiffs could be appropriately treated in a community setting rather than the state institution. The plaintiffs sued the state of Georgia and the institution for being inappropriately treated and housed in the institutional setting rather than being treated in one of the state's community-based treatment facilities. The Supreme Court decided under Title II of the ADA that mental illness is a form of disability and therefore covered under the ADA, and that unjustified institutional isolation of a person with a disability is a form of discrimination because it "...perpetuates unwarranted assumptions that persons so isolated are incapable or unworthy of participating in community life." The court added, "Confinement in an institution severely diminishes the everyday life activities of individuals, including family relations, social contacts, work options, economic independence, educational advancement, and cultural enrichment." Therefore, under Title II no person with a disability can be unjustly excluded from participation in or be denied the benefits of services, programs or activities of any public entity. Michigan Paralyzed Veterans of America v. The University of Michigan Michigan Paralyzed Veterans of America v. The University of Michigan was a case filed before The United States District Court for the Eastern District of Michigan Southern Division. It was filed on behalf of the Michigan Paralyzed Veterans of America against University of Michigan – Michigan Stadium claiming that Michigan Stadium violated the Americans with Disabilities Act in its $226-million renovation by failing to add enough seats for disabled fans or accommodate the needs for disabled restrooms, concessions and parking. Additionally, the distribution of the accessible seating was at issue, with nearly all the seats being provided in the end-zone areas. The U.S. Department of Justice assisted in the suit filed by attorney Richard Bernstein of The Law Offices of Sam Bernstein in Farmington Hills, Michigan, which was settled in March 2008. The settlement required the stadium to add 329 wheelchair seats throughout the stadium by 2010, and an additional 135 accessible seats in clubhouses to go along with the existing 88 wheelchair seats. This case was significant because it set a precedent for the uniform distribution of accessible seating and gave the DOJ the opportunity to clarify previously unclear rules. The agreement now is a blueprint for all stadiums and other public facilities regarding accessibility. Paralyzed Veterans of America v. Ellerbe Becket Architects and Engineers One of the first major ADA lawsuits, Paralyzed Veterans of America v. Ellerbe Becket Architects and Engineers (PVA 1996) was focused on the wheelchair accessibility of a stadium project that was still in the design phase, MCI Center (now known as Capital One Arena) in Washington, D.C. Previous to this case, which was filed only five years after the ADA was passed, the DOJ was unable or unwilling to provide clarification on the distribution requirements for accessible wheelchair locations in large assembly spaces. While Section 4.33.3 of ADAAG makes reference to lines of sight, no specific reference is made to seeing over standing patrons. The MCI Center, designed by Ellerbe Becket Architects & Engineers, was designed with too few wheelchair and companion seats, and the ones that were included did not provide sight lines that would enable the wheelchair user to view the playing area while the spectators in front of them were standing. This case and another related case established precedent on seat distribution and sight lines issues for ADA enforcement that continues to present day. Toyota Motor Manufacturing, Kentucky, Inc. v. Williams Toyota Motor Manufacturing, Kentucky, Inc. v. Williams, was a case in which the Supreme Court interpreted the meaning of the phrase "substantially impairs" as used in the Americans with Disabilities Act. It reversed a Sixth Court of Appeals decision to grant a partial summary judgment in favor of the respondent, Ella Williams, that qualified her inability to perform manual job-related tasks as a disability. The Court held that the "major life activity" definition in evaluating the performance of manual tasks focuses the inquiry on whether Williams was unable to perform a range of tasks central to most people in carrying out the activities of daily living. The issue is not whether Williams was unable to perform her specific job tasks. Therefore, the determination of whether an impairment rises to the level of a disability is not limited to activities in the workplace solely, but rather to manual tasks in life in general. When the Supreme Court applied this standard, it found that the Court of Appeals had incorrectly determined the presence of a disability because it relied solely on her inability to perform specific manual work tasks, which was insufficient in proving the presence of a disability. The Court of Appeals should have taken into account the evidence presented that Williams retained the ability to do personal tasks and household chores, such activities being the nature of tasks most people do in their daily lives, and placed too much emphasis on her job disability. Since the evidence showed that Williams was performing normal daily tasks, it ruled that the Court of Appeals erred when it found that Williams was disabled. This ruling has since been invalidated by the ADAAA. In fact, Congress explicitly cited Toyota v. Williams in the text of the ADAAA itself as one of its driving influences for passing the ADAAA. US Airways, Inc. v. Barnett US Airways, Inc. v. Barnett was decided by the US Supreme Court in 2002. This case held that even requests for accommodation that might seem reasonable on their face, e.g., a transfer to a different position, can be rendered unreasonable because it would require a violation of the company's seniority system. While the court held that, in general, a violation of a seniority system renders an otherwise reasonable accommodation unreasonable, a plaintiff can present evidence that, despite the seniority system, the accommodation is reasonable in the specific case at hand, e.g., the plaintiff could offer evidence that the seniority system is so often disregarded that another exception would not make a difference. Importantly, the court held that the defendant need not provide proof that this particular application of the seniority system should prevail, and that, once the defendant showed that the accommodation violated the seniority system, it fell to Barnett to show it was nevertheless reasonable. In this case, Barnett was a US Airways employee who injured his back, rendering him physically unable to perform his cargo-handling job. Invoking seniority, he transferred to a less-demanding mailroom job, but this position later became open to seniority-based bidding and was bid on by more senior employees. Barnett requested the accommodation of being allowed to stay on in the less-demanding mailroom job. US Airways denied his request, and he lost his job. The Supreme Court decision invalidated both the approach of the district court, which found that the mere presence and importance of the seniority system was enough to warrant a summary judgment in favor of US Airways, as well as the circuit court's approach that interpreted 'reasonable accommodation' as 'effective accommodation.' Access Now v. Southwest Airlines Access Now, Inc. v. Southwest Airlines Co. was a 2002 case where the District Court decided that the website of Southwest Airlines was not in violation of the Americans with Disabilities Act, because the ADA is concerned with things with a physical existence and thus cannot be applied to cyberspace. Judge Patricia A. Seitz found that the "virtual ticket counter" of the website was a virtual construct, and hence not a "public place of accommodation". As such, "To expand the ADA to cover 'virtual' spaces would be to create new rights without well-defined standards." Ouellette v. Viacom International Inc. Ouellette v. Viacom International Inc. (2011) held that a mere online presence does not subject a website to the ADA guidelines. Thus Myspace and YouTube were not liable for a dyslexic man's inability to navigate the site regardless of how impressive the "online theater" is. Authors Guild v. HathiTrust Authors Guild v. HathiTrust was a case in which the District Court decided that the HathiTrust digital library was a transformative, fair use of copyrighted works, making a large number of written text available to those with print disability. Zamora-Quezada v. HealthTexas Medical Group Zamora-Quezada v. HealthTexas Medical Group (begun in 1998) was the first time this act was used against HMOs when a novel lawsuit was filed by Texas attorney Robert Provan against five HMOs for their practice of revoking the contracts of doctors treating disabled patients. In 1999, these HMOs sought to dismiss Provan's lawsuit, but a federal court ruled against them, and the case was settled out of court. Many decisions relating to Provan's unique lawsuit against these HMOs have been cited in other court cases since. Campbell v. General Dynamics Government Systems Corp. Campbell v. General Dynamics Government Systems Corp. (2005) concerned the enforceability of a mandatory arbitration agreement, contained in a dispute resolution policy linked to an e-mailed company-wide announcement, insofar as it applies to employment discrimination claims brought under the Americans with Disabilities Act. Tennessee v. Lane Tennessee v. Lane, 541 U.S. 509 (2004), was a case in the Supreme Court of the United States involving Congress's enforcement powers under section 5 of the Fourteenth Amendment. George Lane was unable to walk after a 1997 car accident in which he was accused of driving on the wrong side of the road. A woman was killed in the crash, and Lane faced misdemeanor charges of reckless driving. The suit was brought about because he was denied access to appear in criminal court because the courthouse had no elevator, even though the court was willing to carry him up the stairs and then willing to move the hearing to the first floor. He refused, citing he wanted to be treated as any other citizen, and was subsequently charged with failure to appear, after appearing at a previous hearing where he dragged himself up the stairs. The court ruled that Congress did have enough evidence that disabled people were being denied those fundamental rights that are protected by the Due Process clause of the Fourteenth Amendment and had the enforcement powers under section 5 of the Fourteenth Amendment. It further ruled that "reasonable accommodations" mandated by the ADA were not unduly burdensome and disproportionate to the harm. Gender dysphoria In 2022, the United States Court of Appeals for the Fourth Circuit stated that the ADA covers individuals with gender dysphoria, which may aid transgender people in accessing legal protections they otherwise may be unable to. See also References Further reading Bush, George H. W., Remarks of President George Bush at the Signing of the Americans with Disabilities Act. Available online at Equal Employment Opportunity Commission. Davis, Lennard J. Enabling Acts. The Hidden Story of How the Americans with Disabilities Act Gave the Largest US Minority Its Rights. Boston, MA: Beacon Press, 2015. Fielder, J. F. Mental Disabilities and the Americans with Disabilities Act. Westport, CT: Quorum Books, 2004. Hamilton Krieger, Linda, ed., Backlash Against the ADA: Reinterpreting Disability Rights Ann Arbor: University of Michigan Press, 2003. Johnson, Mary. (2000). Make Them Go Away: Clint Eastwood, Christopher Reeve & the Case Against Disability Rights. Louisville, KY: The Advocado Press. Mayer, Arlene. (1992). The History of the Americans with Disabilities Act: A Movement Perspective. Available online at the Disability Rights Education & Defense Fund website O'Brien, Ruth, ed. Voices from the Edge: Narratives about the Americans with Disabilities Act. New York: Oxford, 2004. Pletcher, David and Ashlee Russeau-Pletcher. History of the Civil Rights Movement for the Physically Disabled Schall, Carol M. (Jun 1998). The Americans with Disabilities Act—Are We Keeping Our Promise? An Analysis of the Effect of the ADA on the Employment of Persons with Disabilities. Journal of Vocational Rehabilitation, v10 n3 pp. 191–203. Schwochau, Susan & Blanck, Peter David. The Economics of the Americans with Disabilities Act, Part III: Does the ADA Disable the Disabled? Berkeley Journal of Employment & Labor Law [Vol. 21:271] Switzer, Jacqueline Vaughn. Disabled Rights: American Disability Policy and the Fight for Equality. Washington, D.C.: Georgetown University Press, 2003. Weber, Mark C. Disability Harassment. New York: NYU Press, 2007. External links Department of Labor ADA page Equal Employment Opportunity Commission ADA page As codified in 42 U.S.C. chapter 126 of the United States Code from the US House of Representatives As codified in 42 U.S.C. chapter 126 of the United States Code from the LII Americans with Disabilities Act of 1990 (PDF/details) as amended in the GPO Statute Compilations collection Family Network on Disabilities FNDUSA.ORG—Florida Parent Training and Information Center funded by DOED Offices of Special Education Programs (OSEP) Lainey Feingold's Global Law and Policy: United States – federal (national) 101st United States Congress 1990 in American law Anti-discrimination law in the United States Civil rights in the United States Disability in law United States federal civil rights legislation United States federal disability legislation
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https://en.wikipedia.org/wiki/Apatosaurus
Apatosaurus
Apatosaurus (; meaning "deceptive lizard") is a genus of herbivorous sauropod dinosaur that lived in North America during the Late Jurassic period. Othniel Charles Marsh described and named the first-known species, A. ajax, in 1877, and a second species, A. louisae, was discovered and named by William H. Holland in 1916. Apatosaurus lived about 152 to 151 million years ago (mya), during the late Kimmeridgian to early Tithonian age, and are now known from fossils in the Morrison Formation of modern-day Colorado, Oklahoma, New Mexico, Wyoming, and Utah in the United States. Apatosaurus had an average length of , and an average mass of . A few specimens indicate a maximum length of 11–30% greater than average and a mass of approximately . The cervical vertebrae of Apatosaurus are less elongated and more heavily constructed than those of Diplodocus, a diplodocid like Apatosaurus, and the bones of the leg are much stockier despite being longer, implying that Apatosaurus was a more robust animal. The tail was held above the ground during normal locomotion. Apatosaurus had a single claw on each forelimb and three on each hindlimb. The Apatosaurus skull, long thought to be similar to Camarasaurus, is much more similar to that of Diplodocus. Apatosaurus was a generalized browser that likely held its head elevated. To lighten its vertebrae, Apatosaurus had air sacs that made the bones internally full of holes. Like that of other diplodocids, its tail may have been used as a whip to create loud noises, or, as more recently suggested, as a sensory organ. The skull of Apatosaurus was confused with that of Camarasaurus and Brachiosaurus until 1909, when the holotype of A. louisae was found, and a complete skull just a few meters away from the front of the neck. Henry Fairfield Osborn disagreed with this association, and went on to mount a skeleton of Apatosaurus with a Camarasaurus skull cast. Apatosaurus skeletons were mounted with speculative skull casts until 1970, when McIntosh showed that more robust skulls assigned to Diplodocus were more likely from Apatosaurus. Apatosaurus is a genus in the family Diplodocidae. It is one of the more basal genera, with only Amphicoelias and possibly a new, unnamed genus more primitive. Although the subfamily Apatosaurinae was named in 1929, the group was not used validly until an extensive 2015 study. Only Brontosaurus is also in the subfamily, with the other genera being considered synonyms or reclassified as diplodocines. Brontosaurus has long been considered a junior synonym of Apatosaurus; its type species was reclassified as A.excelsus in 1903. A 2015 study concluded that Brontosaurus is a valid genus of sauropod distinct from Apatosaurus, but not all paleontologists agree with this division. As it existed in North America during the late Jurassic, Apatosaurus would have lived alongside dinosaurs such as Allosaurus, Camarasaurus, Diplodocus, and Stegosaurus. Description Apatosaurus was a large, long-necked, quadrupedal animal with a long, whip-like tail. Its forelimbs were slightly shorter than its hindlimbs. Most size estimates are based on specimen CM3018, the type specimen of A.louisae, reaching in length and in body mass. A 2015 study that estimated the mass of volumetric models of Dreadnoughtus, Apatosaurus, and Giraffatitan estimates CM3018 at , similar in mass to Dreadnoughtus. Some specimens of A.ajax (such as OMNH1670) represent individuals 1130% longer, suggesting masses twice that of CM3018 or , potentially rivaling the largest titanosaurs. However, the upper size estimate of OMNH1670 is likely an exaggeration, with the size estimates revised in 2020 at in length and in body mass based on volumetric analysis. The skull is small in relation to the size of the animal. The jaws are lined with spatulate (chisel-like) teeth suited to an herbivorous diet. The snout of Apatosaurus and similar diplodocoids is squared, with only Nigersaurus having a squarer skull. The braincase of Apatosaurus is well preserved in specimen BYU17096, which also preserved much of the skeleton. A phylogenetic analysis found that the braincase had a morphology similar to those of other diplodocoids. Some skulls of Apatosaurus have been found still in articulation with their teeth. Those teeth that have the enamel surface exposed do not show any scratches on the surface; instead, they display a sugary texture and little wear. Like those of other sauropods, the neck vertebrae are deeply bifurcated; they carried neural spines with a large trough in the middle, resulting in a wide, deep neck. The vertebral formula for the holotype of A.louisae is 15cervicals, 10dorsals, 5sacrals, and 82caudals. The caudal vertebra number may vary, even within species. The cervical vertebrae of Apatosaurus and Brontosaurus are stouter and more robust than those of other diplodocids and were found to be most similar to Camarasaurus by Charles Whitney Gilmore. In addition, they support cervical ribs that extend farther towards the ground than in diplodocines, and have vertebrae and ribs that are narrower towards the top of the neck, making the neck nearly triangular in cross-section. In Apatosaurus louisae, the atlas-axis complex of the first cervicals is nearly fused. The dorsal ribs are not fused or tightly attached to their vertebrae and are instead loosely articulated. Apatosaurus has ten dorsal ribs on either side of the body. The large neck was filled with an extensive system of weight-saving air sacs. Apatosaurus, like its close relative Supersaurus, has tall neural spines, which make up more than half the height of the individual bones of its vertebrae. The shape of the tail is unusual for a diplodocid; it is comparatively slender because of the rapidly decreasing height of the vertebral spines with increasing distance from the hips. Apatosaurus also had very long ribs compared to most other diplodocids, giving it an unusually deep chest. As in other diplodocids, the tail transformed into a whip-like structure towards the end. The limb bones are also very robust. Within Apatosaurinae, the scapula of Apatosaurus louisae is intermediate in morphology between those of A.ajax and Brontosaurus excelsus. The arm bones are stout, so the humerus of Apatosaurus resembles that of Camarasaurus, as well as Brontosaurus. However, the humeri of Brontosaurus and A.ajax are more similar to each other than they are to A.louisae. In 1936, Charles Gilmore noted that previous reconstructions of Apatosaurus forelimbs erroneously proposed that the radius and ulna could cross; in life they would have remained parallel. Apatosaurus had a single large claw on each forelimb, a feature shared by all sauropods more derived than Shunosaurus. The first three toes had claws on each hindlimb. The phalangeal formula is 2-1-1-1-1, meaning the innermost finger (phalanx) on the forelimb has two bones and the next has one. The single manual claw bone (ungual) is slightly curved and squarely truncated on the anterior end. The pelvic girdle includes the robust ilia, and the fused (co-ossified) pubes and ischia. The femora of Apatosaurus are very stout and represent some of the most robust femora of any member of Sauropoda. The tibia and fibula bones are different from the slender bones of Diplodocus but are nearly indistinguishable from those of Camarasaurus. The fibula is longer and slenderer than the tibia. The foot of Apatosaurus has three claws on the innermost digits; the digit formula is 3-4-5-3-2. The first metatarsal is the stoutest, a feature shared among diplodocids. Discovery and species Initial discovery The first Apatosaurus fossils were discovered by Arthur Lakes, a local miner, and his friend Henry C. Beckwith in the spring of 1877 in Morrison, a town in the eastern foothills of the Rocky Mountains in Jefferson County, Colorado. Arthur Lakes wrote to Othniel Charles Marsh, Professor of Paleontology at Yale University, and Edward Drinker Cope, paleontologist based in Philadelphia, about the discovery until eventually collecting several fossils and sending them to both paleontologists. Marsh named Atlantosaurus montanus based on some of the fossils sent and hired Lakes to collect the rest of the material at Morrison and send it to Yale, while Cope attempted to hire Lakes as well but was rejected. One of the best specimens collected by Lakes in 1877 was a well preserved partial postcranial skeleton, including many vertebrae, and a partial braincase (YPM VP 1860), which was sent to Marsh and named Apatosaurus ajax in November 1877. The composite term Apatosaurus comes from the Greek words ()/ () meaning "deception"/"deceptive", and () meaning "lizard"; thus, "deceptive lizard". Marsh gave it this name based on the chevron bones, which are dissimilar to those of other dinosaurs; instead, the chevron bones of Apatosaurus showed similarities with those of mosasaurs, most likely that of the representative species Mosasaurus. By the end of excavations at Lakes' quarry in Morrison, several partial specimens of Apatosaurus had been collected, but only the type specimen of A. ajax can be confidently referred to the species. During excavation and transportation, the bones of the holotype skeleton were mixed with those of another Apatosaurine individual originally described as Atlantosaurus immanis; as a consequence, some elements cannot be ascribed to either specimen with confidence. Marsh distinguished the new genus Apatosaurus from Atlantosaurus on the basis of the number of sacral vertebrae, with Apatosaurus possessing three and Atlantosaurus four. Recent research shows that traits usually used to distinguish taxa at this time were actually widespread across several taxa, causing many of the taxa named to be invalid, like Atlantosaurus. Two years later, Marsh announced the discovery of a larger and more complete specimen (YPM VP 1980) from Como Bluff, Wyoming, he gave this specimen the name Brontosaurus excelsus. Also at Como Bluff, the Hubbell brothers working for Edward Drinker Cope collected a tibia, fibula, scapula, and several caudal vertebrae along with other fragments belonging to Apatosaurus in 1877–78 at Cope's Quarry 5 at the site. Later in 1884, Othniel Marsh named Diplodocus lacustris based on a chimeric partial dentary, snout, and several teeth collected by Lakes in 1877 at Morrison. In 2013, it was suggested that the dentary of D. lacustris and its teeth were actually from Apatosaurus ajax based on its proximity to the type braincase of A. ajax. All specimens currently considered Apatosaurus were from the Morrison Formation, the location of the excavations of Marsh and Cope. Second Dinosaur Rush and skull issue After the end of the Bone Wars, many major institutions in the eastern United States were inspired by the depictions and finds by Marsh and Cope to assemble their own dinosaur fossil collections. The competition to mount the first sauropod skeleton specifically was the most intense, with the American Museum of Natural History, Carnegie Museum of Natural History, and Field Museum of Natural History all sending expeditions to the west to find the most complete sauropod specimen, bring it back to the home institution, and mount it in their fossil halls. The American Museum of Natural History was the first to launch an expedition, finding a well preserved skeleton (AMNH 460), which is occasionally assigned to Apatosaurus, is considered nearly complete; only the head, feet, and sections of the tail are missing, and it was the first sauropod skeleton mounted. The specimen was found north of Medicine Bow, Wyoming, in 1898 by Walter Granger, and took the entire summer to extract. To complete the mount, sauropod feet that were discovered at the same quarry and a tail fashioned to appear as Marsh believed it shouldbut which had too few vertebraewere added. In addition, a sculpted model of what the museum thought the skull of this massive creature might look like was made. This was not a delicate skull like that of Diplodocuswhich was later found to be more accuratebut was based on "the biggest, thickest, strongest skull bones, lower jaws and tooth crowns from three different quarries". These skulls were likely those of Camarasaurus, the only other sauropod for which good skull material was known at the time. The mount construction was overseen by Adam Hermann, who failed to find Apatosaurus skulls. Hermann was forced to sculpt a stand-in skull by hand. Osborn said in a publication that the skull was "largely conjectural and based on that of Morosaurus" (now Camarasaurus). In 1903, Elmer Riggs published a study that described a well-preserved skeleton of a diplodocid from the Grand River Valley near Fruita, Colorado, Field Museum of Natural History specimen P25112. Riggs thought that the deposits were similar in age to those of the Como Bluff in Wyoming from which Marsh had described Brontosaurus. Most of the skeleton was found, and after comparison with both Brontosaurus and Apatosaurus ajax, Riggs realized that the holotype of A.ajax was immature, and thus the features distinguishing the genera were not valid. Since Apatosaurus was the earlier name, Brontosaurus should be considered a junior synonym of Apatosaurus. Because of this, Riggs recombined Brontosaurus excelsus as Apatosaurus excelsus. Based on comparisons with other species proposed to belong to Apatosaurus, Riggs also determined that the Field Columbian Museum specimen was likely most similar to A.excelsus. Despite Riggs' publication, Henry Fairfield Osborn, who was a strong opponent of Marsh and his taxa, labeled the Apatosaurus mount of the American Museum of Natural History Brontosaurus. Because of this decision the name Brontosaurus was commonly used outside of scientific literature for what Riggs considered Apatosaurus, and the museum's popularity meant that Brontosaurus became one of the best known dinosaurs, even though it was invalid throughout nearly all of the 20th and early 21st centuries. It was not until 1909 that an Apatosaurus skull was found during the first expedition, led by Earl Douglass, to what would become known as the Carnegie Quarry at Dinosaur National Monument. The skull was found a short distance from a skeleton (specimen CM3018) identified as the new species Apatosaurus louisae, named after Louise Carnegie, wife of Andrew Carnegie, who funded field research to find complete dinosaur skeletons in the American West. The skull was designated CM11162; it was very similar to the skull of Diplodocus. Another smaller skeleton of A.louisae was found nearby CM11162 and CM3018. The skull was accepted as belonging to the Apatosaurus specimen by Douglass and Carnegie Museum director William H. Holland, although other scientistsmost notably Osbornrejected this identification. Holland defended his view in 1914 in an address to the Paleontological Society of America, yet he left the Carnegie Museum mount headless. While some thought Holland was attempting to avoid conflict with Osborn, others suspected Holland was waiting until an articulated skull and neck were found to confirm the association of the skull and skeleton. After Holland's death in 1934, museum staff placed a cast of a Camarasaurus skull on the mount. While most other museums were using cast or sculpted Camarasaurus skulls on Apatosaurus mounts, the Yale Peabody Museum decided to sculpt a skull based on the lower jaw of a Camarasaurus, with the cranium based on Marsh's 1891 illustration of the skull. The skull also included forward-pointing nasalssomething unusual for any dinosaurand fenestrae differing from both the drawing and other skulls. No Apatosaurus skull was mentioned in literature until the 1970s when John Stanton McIntosh and David Berman redescribed the skulls of Diplodocus and Apatosaurus. They found that though he never published his opinion, Holland was almost certainly correct, that Apatosaurus had a Diplodocus-like skull. According to them, many skulls long thought to pertain to Diplodocus might instead be those of Apatosaurus. They reassigned multiple skulls to Apatosaurus based on associated and closely associated vertebrae. Even though they supported Holland, it was noted that Apatosaurus might have possessed a Camarasaurus-like skull, based on a disarticulated Camarasaurus-like tooth found at the precise site where an Apatosaurus specimen was found years before. On October20, 1979, after the publications by McIntosh and Berman, the first true skull of Apatosaurus was mounted on a skeleton in a museum, that of the Carnegie. In 1998, it was suggested that the Felch Quarry skull that Marsh had included in his 1896 skeletal restoration instead belonged to Brachiosaurus. Recent discoveries and reassesment In 2011, the first specimen of Apatosaurus where a skull was found articulated with its cervical vertebrae was described. This specimen, CMCVP7180, was found to differ in both skull and neck features from A.louisae, but shared many features of the cervical vertebrae with A.ajax. Another well-preserved skull is Brigham Young University specimen 17096, a well-preserved skull and skeleton, with a preserved braincase. The specimen was found in Cactus Park Quarry in western Colorado. In 2013, Matthew Mossbrucker and several other authors published an abstract that described a premaxilla and maxilla from Lakes' original quarry in Morrison and referred the material to Apatosaurus ajax. Almost all modern paleontologists agreed with Riggs that the two dinosaurs should be classified together in a single genus. According to the rules of the ICZN (which governs the scientific names of animals), the name Apatosaurus, having been published first, has priority as the official name; Brontosaurus was considered a junior synonym and was therefore long discarded from formal use. Despite this, at least one paleontologistRobert T. Bakkerargued in the 1990s that A.ajax and A.excelsus were in fact sufficiently distinct for the latter to merit a separate genus. In 2015, Emanuel Tschopp, Octávio Mateus, and Roger Benson released a paper on diplodocoid systematics, and proposed that genera could be diagnosed by thirteen differing characters, and species separated based on six. The minimum number for generic separation was chosen based on the fact that A.ajax and A.louisae differ in twelve characters, and Diplodocus carnegiei and D.hallorum differ in eleven characters. Thus, thirteen characters were chosen to validate the separation of genera. The six differing features for specific separation were chosen by counting the number of differing features in separate specimens generally agreed to represent one species, with only one differing character in D.carnegiei and A.louisae, but five differing features in B.excelsus. Therefore, Tschopp etal. argued that Apatosaurus excelsus, originally classified as Brontosaurus excelsus, had enough morphological differences from other species of Apatosaurus that it warranted being reclassified as a separate genus again. The conclusion was based on a comparison of 477 morphological characteristics across 81 different dinosaur individuals. Among the many notable differences are the widerand presumably strongerneck of Apatosaurus species compared to B.excelsus. Other species previously assigned to Apatosaurus, such as Elosaurus parvus and Eobrontosaurus yahnahpin were also reclassified as Brontosaurus. Some features proposed to separate Brontosaurus from Apatosaurus include: posterior dorsal vertebrae with the centrum longer than wide; the scapula rear to the acromial edge and the distal blade being excavated; the acromial edge of the distal scapular blade bearing a rounded expansion; and the ratio of the proximodistal length to transverse breadth of the astragalus 0.55 or greater. Sauropod expert Michael D'Emic pointed out that the criteria chosen were to an extent arbitrary and that they would require abandoning the name Brontosaurus again if newer analyses obtained different results. Mammal paleontologist Donald Prothero criticized the mass media reaction to this study as superficial and premature, concluding that he would keep "Brontosaurus" in quotes and not treat the name as a valid genus. Valid species Many species of Apatosaurus have been designated from scant material. Marsh named as many species as he could, which resulted in many being based upon fragmentary and indistinguishable remains. In 2005, Paul Upchurch and colleagues published a study that analyzed the species and specimen relationships of Apatosaurus. They found that A.louisae was the most basal species, followed by FMNHP25112, and then a polytomy of A.ajax, A.parvus, and A.excelsus. Their analysis was revised and expanded with many additional diplodocid specimens in 2015, which resolved the relationships of Apatosaurus slightly differently, and also supported separating Brontosaurus from Apatosaurus. Apatosaurus ajax was named by Marsh in 1877 after Ajax, a hero from Greek mythology. Marsh designated the incomplete, juvenile skeleton YPM1860 as its holotype. The species is less studied than Brontosaurus and A.louisae, especially because of the incomplete nature of the holotype. In 2005, many specimens in addition to the holotype were found assignable to A.ajax, YPM1840, NSMT-PV 20375, YPM1861, and AMNH460. The specimens date from the late Kimmeridgian to the early Tithonian ages. In 2015, only the A.ajax holotype YPM1860 assigned to the species, with AMNH460 found either to be within Brontosaurus, or potentially its own taxon. However, YPM1861 and NSMT-PV 20375 only differed in a few characteristics, and cannot be distinguished specifically or generically from A.ajax. YPM1861 is the holotype of "Atlantosaurus" immanis, which means it might be a junior synonym of A.ajax. Apatosaurus louisae was named by Holland in 1916, being first known from a partial skeleton that was found in Utah. The holotype is CM3018, with referred specimens including CM3378, CM11162, and LACM52844. The former two consist of a vertebral column; the latter two consist of a skull and a nearly complete skeleton, respectively. Apatosaurus louisae specimens all come from the late Kimmeridgian of Dinosaur National Monument. In 2015, Tschopp etal. found the type specimen of Apatosaurus laticollis to nest closely with CM3018, meaning the former is likely a junior synonym of A.louisae. The cladogram below is the result of an analysis by Tschopp, Mateus, and Benson (2015). The authors analyzed most diplodocid type specimens separately to deduce which specimen belonged to which species and genus. Reassigned species Apatosaurus grandis was named in 1877 by Marsh in the article that described A.ajax. It was briefly described, figured, and diagnosed. Marsh later mentioned it was only provisionally assigned to Apatosaurus when he reassigned it to his new genus Morosaurus in 1878. Since Morosaurus has been considered a synonym of Camarasaurus, C.grandis is the oldest-named species of the latter genus. Apatosaurus excelsus was the original type species of Brontosaurus, first named by Marsh in 1879. Elmer Riggs reclassified Brontosaurus as a synonym of Apatosaurus in 1903, transferring the species B.excelsus to A.excelsus. In 2015, Tschopp, Mateus, and Benson argued that the species was distinct enough to be placed in its own genus, so they reclassified it back into Brontosaurus. Apatosaurus parvus, first described from a juvenile specimen as Elosaurus in 1902 by Peterson and Gilmore, was reassigned to Apatosaurus in 1994, and then to Brontosaurus in 2015. Many other, more mature specimens were assigned to it following the 2015 study. Apatosaurus minimus was originally described as a specimen of Brontosaurus sp. in 1904 by Osborn. In 1917, Henry Mook named it as its own species, A.minimus, for a pair of ilia and their sacrum. In 2012, Mike P. Taylor and Matt J. Wedel published a short abstract describing the material of A. minimus, finding it hard to place among either Diplodocoidea or Macronaria. While it was placed with Saltasaurus in a phylogenetic analysis, it was thought to represent instead some form with convergent features from many groups. The study of Tschopp etal. did find that a camarasaurid position for the taxon was supported, but noted that the position of the taxon was found to be highly variable and there was no clearly more likely position. Apatosaurus alenquerensis was named in 1957 by Albert-Félix de Lapparent and Georges Zbyweski. It was based on post cranial material from Portugal. In 1990, this material was reassigned to Camarasaurus, but in 1998 it was given its own genus, Lourinhasaurus. This was further supported by the findings of Tschopp etal. in 2015, where Lourinhasaurus was found to be sister to Camarasaurus and other camarasaurids. Apatosaurus yahnahpin was named by James Filla and Patrick Redman in 1994. Bakker made A.yahnahpin the type species of a new genus, Eobrontosaurus in 1998, and Tschopp reclassified it as Brontosaurus yahnahpin in 2015. Classification Apatosaurus is a member of the family Diplodocidae, a clade of gigantic sauropod dinosaurs. The family includes some of the longest creatures ever to walk the earth, including Diplodocus, Supersaurus, and Barosaurus. Apatosaurus is sometimes classified in the subfamily Apatosaurinae, which may also include Suuwassea, Supersaurus, and Brontosaurus. Othniel Charles Marsh described Apatosaurus as allied to Atlantosaurus within the now-defunct group Atlantosauridae. In 1878, Marsh raised his family to the rank of suborder, including Apatosaurus, Atlantosaurus, Morosaurus (=Camarasaurus) and Diplodocus. He classified this group within Sauropoda, a group he erected in the same study. In 1903, Elmer S. Riggs said the name Sauropoda would be a junior synonym of earlier names; he grouped Apatosaurus within Opisthocoelia. Sauropoda is still used as the group name. In 2011, John Whitlock published a study that placed Apatosaurus a more basal diplodocid, sometimes less basal than Supersaurus. Cladogram of the Diplodocidae after Tschopp, Mateus, and Benson (2015). Paleobiology It was believed throughout the 19th and early 20th centuries that sauropods like Apatosaurus were too massive to support their own weight on dry land. It was theorized that they lived partly submerged in water, perhaps in swamps. More recent findings do not support this; sauropods are now thought to have been fully terrestrial animals. A study of diplodocid snouts showed that the square snout, large proportion of pits, and fine, subparallel scratches of the teeth of Apatosaurus suggests it was a ground-height, nonselective browser. It may have eaten ferns, cycadeoids, seed ferns, horsetails, and algae. Stevens and Parish (2005) speculate that these sauropods fed from riverbanks on submerged water plants. A 2015 study of the necks of Apatosaurus and Brontosaurus found many differences between them and other diplodocids, and that these variations may have shown that the necks of Apatosaurus and Brontosaurus were used for intraspecific combat. Various uses for the single claw on the forelimb of sauropods have been proposed. One suggestion is that they were used for defense, but their shape and size make this unlikely. It was also possible they were for feeding, but the most probable use for the claw was grasping objects such as tree trunks when rearing. Trackways of sauropods like Apatosaurus show that they may have had a range of around per day, and that they could potentially have reached a top speed of per hour. The slow locomotion of sauropods may be due to their minimal muscling, or to recoil after strides. A trackway of a juvenile has led some to believe that they were capable of bipedalism, though this is disputed. Neck posture Diplodocids like Apatosaurus are often portrayed with their necks held high up in the air, allowing them to browse on tall trees. Some studies state diplodocid necks were less flexible than previously believed, because the structure of the neck vertebrae would not have allowed the neck to bend far upward, and that sauropods like Apatosaurus were adapted to low browsing or ground feeding. Other studies by Taylor find that all tetrapods appear to hold their necks at the maximum possible vertical extension when in a normal, alert posture; they argue the same would hold true for sauropods barring any unknown, unique characteristics that set the soft tissue anatomy of their necks apart from that of other animals. Apatosaurus, like Diplodocus, would have held its neck angled upward with the head pointing downward in a resting posture. Kent Stevens and Michael Parrish (1999 and 2005) state Apatosaurus had a great feeding range; its neck could bend into a U-shape laterally. The neck's range of movement would have also allowed the head to feed at the level of the feet. Matthew Cobley et al. (2013) dispute this, finding that large muscles and cartilage would have limited movement of the neck. They state the feeding ranges for sauropods like Diplodocus were smaller than previously believed, and the animals may have had to move their whole bodies around to better access areas where they could browse vegetation. As such, they might have spent more time foraging to meet their minimum energy needs. The conclusions of Cobley etal. are disputed by Taylor, who analyzed the amount and positioning of intervertebral cartilage to determine the flexibility of the neck of Apatosaurus and Diplodocus. He found that the neck of Apatosaurus was very flexible. Physiology Given the large body mass and long neck of sauropods like Apatosaurus, physiologists have encountered problems determining how these animals breathed. Beginning with the assumption that, like crocodilians, Apatosaurus did not have a diaphragm, the dead-space volume (the amount of unused air remaining in the mouth, trachea, and air tubes after each breath) has been estimated at about for a specimen. Paladino calculates its tidal volume (the amount of air moved in or out during a single breath) at with an avian respiratory system, if mammalian, and if reptilian. On this basis, its respiratory system would likely have been parabronchi, with multiple pulmonary air sacs as in avian lungs, and a flow-through lung. An avian respiratory system would need a lung volume of about compared with a mammalian requirement of , which would exceed the space available. The overall thoracic volume of Apatosaurus has been estimated at , allowing for a , four-chambered heart and a lung capacity. That would allow about for the necessary tissue. Evidence for the avian system in Apatosaurus and other sauropods is also present in the pneumaticity of the vertebrae. Though this plays a role in reducing the weight of the animal, Wedel (2003) states they are also likely connected to air sacs, as in birds. James Spotila et al. (1991) concludes that the large body size of sauropods would have made them unable to maintain high metabolic rates because they would not have been able to release enough heat. They assumed sauropods had a reptilian respiratory system. Wedel says that an avian system would have allowed it to dump more heat. Some scientists state that the heart would have had trouble sustaining sufficient blood pressure to oxygenate the brain. Others suggest that the near-horizontal posture of the head and neck would have eliminated the problem of supplying blood to the brain because it would not have been elevated. James Farlow (1987) calculates that an Apatosaurus-sized dinosaur about would have possessed of fermentation contents. Assuming Apatosaurus had an avian respiratory system and a reptilian resting-metabolism, Frank Paladino etal. (1997) estimate the animal would have needed to consume only about of water per day. Growth A 1999 microscopic study of Apatosaurus and Brontosaurus bones concluded the animals grew rapidly when young and reached near-adult sizes in about 10years. In 2008, a study on the growth rates of sauropods was published by Thomas Lehman and Holly Woodward. They said that by using growth lines and length-to-mass ratios, Apatosaurus would have grown to 25t (25 long tons; 28 short tons) in 15years, with growth peaking at in a single year. An alternative method, using limb length and body mass, found Apatosaurus grew per year, and reached its full mass before it was about 70years old. These estimates have been called unreliable because the calculation methods are not sound; old growth lines would have been obliterated by bone remodelling. One of the first identified growth factors of Apatosaurus was the number of sacral vertebrae, which increased to five by the time of the creature's maturity. This was first noted in 1903 and again in 1936. Long-bone histology enables researchers to estimate the age that a specific individual reached. A study by Eva Griebeler etal. (2013) examined long-bone histological data and concluded the Apatosaurus sp.SMA0014 weighed , reached sexual maturity at 21years, and died aged 28. The same growth model indicated Apatosaurus sp.BYU 601–17328 weighed , reached sexual maturity at 19years, and died aged 31. Juveniles Compared with most sauropods, a relatively large amount of juvenile material is known from Apatosaurus. Multiple specimens in the OMNH are from juveniles of an undetermined species of Apatosaurus; this material includes partial shoulder and pelvic girdles, some vertebrae, and limb bones. OMNH juvenile material is from at least two different age groups and based on overlapping bones likely comes from more than three individuals. The specimens exhibit features that distinguish Apatosaurus from its relatives, and thus likely belong to the genus. Juvenile sauropods tend to have proportionally shorter necks and tails, and a more pronounced forelimb-hindlimb disparity than found in adult sauropods. Tail An article published in 1997 reported research of the mechanics of Apatosaurus tails by Nathan Myhrvold and paleontologist Philip J. Currie. Myhrvold carried out a computer simulation of the tail, which in diplodocids like Apatosaurus was a very long, tapering structure resembling a bullwhip. This computer modeling suggested diplodocids were capable of producing a whiplike cracking sound of over 200 decibels, comparable to the volume of a cannon being fired. A pathology has been identified on the tail of Apatosaurus, caused by a growth defect. Two caudal vertebrae are seamlessly fused along the entire articulating surface of the bone, including the arches of the neural spines. This defect might have been caused by the lack or inhibition of the substance that forms intervertebral disks or joints. It has been proposed that the whips could have been used in combat and defense, but the tails of diplodocids were quite light and narrow compared to Shunosaurus and mamenchisaurids, and thus to injure another animal with the tail would severely injure the tail itself. More recently, Baron (2020) considers the use of the tail as a bullwhip unlikely because of the potentially catastrophic muscle and skeletal damage such speeds could cause on the large and heavy tail. Instead, he proposes that the tails might have been used as a tactile organ to keep in touch with the individuals behind and on the sides in a group while migrating, which could have augmented cohesion and allowed communication among individuals while limiting more energetically demanding activities like stopping to search for dispersed individuals, turning to visually check on individuals behind, or communicating vocally. Paleoecology The Morrison Formation is a sequence of shallow marine and alluvial sediments which, according to radiometric dating, dates from between 156.3mya at its base, and 146.8mya at the top, placing it in the late Oxfordian, Kimmeridgian, and early Tithonian stages of the Late Jurassic period. This formation is interpreted as originating in a locally semiarid environment with distinct wet and dry seasons. The Morrison Basin, where dinosaurs lived, stretched from New Mexico to Alberta and Saskatchewan; it was formed when the precursors to the Front Range of the Rocky Mountains started pushing up to the west. The deposits from their east-facing drainage basins were carried by streams and rivers and deposited in swampy lowlands, lakes, river channels, and floodplains. This formation is similar in age to the Lourinhã Formation in Portugal and the Tendaguru Formation in Tanzania. Apatosaurus was the second most common sauropod in the Morrison Formation ecosystem, after Camarasaurus. Apatosaurus may have been more solitary than other Morrison Formation dinosaurs. Fossils of the genus have only been found in the upper levels of the formation. Those of Apatosaurus ajax are known exclusively from the upper Brushy Basin Member, about 152–151 mya. A.louisae fossils are rare, known only from one site in the upper Brushy Basin Member; they date to the late Kimmeridgian stage, about 151mya. Additional Apatosaurus remains are known from similarly aged or slightly younger rocks, but they have not been identified as any particular species, and thus may instead belong to Brontosaurus. The Morrison Formation records a time when the local environment was dominated by gigantic sauropod dinosaurs. Dinosaurs known from the Morrison Formation include the theropods Allosaurus, Ceratosaurus, Ornitholestes, Saurophaganax, and Torvosaurus; the sauropods Brontosaurus, Brachiosaurus, Camarasaurus, and Diplodocus; and the ornithischians Camptosaurus, Dryosaurus, and Stegosaurus. Apatosaurus is commonly found at the same sites as Allosaurus, Camarasaurus, Diplodocus, and Stegosaurus. Allosaurus accounted for 70–75% of theropod specimens and was at the top trophic level of the Morrison food web. Many of the dinosaurs of the Morrison Formation are of the same genera as those seen in Portuguese rocks of the Lourinhã Formationmainly Allosaurus, Ceratosaurus, and Torvosaurusor have a close counterpartBrachiosaurus and Lusotitan, Camptosaurus and Draconyx, and Apatosaurus and Dinheirosaurus. Other vertebrates that are known to have shared this paleo-environment include ray-finned fishes, frogs, salamanders, turtles, sphenodonts, lizards, terrestrial and aquatic crocodylomorphs, and several species of pterosaur. Shells of bivalves and aquatic snails are also common. The flora of the period has been evidenced in fossils of green algae, fungi, mosses, horsetails, cycads, ginkgoes, and several families of conifers. Vegetation varied from river-lining forests of tree ferns with fern understory (gallery forests), to fern savannas with occasional trees such as the Araucaria-like conifer Brachyphyllum. References External links Batuman, Elif. Brontosaurus Rising (April 2015), The New Yorker Krystek, Lee. "Whatever Happened to the Brontosaurus?" UnMuseum (Museum of Unnatural Mystery), 2002. Taylor, Mike. "Why is 'Brontosaurus' now called Apatosaurus?" MikeTaylor.org.uk, June 28, 2004. Dinosaurs of the Morrison Formation Fossil taxa described in 1877 Late Jurassic dinosaurs of North America Paleontology in Colorado Paleontology in Wyoming Taxa named by Othniel Charles Marsh Apatosaurinae
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https://en.wikipedia.org/wiki/Allosaurus
Allosaurus
Allosaurus () is an extinct genus of large carnosaurian theropod dinosaur that lived 155 to 145 million years ago during the Late Jurassic period (Kimmeridgian to late Tithonian ages). The name "Allosaurus" means "different lizard", alluding to its unique (at the time of its discovery) concave vertebrae. It is derived from the Greek words () ("different", "strange", or "other") and () ("lizard" or "reptile"). The first fossil remains that could definitively be ascribed to this genus were described in 1877 by famed paleontologist Othniel Charles Marsh. As one of the first well-known theropod dinosaurs, it has long attracted attention outside of paleontological circles. Allosaurus was a large bipedal predator for its time. Its skull was light, robust, and equipped with dozens of sharp, serrated teeth. It averaged in length for A. fragilis, with the largest specimens estimated as being long. Relative to the large and powerful legs, its three-fingered hands were small and the body was balanced by a long, muscular tail. It is classified as an allosaurid, a type of carnosaurian theropod dinosaur. The genus has a very complicated taxonomy and includes at least three valid species, the best known of which is A. fragilis. The bulk of Allosaurus remains have come from North America's Morrison Formation, with material also known from the Lourinhã Formation in Portugal. It was known for over half of the 20th century as Antrodemus, but a study of the abundant remains from the Cleveland-Lloyd Dinosaur Quarry returned the name "Allosaurus" to prominence and established it as one of the best-known dinosaurs. As the most abundant large predator of the Morrison Formation, Allosaurus was at the top of the food chain and probably preyed on contemporaneous large herbivorous dinosaurs, with the possibility of hunting other predators. Potential prey included ornithopods, stegosaurids, and sauropods. Some paleontologists interpret Allosaurus as having had cooperative social behavior and hunting in packs, while others believe individuals may have been aggressive toward each other and that congregations of this genus are the result of lone individuals feeding on the same carcasses. Discovery and history Early discoveries and research The discovery and early study of Allosaurus is complicated by the multiplicity of names coined during the Bone Wars of the late 19th century. The first described fossil in this history was a bone obtained secondhand by Ferdinand Vandeveer Hayden in 1869. It came from Middle Park, near Granby, Colorado, probably from Morrison Formation rocks. The locals had identified such bones as "petrified horse hoofs". Hayden sent his specimen to Joseph Leidy, who identified it as half of a tail vertebra and tentatively assigned it to the European dinosaur genus Poekilopleuron as Poicilopleuron valens. He later decided it deserved its own genus, Antrodemus. Allosaurus itself is based on YPM 1930, a small collection of fragmentary bones including parts of three vertebrae, a rib fragment, a tooth, a toe bone, and (most useful for later discussions) the shaft of the right humerus (upper arm). Othniel Charles Marsh gave these remains the formal name Allosaurus fragilis in 1877. Allosaurus comes from the Greek words /, meaning "strange" or "different", and /, meaning "lizard" or "reptile". It was named 'different lizard' because its vertebrae were different from those of other dinosaurs known at the time of its discovery. The species epithet fragilis is Latin for "fragile", referring to lightening features in the vertebrae. The bones were collected from the Morrison Formation of Garden Park, north of Cañon City. O. C. Marsh and Edward Drinker Cope, who were in scientific competition with each other, went on to coin several other genera based on similarly sparse material that would later figure in the taxonomy of Allosaurus. These include Marsh's Creosaurus and Labrosaurus, as well as Cope's Epanterias. In their haste, Cope and Marsh did not always follow up on their discoveries (or, more commonly, those made by their subordinates). For example, after the discovery by Benjamin Mudge of the type specimen of Allosaurus in Colorado, Marsh elected to concentrate work in Wyoming. When work resumed at Garden Park in 1883, M. P. Felch found an almost complete Allosaurus and several partial skeletons. In addition, one of Cope's collectors, H. F. Hubbell, found a specimen in the Como Bluff area of Wyoming in 1879, but apparently did not mention its completeness and Cope never unpacked it. Upon unpacking it in 1903 (several years after Cope had died), it was found to be one of the most complete theropod specimens then known and the skeleton, now cataloged as AMNH 5753, was put on public view in 1908. This is the well-known mount poised over a partial Apatosaurus skeleton as if scavenging it, illustrated as such in a painting by Charles R. Knight. Although notable as the first free-standing mount of a theropod dinosaur and often illustrated and photographed, it has never been scientifically described. The multiplicity of early names complicated later research, with the situation compounded by the terse descriptions provided by Marsh and Cope. Even at the time, authors such as Samuel Wendell Williston suggested that too many names had been coined. For example, Williston pointed out in 1901 that Marsh had never been able to adequately distinguish Allosaurus from Creosaurus. The most influential early attempt to sort out the convoluted situation was produced by Charles W. Gilmore in 1920. He came to the conclusion that the tail vertebra named Antrodemus by Leidy was indistinguishable from those of Allosaurus and that Antrodemus should be the preferred name because, as the older name, it had priority. Antrodemus became the accepted name for this familiar genus for over 50 years, until James Henry Madsen published on the Cleveland-Lloyd specimens and concluded that Allosaurus should be used because Antrodemus was based on material with poor, if any, diagnostic features and locality information. For example, the geological formation that the single bone of Antrodemus came from is unknown. "Antrodemus" has been used informally for convenience when distinguishing between the skull Gilmore restored and the composite skull restored by Madsen. Cleveland-Lloyd discoveries Although sporadic work at what became known as the Cleveland-Lloyd Dinosaur Quarry in Emery County, Utah, had taken place as early as 1927 and the fossil site itself described by William L. Stokes in 1945, major operations did not begin there until 1960. Under a cooperative effort involving nearly 40 institutions, thousands of bones were recovered between 1960 and 1965, led by James Henry Madsen. The quarry is notable for the predominance of Allosaurus remains, the condition of the specimens, and the lack of scientific resolution on how it came to be. The majority of bones belong to the large theropod Allosaurus fragilis (it is estimated that the remains of at least 46 A. fragilis have been found there, out of at a minimum 73 dinosaurs) and the fossils found there are disarticulated and well-mixed. Nearly a dozen scientific papers have been written on the taphonomy of the site, suggesting numerous mutually exclusive explanations for how it may have formed. Suggestions have ranged from animals getting stuck in a bog, becoming trapped in deep mud, falling victim to drought-induced mortality around a waterhole, and getting trapped in a spring-fed pond or seep. Regardless of the actual cause, the great quantity of well-preserved Allosaurus remains has allowed this genus to be known in great detail, making it among the best-known of all theropods. Skeletal remains from the quarry pertain to individuals of almost all ages and sizes, from less than to long, and the disarticulation is an advantage for describing bones usually found fused. Due to being one of Utah's two fossil quarries where numerous Allosaurus specimens have been discovered, Allosaurus was designated as the state fossil of Utah in 1988. Recent work: 1980s–present The period since Madsen's monograph has been marked by a great expansion in studies dealing with topics concerning Allosaurus in life (paleobiological and paleoecological topics). Such studies have covered topics including skeletal variation, growth, skull construction, hunting methods, the brain, and the possibility of gregarious living and parental care. Reanalysis of old material (particularly of large 'allosaur' specimens), new discoveries in Portugal, and several very complete new specimens have also contributed to the growing knowledge base. "Big Al" and "Big Al II" In 1991, "Big Al" (MOR 693), a 95% complete, partially articulated specimen of Allosaurus was discovered, measuring about 8 meters (about 26 ft) long. MOR 693 was excavated near Shell, Wyoming, by a joint Museum of the Rockies and University of Wyoming Geological Museum team. This skeleton was discovered by a Swiss team, led by Kirby Siber. Chure and Loewen in 2020 identified the individual as a representative of the species Allosaurus jimmadseni. In 1996, the same team discovered a second Allosaurus, "Big Al II". This specimen, the best preserved skeleton of its kind to date, is also referred to Allosaurus jimmadseni. The completeness, preservation, and scientific importance of this skeleton gave "Big Al" its name. The individual itself was below the average size for Allosaurus fragilis, as it was a subadult estimated at only 87% grown. The specimen was described by Breithaupt in 1996. Nineteen of its bones were broken or showed signs of serious infection, which may have contributed to "Big Al's" death. Pathologic bones included five ribs, five vertebrae, and four bones of the feet. Several of its damaged bones showed signs of osteomyelitis, a severe bone infection. A particular problem for the living animal was infection and trauma to the right foot that probably affected movement and may have also predisposed the other foot to injury because of a change in gait. "Big Al" had an infection on the first phalanx on the third toe that was afflicted by an involucrum. The infection was long-lived, perhaps up to six months. “Big Al II” is also known to have multiple injuries. Species Six species of Allosaurus have been named: A. amplus, A. atrox, A. europaeus, the type species A. fragilis, A. jimmadseni and A. lucasi. Among these, Daniel Chure and Mark Loewen in 2020 only recognized the species A. fragilis, A. europaeus, and the newly-named A. jimmadseni as being valid species. However, A. europaeus does not show any unique characters compared to the North American species, so a reevaluation of its validity is required. A. fragilis is the type species and was named by Marsh in 1877. It is known from the remains of at least 60 individuals, all found in the Kimmeridgian–Tithonian Upper Jurassic-age Morrison Formation of the United States, spread across Colorado, Montana, New Mexico, Oklahoma, South Dakota, Utah, and Wyoming. Details of the humerus (upper arm) of A. fragilis have been used as diagnostic among Morrison theropods, but A. jimmadseni indicates that this is no longer the case at the species level. A. jimmadseni has been scientifically described based on two nearly complete skeletons. The first specimen to wear the identification was unearthed in Dinosaur National Monument in northeastern Utah, with the original "Big Al" individual subsequently recognized as belonging to the same species. This species differs from A. fragilis in several anatomical details, including a jugal (cheekbone) with a straight lower margin. Fossils are confined to the Salt Wash Member of the Morrison Formation, with A. fragilis only found in the higher Brushy Basin Member. A. fragilis, A. jimmadseni, A. amplus, and A. lucasi are all known from remains discovered in the Kimmeridgian–Tithonian Upper Jurassic-age Morrison Formation of the United States, spread across Colorado, Montana, New Mexico, Oklahoma, South Dakota, Utah and Wyoming. A. fragilis is regarded as the most common, known from the remains of at least 60 individuals. For a while in the late 1980s and early 1990s, it was common to recognize A. fragilis as the short-snouted species, with the long-snouted taxon being A. atrox. However, subsequent analysis of specimens from the Cleveland-Lloyd Dinosaur Quarry, Como Bluff, and Dry Mesa Quarry showed that the differences seen in the Morrison Formation material could be attributed to individual variation. A study of skull elements from the Cleveland-Lloyd site found wide variation between individuals, calling into question previous species-level distinctions based on such features as the shape of the lacrimal horns and the proposed differentiation of A. jimmadseni based on the shape of the jugal. A. europaeus was found in the Kimmeridgian-age Porto Novo Member of the Lourinhã Formation, but it may be the same as A. fragilis. Allosaurus material from Portugal was first reported in 1999 on the basis of MHNUL/AND.001, a partial skeleton including a quadrate, vertebrae, ribs, gastralia, chevrons, part of the hips, and legs. This specimen was assigned to A. fragilis, but the subsequent discovery of a partial skull and neck (ML 415) near Lourinhã, in the Kimmeridgian-age Porto Novo Member of the Lourinhã Formation, spurred the naming of the new species as A. europaeus by Octávio Mateus and colleagues. The species appeared earlier in the Jurassic than A. fragilis and differs from other species of Allosaurus in cranial details. However, more material may show it to be A. fragilis, as originally described. The issue of species and potential synonyms is complicated by the type specimen of Allosaurus fragilis (YPM 1930) being extremely fragmentary, consisting of a few incomplete vertebrae, limb fragments, rib fragments, and a single tooth. Because of this, several scientists have interpreted the type specimen as potentially dubious, meaning the genus Allosaurus itself or at least the species A. fragilis would be a nomen dubium ("dubious name", based on a specimen too incomplete to compare to other specimens or to classify). To address this situation, Gregory S. Paul and Kenneth Carpenter (2010) submitted a petition to the ICZN to have the name "A. fragilis" officially transferred to the more complete specimen USNM4734 (as a neotype). Synonyms Creosaurus, Epanterias, and Labrosaurus are regarded as junior synonyms of Allosaurus. Most of the species that are regarded as synonyms of A. fragilis, or that were misassigned to the genus, are obscure and based on very scrappy remains. One exception is Labrosaurus ferox, named in 1884 by Marsh for an oddly formed partial lower jaw, with a prominent gap in the tooth row at the tip of the jaw, and a rear section greatly expanded and turned down. Later researchers suggested that the bone was pathologic, showing an injury to the living animal, and that part of the unusual form of the rear of the bone was due to plaster reconstruction. It is now regarded as an example of A. fragilis. In his 1988 book, Predatory Dinosaurs of the World, the freelance artist & author Gregory S. Paul proposed that A. fragilis had tall pointed horns and a slender build compared to a postulated second species A. atrox, as well as not being a different sex due to rarity. Allosaurus atrox was originally named by Marsh in 1878 as the type species of its own genus, Creosaurus, and is based on YPM 1890, an assortment of bones that includes a couple of pieces of the skull, portions of nine tail vertebrae, two hip vertebrae, an ilium, and ankle and foot bones. Although the idea of two common Morrison allosaur species was followed in some semi-technical and popular works, the 2000 thesis on Allosauridae noted that Charles Gilmore mistakenly reconstructed USNM 4734 as having a shorter skull than the specimens referred by Paul to atrox, refuting supposed differences between USNM 4734 and putative A. atrox specimens like DINO 2560, AMNH 600, and AMNH 666. "Allosaurus agilis", seen in Zittel, 1887, and Osborn, 1912, is a typographical error for A. fragilis. "Allosaurus ferox" is a typographical error by Marsh for A. fragilis in a figure caption for the partial skull YPM 1893 and YPM 1893 has been treated as a specimen of A fragilis. Likewise, "Labrosaurus fragilis" is a typographical error by Marsh (1896) for Labrosaurus ferox. "A. whitei" is a nomen nudum coined by Pickering in 1996 for the complete Allosaurus specimens that Paul referred to A. atrox. "Madsenius" was coined by David Lambert in 1990, being based on remains from Dinosaur National Monument assigned to Allosaurus or Creosaurus (a synonym of Allosaurus), and was to be described by paleontologist Robert Bakker as "Madsenius trux". However, "Madsenius" is now seen as yet another synonym of Allosaurus because Bakker's action was predicated upon the false assumption of USNM 4734 being distinct from long-snouted Allosaurus due to errors in Gilmore's 1920 reconstruction of USNM 4734. "Wyomingraptor" was informally coined by Bakker for allosaurid remains from the Morrison Formation of the Late Jurassic. The remains unearthed are labeled as Allosaurus and are housed in the Tate Geological Museum. However, there has been no official description of the remains and "Wyomingraptor" has been dismissed as a nomen nudum, with the remains referable to Allosaurus. Formerly assigned species and fossils Several species initially classified within or referred to Allosaurus do not belong within the genus. A. medius was named by Marsh in 1888 for various specimens from the Early Cretaceous Arundel Formation of Maryland, although most of the remains were removed by Richard Swann Lull to the new ornithopod species Dryosaurus grandis, except for a tooth. It was transferred to Antrodemus by Oliver Hay in 1902, but Hay later clarified that this was an inexplicable error on his part. Gilmore considered the tooth nondiagnostic but transferred it to Dryptosaurus, as D. medius. The referral was not accepted in the most recent review of basal tetanurans, and Allosaurus medius was simply listed as a dubious species of theropod. It may be closely related to Acrocanthosaurus. Allosaurus valens is a new combination for Antrodemus valens used by Friedrich von Huene in 1932; Antrodemus valens itself may also pertain to Allosaurus fragilis, as Gilmore suggested in 1920. A. lucaris, another Marsh name, was given to a partial skeleton in 1878. He later decided it warranted its own genus, Labrosaurus, but this has not been accepted, and A. lucaris is also regarded as another specimen of A. fragilis. Allosaurus lucaris, is known mostly from vertebrae, sharing characters with Allosaurus. Paul and Carpenter stated that the type specimen of this species, YPM 1931, was from a younger age than Allosaurus, and might represent a different genus. However, they found that the specimen was undiagnostic, and thus A. lucaris was a nomen dubium. Allosaurus sibiricus was described in 1914 by A. N. Riabinin on the basis of a bone, later identified as a partial fourth metatarsal, from the Early Cretaceous of Buryatia, Russia. It was transferred to Chilantaisaurus in 1990, but is now considered a nomen dubium indeterminate beyond Theropoda. Allosaurus meriani was a new combination by George Olshevsky for Megalosaurus meriani Greppin, 1870, based on a tooth from the Late Jurassic of Switzerland. However, a recent overview of Ceratosaurus included it in Ceratosaurus sp. Apatodon mirus, based on a scrap of vertebra Marsh first thought to be a mammalian jaw, has been listed as a synonym of Allosaurus fragilis. However, it was considered indeterminate beyond Dinosauria by Chure, and Mickey Mortimer believes that the synonymy of Apatodon with Allosaurus was due to correspondence to Ralph Molnar by John McIntosh, whereby the latter reportedly found a paper saying that Othniel Charles Marsh admitted that the Apatodon holotype was actually an allosaurid dorsal vertebra. A. amplexus was named by Gregory S. Paul for giant Morrison allosaur remains, and included in his conception Saurophagus maximus (later Saurophaganax). A. amplexus was originally coined by Cope in 1878 as the type species of his new genus Epanterias, and is based on what is now AMNH 5767, parts of three vertebrae, a coracoid, and a metatarsal. Following Paul's work, this species has been accepted as a synonym of A. fragilis. A 2010 study by Paul and Kenneth Carpenter, however, indicates that Epanterias is temporally younger than the A. fragilis type specimen, so it is a separate species at minimum. A. maximus was a new combination by David K. Smith for Chure's Saurophaganax maximus, a taxon created by Chure in 1995 for giant allosaurid remains from the Morrison of Oklahoma. These remains had been known as Saurophagus, but that name was already in use, leading Chure to propose a substitute. Smith, in his 1998 analysis of variation, concluded that S. maximus was not different enough from Allosaurus to be a separate genus, but did warrant its own species, A. maximus. This reassignment was rejected in a review of basal tetanurans. There are also several species left over from the synonymizations of Creosaurus and Labrosaurus with Allosaurus. Creosaurus potens was named by Lull in 1911 for a vertebra from the Early Cretaceous of Maryland. It is now regarded as a dubious theropod. Labrosaurus stechowi, described in 1920 by Janensch based on isolated Ceratosaurus-like teeth from the Tendaguru beds of Tanzania, was listed by Donald F. Glut as a species of Allosaurus, is now considered a dubious ceratosaurian related to Ceratosaurus. L. sulcatus, named by Marsh in 1896 for a Morrison theropod tooth, which like L. stechowi is now regarded as a dubious Ceratosaurus-like ceratosaur. A. tendagurensis was named in 1925 by Werner Janensch for a partial shin (MB.R.3620) found in the Kimmeridgian-age Tendaguru Formation in Mtwara, Tanzania. Although tabulated as a tentatively valid species of Allosaurus in the second edition of the Dinosauria, subsequent studies place it as indeterminate beyond Tetanurae, either a carcharodontosaurian or megalosaurid. Although obscure, it was a large theropod, possibly around 10 meters long (33 ft) and 2.5 metric tons (2.8 short tons) in weight. Kurzanov and colleagues in 2003 designated six teeth from Siberia as Allosaurus sp. (meaning the authors found the specimens to be most like those of Allosaurus, but did not or could not assign a species to them). They were reclassified as an indeterminate theropod. Also, reports of Allosaurus in Shanxi, China go back to at least 1982. These were interpreted as Torvosaurus remains in 2012. An astragalus (ankle bone) thought to belong to a species of Allosaurus was found at Cape Paterson, Victoria in Early Cretaceous beds in southeastern Australia. It was thought to provide evidence that Australia was a refugium for animals that had gone extinct elsewhere. This identification was challenged by Samuel Welles, who thought it more resembled that of an ornithomimid, but the original authors defended their identification. With fifteen years of new specimens and research to look at, Daniel Chure reexamined the bone and found that it was not Allosaurus, but could represent an allosauroid. Similarly, Yoichi Azuma and Phil Currie, in their description of Fukuiraptor, noted that the bone closely resembled that of their new genus. This specimen is sometimes referred to as "Allosaurus robustus", an informal museum name. It likely belonged to something similar to Australovenator, although one study considered it to belong to an abelisaur. Description Allosaurus was a typical large theropod, having a massive skull on a short neck, a long, slightly sloping tail, and reduced forelimbs. Allosaurus fragilis, the best-known species, had an average length of and mass of , with the largest definitive Allosaurus specimen (AMNH 680) estimated at long, with an estimated weight of . In his 1976 monograph on Allosaurus, James H. Madsen mentioned a range of bone sizes which he interpreted to show a maximum length of . As with dinosaurs in general, weight estimates are debatable, and since 1980 have ranged between , , and approximately for modal adult weight (not maximum). John Foster, a specialist on the Morrison Formation, suggests that is reasonable for large adults of A. fragilis, but that is a closer estimate for individuals represented by the average-sized thigh bones he has measured. Using the subadult specimen nicknamed "Big Al", since assigned to the species Allosaurus jimmadseni, researchers using computer modelling arrived at a best estimate of for the individual, but by varying parameters they found a range from approximately to approximately . A. europaeus has been measured up to in length and in body mass. Several gigantic specimens have been attributed to Allosaurus, but may in fact belong to other genera. The closely related genus Saurophaganax (OMNH 1708) reached perhaps in length, and its single species has sometimes been included in the genus Allosaurus as Allosaurus maximus, though recent studies support it as a separate genus. Another potential specimen of Allosaurus, once assigned to the genus Epanterias (AMNH 5767), may have measured in length. A more recent discovery is a partial skeleton from the Peterson Quarry in Morrison rocks of New Mexico; this large allosaurid may be another individual of Saurophaganax. David K. Smith, examining Allosaurus fossils by quarry, found that the Cleveland-Lloyd Dinosaur Quarry (Utah) specimens are generally smaller than those from Como Bluff (Wyoming) or Brigham Young University's Dry Mesa Quarry (Colorado), but the shapes of the bones themselves did not vary between the sites. A later study by Smith incorporating Garden Park (Colorado) and Dinosaur National Monument (Utah) specimens found no justification for multiple species based on skeletal variation; skull variation was most common and was gradational, suggesting individual variation was responsible. Further work on size-related variation again found no consistent differences, although the Dry Mesa material tended to clump together on the basis of the astragalus, an ankle bone. Kenneth Carpenter, using skull elements from the Cleveland-Lloyd site, found wide variation between individuals, calling into question previous species-level distinctions based on such features as the shape of the horns, and the proposed differentiation of A. jimmadseni based on the shape of the jugal. A study published by Motani et al., in 2020 suggests that Allosaurus was also sexually dimorphic in the width of the femur's head against its length. Skull The skull and teeth of Allosaurus were modestly proportioned for a theropod of its size. Paleontologist Gregory S. Paul gives a length of for a skull belonging to an individual he estimates at long. Each premaxilla (the bones that formed the tip of the snout) held five teeth with D-shaped cross-sections, and each maxilla (the main tooth-bearing bones in the upper jaw) had between 14 and 17 teeth; the number of teeth does not exactly correspond to the size of the bone. Each dentary (the tooth-bearing bone of the lower jaw) had between 14 and 17 teeth, with an average count of 16. The teeth became shorter, narrower, and more curved toward the back of the skull. All of the teeth had saw-like edges. They were shed easily, and were replaced continually, making them common fossils. Its skull was light, robust and equipped with dozens of sharp, serrated teeth. The skull had a pair of horns above and in front of the eyes. These horns were composed of extensions of the lacrimal bones, and varied in shape and size. There were also lower paired ridges running along the top edges of the nasal bones that led into the horns. The horns were probably covered in a keratin sheath and may have had a variety of functions, including acting as sunshades for the eyes, being used for display, and being used in combat against other members of the same species (although they were fragile). There was a ridge along the back of the skull roof for muscle attachment, as is also seen in tyrannosaurids. Inside the lacrimal bones were depressions that may have held glands, such as salt glands. Within the maxillae were sinuses that were better developed than those of more basal theropods such as Ceratosaurus and Marshosaurus; they may have been related to the sense of smell, perhaps holding something like Jacobson's organs. The roof of the braincase was thin, perhaps to improve thermoregulation for the brain. The skull and lower jaws had joints that permitted motion within these units. In the lower jaws, the bones of the front and back halves loosely articulated, permitting the jaws to bow outward and increasing the animal's gape. The braincase and frontals may also have had a joint. Postcranial skeleton Allosaurus had nine vertebrae in the neck, 14 in the back, and five in the sacrum supporting the hips. The number of tail vertebrae is unknown and varied with individual size; James Madsen estimated about 50, while Gregory S. Paul considered that to be too many and suggested 45 or less. There were hollow spaces in the neck and anterior back vertebrae. Such spaces, which are also found in modern theropods (that is, the birds), are interpreted as having held air sacs used in respiration. The rib cage was broad, giving it a barrel chest, especially in comparison to less derived theropods like Ceratosaurus. Allosaurus had gastralia (belly ribs), but these are not common findings, and they may have ossified poorly. In one published case, the gastralia show evidence of injury during life. A furcula (wishbone) was also present, but has only been recognized since 1996; in some cases furculae were confused with gastralia. The ilium, the main hip bone, was massive, and the pubic bone had a prominent foot that may have been used for both muscle attachment and as a prop for resting the body on the ground. Madsen noted that in about half of the individuals from the Cleveland-Lloyd Dinosaur Quarry, independent of size, the pubes had not fused to each other at their foot ends. He suggested that this was a sexual characteristic, with females lacking fused bones to make egg-laying easier. This proposal has not attracted further attention, however. The forelimbs of Allosaurus were short in comparison to the hindlimbs (only about 35% the length of the hindlimbs in adults) and had three fingers per hand, tipped with large, strongly curved and pointed claws. The arms were powerful, and the forearm was somewhat shorter than the upper arm (1:1.2 ulna/humerus ratio). The wrist had a version of the semilunate carpal also found in more derived theropods like maniraptorans. Of the three fingers, the innermost (or thumb) was the largest, and diverged from the others. The phalangeal formula is 2-3-4-0-0, meaning that the innermost finger (phalange) has two bones, the next has three, and the third finger has four. The legs were not as long or suited for speed as those of tyrannosaurids, and the claws of the toes were less developed and more hoof-like than those of earlier theropods. Each foot had three weight-bearing toes and an inner dewclaw, which Madsen suggested could have been used for grasping in juveniles. There was also what is interpreted as the splint-like remnant of a fifth (outermost) metatarsal, perhaps used as a lever between the Achilles tendon and foot. Skin Skin impressions from Allosaurus have been described. One impression, from a juvenile specimen, measures 30 cm² and is associated with the anterior dorsal ribs/pectoral region. The impression shows small scales measuring 1–3 mm in diameter. A large skin impression from the "Big Al Two" specimen, associated with the base of the tail, measures 20 cm x 20 cm, and shows large scales measuring up to 2 cm in diameter. However it has been noted that these scales are more similar to those of sauropods, and due to the presence of non-theropod remains associated with the tail of "Big Al Two" there is a possibility that this skin impression is not from Allosaurus. Another Allosaurus fossil feature a skin impression from the mandible, showing scales measuring 1–2 mm in diameter. The same fossil also preserves skin impressions from the ventral side of the neck, showing broad scutes. A small skin impression from an Allosaurus skull has been reported, but never described. Classification Allosaurus was an allosaurid, a member of a family of large theropods within the larger group Carnosauria. The family name Allosauridae was created for this genus in 1878 by Othniel Charles Marsh, but the term was largely unused until the 1970s in favor of Megalosauridae, another family of large theropods that eventually became a wastebasket taxon. This, along with the use of Antrodemus for Allosaurus during the same period, is a point that needs to be remembered when searching for information on Allosaurus in publications that predate James Madsen's 1976 monograph. Major publications using the name "Megalosauridae" instead of "Allosauridae" include Gilmore, 1920, von Huene, 1926, Romer, 1956 and 1966, Steel, 1970, and Walker, 1964. Following the publication of Madsen's influential monograph, Allosauridae became the preferred family assignment, but it too was not strongly defined. Semi-technical works used Allosauridae for a variety of large theropods, usually those that were larger and better-known than megalosaurids. Typical theropods that were thought to be related to Allosaurus included Indosaurus, Piatnitzkysaurus, Piveteausaurus, Yangchuanosaurus, Acrocanthosaurus, Chilantaisaurus, Compsosuchus, Stokesosaurus, and Szechuanosaurus. Given modern knowledge of theropod diversity and the advent of cladistic study of evolutionary relationships, none of these theropods is now recognized as an allosaurid, although several, like Acrocanthosaurus and Yangchuanosaurus, are members of closely related families. Below is a cladogram based on the analysis of Benson et al. in 2010. Allosauridae is one of four families in Allosauroidea; the other three are Neovenatoridae, Carcharodontosauridae and Sinraptoridae. Allosauridae has at times been proposed as ancestral to the Tyrannosauridae (which would make it paraphyletic), one example being Gregory S. Paul's Predatory Dinosaurs of the World, but this has been rejected, with tyrannosaurids identified as members of a separate branch of theropods, the Coelurosauria. Allosauridae is the smallest of the carnosaur families, with only Saurophaganax and a currently unnamed French allosauroid accepted as possible valid genera besides Allosaurus in the most recent review. Another genus, Epanterias, is a potential valid member, but it and Saurophaganax may turn out to be large examples of Allosaurus. Recent reviews have kept the genus Saurophaganax and included Epanterias with Allosaurus. Paleobiology Life history The wealth of Allosaurus fossils, from nearly all ages of individuals, allows scientists to study how the animal grew and how long its lifespan may have been. Remains may reach as far back in the lifespan as eggs—crushed eggs from Colorado have been suggested as those of Allosaurus. Based on histological analysis of limb bones, bone deposition appears to stop at around 22 to 28 years, which is comparable to that of other large theropods like Tyrannosaurus. From the same analysis, its maximum growth appears to have been at age 15, with an estimated growth rate of about 150 kilograms (330 lb) per year. Medullary bone tissue (endosteally derived, ephemeral, mineralization located inside the medulla of the long bones in gravid female birds) has been reported in at least one Allosaurus specimen, a shin bone from the Cleveland-Lloyd Quarry. Today, this bone tissue is only formed in female birds that are laying eggs, as it is used to supply calcium to shells. Its presence in the Allosaurus individual has been used to establish sex and show it had reached reproductive age. However, other studies have called into question some cases of medullary bone in dinosaurs, including this Allosaurus individual. Data from extant birds suggested that the medullary bone in this Allosaurus individual may have been the result of a bone pathology instead. However, with the confirmation of medullary tissue indicating sex in a specimen of Tyrannosaurus, it may be possible to ascertain whether or not the Allosaurus in question was indeed female. The discovery of a juvenile specimen with a nearly complete hindlimb shows that the legs were relatively longer in juveniles, and the lower segments of the leg (shin and foot) were relatively longer than the thigh. These differences suggest that younger Allosaurus were faster and had different hunting strategies than adults, perhaps chasing small prey as juveniles, then becoming ambush hunters of large prey upon adulthood. The thigh bone became thicker and wider during growth, and the cross-section less circular, as muscle attachments shifted, muscles became shorter, and the growth of the leg slowed. These changes imply that juvenile legs has less predictable stresses compared with adults, which would have moved with more regular forward progression. Conversely, the skull bones appear to have generally grown isometrically, increasing in size without changing in proportion. Feeding Many paleontologists accept Allosaurus as an active predator of large animals. There is dramatic evidence for allosaur attacks on Stegosaurus, including an Allosaurus tail vertebra with a partially healed puncture wound that fits a Stegosaurus tail spike, and a Stegosaurus neck plate with a U-shaped wound that correlates well with an Allosaurus snout. Sauropods seem to be likely candidates as both live prey and as objects of scavenging, based on the presence of scrapings on sauropod bones fitting allosaur teeth well and the presence of shed allosaur teeth with sauropod bones. However, as Gregory Paul noted in 1988, Allosaurus was probably not a predator of fully grown sauropods, unless it hunted in packs, as it had a modestly sized skull and relatively small teeth, and was greatly outweighed by contemporaneous sauropods. Another possibility is that it preferred to hunt juveniles instead of fully grown adults. Research in the 1990s and the first decade of the 21st century may have found other solutions to this question. Robert T. Bakker, comparing Allosaurus to Cenozoic saber-toothed carnivorous mammals, found similar adaptations, such as a reduction of jaw muscles and increase in neck muscles, and the ability to open the jaws extremely wide. Although Allosaurus did not have saber teeth, Bakker suggested another mode of attack that would have used such neck and jaw adaptations: the short teeth in effect became small serrations on a saw-like cutting edge running the length of the upper jaw, which would have been driven into prey. This type of jaw would permit slashing attacks against much larger prey, with the goal of weakening the victim. Similar conclusions were drawn by another study using finite element analysis on an Allosaurus skull. According to their biomechanical analysis, the skull was very strong but had a relatively small bite force. By using jaw muscles only, it could produce a bite force of 805 to 8,724 N, but the skull could withstand nearly 55,500 N of vertical force against the tooth row. The authors suggested that Allosaurus used its skull like a machete against prey, attacking open-mouthed, slashing flesh with its teeth, and tearing it away without splintering bones, unlike Tyrannosaurus, which is thought to have been capable of damaging bones. They also suggested that the architecture of the skull could have permitted the use of different strategies against different prey; the skull was light enough to allow attacks on smaller and more agile ornithopods, but strong enough for high-impact ambush attacks against larger prey like stegosaurids and sauropods. Their interpretations were challenged by other researchers, who found no modern analogues to a hatchet attack and considered it more likely that the skull was strong to compensate for its open construction when absorbing the stresses from struggling prey. The original authors noted that Allosaurus itself has no modern equivalent, that the tooth row is well-suited to such an attack, and that articulations in the skull cited by their detractors as problematic actually helped protect the palate and lessen stress. Another possibility for handling large prey is that theropods like Allosaurus were "flesh grazers" which could take bites of flesh out of living sauropods that were sufficient to sustain the predator so it would not have needed to expend the effort to kill the prey outright. This strategy would also potentially have allowed the prey to recover and be fed upon in a similar way later. An additional suggestion notes that ornithopods were the most common available dinosaurian prey, and that allosaurs may have subdued them by using an attack similar to that of modern big cats: grasping the prey with their forelimbs, and then making multiple bites on the throat to crush the trachea. This is compatible with other evidence that the forelimbs were strong and capable of restraining prey. Studies done by Stephen Lautenschager et al. from the University of Bristol also indicate Allosaurus could open its jaws quite wide and sustain considerable muscle force. When compared with Tyrannosaurus and the therizinosaurid Erlikosaurus in the same study, it was found that Allosaurus had a wider gape than either; the animal was capable of opening its jaws to a 92-degree angle at maximum. The findings also indicate that large carnivorous dinosaurs, like modern carnivores, had wider jaw gapes than herbivores. A biomechanical study published in 2013 by Eric Snively and colleagues found that Allosaurus had an unusually low attachment point on the skull for the longissimus capitis superficialis neck muscle compared to other theropods such as Tyrannosaurus. This would have allowed the animal to make rapid and forceful vertical movements with the skull. The authors found that vertical strikes as proposed by Bakker and Rayfield are consistent with the animal's capabilities. They also found that the animal probably processed carcasses by vertical movements in a similar manner to falcons, such as kestrels: the animal could have gripped prey with the skull and feet, then pulled back and up to remove flesh. This differs from the prey-handling envisioned for tyrannosaurids, which probably tore flesh with lateral shakes of the skull, similar to crocodilians. In addition, Allosaurus was able to "move its head and neck around relatively rapidly and with considerable control", at the cost of power. Other aspects of feeding include the eyes, arms, and legs. The shape of the skull of Allosaurus limited potential binocular vision to 20° of width, slightly less than that of modern crocodilians. As with crocodilians, this may have been enough to judge prey distance and time attacks. The arms, compared with those of other theropods, were suited for both grasping prey at a distance or clutching it close, and the articulation of the claws suggests that they could have been used to hook things. Finally, the top speed of Allosaurus has been estimated at 30 to 55 kilometers per hour (19 to 34 miles per hour). A paper on the cranio-dental morphology of Allosaurus and how it worked has deemed the hatchet jaw attack unlikely, reinterpreting the unusually wide gape as an adaptation to allow Allosaurus to deliver a muscle-driven bite to large prey, with the weaker jaw muscles being a trade-off to allow for the widened gape. Social behavior It has been speculated since the 1970s that Allosaurus preyed on sauropods and other large dinosaurs by hunting in groups. Such a depiction is common in semitechnical and popular dinosaur literature. Robert T. Bakker has extended social behavior to parental care, and has interpreted shed allosaur teeth and chewed bones of large prey animals as evidence that adult allosaurs brought food to lairs for their young to eat until they were grown, and prevented other carnivores from scavenging on the food. However, there is actually little evidence of gregarious behavior in theropods, and social interactions with members of the same species would have included antagonistic encounters, as shown by injuries to gastralia and bite wounds to skulls (the pathologic lower jaw named Labrosaurus ferox is one such possible example). Such head-biting may have been a way to establish dominance in a pack or to settle territorial disputes. Although Allosaurus may have hunted in packs, it has been argued that Allosaurus and other theropods had largely aggressive interactions instead of cooperative interactions with other members of their own species. The study in question noted that cooperative hunting of prey much larger than an individual predator, as is commonly inferred for theropod dinosaurs, is rare among vertebrates in general, and modern diapsid carnivores (including lizards, crocodiles, and birds) rarely cooperate to hunt in such a way. Instead, they are typically territorial and will kill and cannibalize intruders of the same species, and will also do the same to smaller individuals that attempt to eat before they do when aggregated at feeding sites. According to this interpretation, the accumulation of remains of multiple Allosaurus individuals at the same site; e.g., in the Cleveland–Lloyd Quarry, are not due to pack hunting, but to the fact that Allosaurus individuals were drawn together to feed on other disabled or dead allosaurs, and were sometimes killed in the process. This could explain the high proportion of juvenile and subadult allosaurs present, as juveniles and subadults are disproportionally killed at modern group feeding sites of animals like crocodiles and Komodo dragons. The same interpretation applies to Bakker's lair sites. There is some evidence for cannibalism in Allosaurus, including Allosaurus shed teeth found among rib fragments, possible tooth marks on a shoulder blade, and cannibalized allosaur skeletons among the bones at Bakker's lair sites. Brain and senses The brain of Allosaurus, as interpreted from spiral CT scanning of an endocast, was more consistent with crocodilian brains than those of the other living archosaurs, birds. The structure of the vestibular apparatus indicates that the skull was held nearly horizontal, as opposed to strongly tipped up or down. The structure of the inner ear was like that of a crocodilian, and so Allosaurus probably could have heard lower frequencies best, and would have had trouble with subtle sounds. The olfactory bulbs were large and seem to have been well suited for detecting odors, although the area for evaluating smells was relatively small. Paleopathology In 2001, Bruce Rothschild and others published a study examining evidence for stress fractures and tendon avulsions in theropod dinosaurs and the implications for their behavior. Since stress fractures are caused by repeated trauma rather than singular events they are more likely to be caused by the behavior of the animal than other kinds of injury. Stress fractures and tendon avulsions occurring in the forelimb have special behavioral significance since while injuries to the feet could be caused by running or migration, resistant prey items are the most probable source of injuries to the hand. Allosaurus was one of only two theropods examined in the study to exhibit a tendon avulsion, and in both cases the avulsion occurred on the forelimb. When the researchers looked for stress fractures, they found that Allosaurus had a significantly greater number of stress fractures than Albertosaurus, Ornithomimus or Archaeornithomimus. Of the 47 hand bones the researchers studied, three were found to contain stress fractures. Of the feet, 281 bones were studied and 17 were found to have stress fractures. The stress fractures in the foot bones "were distributed to the proximal phalanges" and occurred across all three weight-bearing toes in "statistically indistinguishable" numbers. Since the lower end of the third metatarsal would have contacted the ground first while an allosaur was running, it would have borne the most stress. If the allosaurs' stress fractures were caused by damage accumulating while walking or running this bone should have experience more stress fractures than the others. The lack of such a bias in the examined Allosaurus fossils indicates an origin for the stress fractures from a source other than running. The authors conclude that these fractures occurred during interaction with prey, like an allosaur trying to hold struggling prey with its feet. The abundance of stress fractures and avulsion injuries in Allosaurus provide evidence for "very active" predation-based rather than scavenging diets. The left scapula and fibula of an Allosaurus fragilis specimen catalogued as USNM 4734 are both pathological, both probably due to healed fractures. The specimen USNM 8367 preserved several pathological gastralia which preserve evidence of healed fractures near their middle. Some of the fractures were poorly healed and "formed pseudoarthroses". A specimen with a fractured rib was recovered from the Cleveland-Lloyd Quarry. Another specimen had fractured ribs and fused vertebrae near the end of the tail. An apparent subadult male Allosaurus fragilis was reported to have extensive pathologies, with a total of fourteen separate injuries. The specimen MOR 693 had pathologies on five ribs, the sixth neck vertebra, the third, eighth, and thirteenth back vertebrae, the second tail vertebra and its chevron, the gastralia right scapula, manual phalanx I left ilium metatarsals III and V, the first phalanx of the third toe and the third phalanx of the second. The ilium had "a large hole...caused by a blow from above". The near end of the first phalanx of the third toe was afflicted by an involucrum. Other pathologies reported in Allosaurus include: Willow breaks in two ribs Healed fractures in the humerus and radius Distortion of joint surfaces in the foot, possibly due to osteoarthritis or developmental issues Osteopetrosis along the endosteal surface of a tibia. Distortions of the joint surfaces of the tail vertebrae, possibly due to osetoarthritis or developmental issues "[E]xtensive 'neoplastic' ankylosis of caudals", possibly due to physical trauma, as well as the fusion of chevrons to centra Coossification of vertebral centra near the end of the tail Amputation of a chevron and foot bone, both possibly a result of bites "[E]xtensive exostoses" in the first phalanx of the third toe Lesions similar to those caused by osteomyelitis in two scapulae Bone spurs in a premaxilla, ungual, and two metacarpals Exostosis in a pedal phalanx possibly attributable to an infectious disease A metacarpal with a round depressed fracture Paleoecology Allosaurus was the most common large theropod in the vast tract of Western American fossil-bearing rock known as the Morrison Formation, accounting for 70 to 75% of theropod specimens, and as such was at the top trophic level of the Morrison food chain. The Morrison Formation is interpreted as a semiarid environment with distinct wet and dry seasons, and flat floodplains. Vegetation varied from river-lining forests of conifers, tree ferns, and ferns (gallery forests), to fern savannas with occasional trees such as the Araucaria-like conifer Brachyphyllum. The Morrison Formation has been a rich fossil hunting ground. The flora of the period has been revealed by fossils of green algae, fungi, mosses, horsetails, ferns, cycads, ginkgoes, and several families of conifers. Animal fossils discovered include bivalves, snails, ray-finned fishes, frogs, salamanders, turtles, sphenodonts, lizards, terrestrial and aquatic crocodylomorphs, several species of pterosaur, numerous dinosaur species, and early mammals such as docodonts, multituberculates, symmetrodonts, and triconodonts. Dinosaurs known from the Morrison include the theropods Ceratosaurus, Ornitholestes, Tanycolagreus, and Torvosaurus, the sauropods Haplocanthosaurus, Camarasaurus, Cathetosaurus, Brachiosaurus, Suuwassea, Apatosaurus, Brontosaurus, Barosaurus, Diplodocus, Supersaurus, Amphicoelias, and Maraapunisaurus, and the ornithischians Camptosaurus, Dryosaurus, and Stegosaurus. Allosaurus is commonly found at the same sites as Apatosaurus, Camarasaurus, Diplodocus, and Stegosaurus. The Late Jurassic formations of Portugal where Allosaurus is present are interpreted as having been similar to the Morrison, but with a stronger marine influence. Many of the dinosaurs of the Morrison Formation are the same genera as those seen in Portuguese rocks (mainly Allosaurus, Ceratosaurus, Torvosaurus, and Stegosaurus), or have a close counterpart (Brachiosaurus and Lusotitan, Camptosaurus and Draconyx). Allosaurus coexisted with fellow large theropods Ceratosaurus and Torvosaurus in both the United States and Portugal. The three appear to have had different ecological niches, based on anatomy and the location of fossils. Ceratosaurus and Torvosaurus may have preferred to be active around waterways, and had lower, thinner bodies that would have given them an advantage in forest and underbrush terrains, whereas Allosaurus was more compact, with longer legs, faster but less maneuverable, and seems to have preferred dry floodplains. Ceratosaurus, better known than Torvosaurus, differed noticeably from Allosaurus in functional anatomy by having a taller, narrower skull with large, broad teeth. Allosaurus was itself a potential food item to other carnivores, as illustrated by an Allosaurus pubic foot marked by the teeth of another theropod, probably Ceratosaurus or Torvosaurus. The location of the bone in the body (along the bottom margin of the torso and partially shielded by the legs), and the fact that it was among the most massive in the skeleton, indicates that the Allosaurus was being scavenged. A bone assemblage in the Upper Jurassic Mygatt-Moore Quarry preserves an unusually high occurrence of theropod bite marks, most of which can be attributed to Allosaurus and Ceratosaurus, while others could have been made by Saurophaganax or Torvosaurus given the size of the striations. While the position of the bite marks on the herbivorous dinosaurs is consistent with predation or early access to remains, bite marks found on Allosaurus material suggest scavenging, either from the other theropods or from another Allosaurus. The unusually high concentration of theropod bite marks compared to other assemblages could be explained either by a more complete utilization of resources during a dry season by theropods, or by a collecting bias in other localities. References External links Specimens, discussion, and references pertaining to Allosaurus fragilis at The Theropod Database Utah State Fossil, Allosaurus , from Pioneer: Utah's Online Library Restoration of MOR 693 ("Big Al") and muscle and organ restoration at Scott Hartman's Skeletal Drawing website List of the many possible Allosaurus species... Late Jurassic genus first appearances Late Jurassic genus extinctions Late Jurassic dinosaurs of Europe Jurassic Portugal Fossils of Portugal Lourinhã Formation Late Jurassic dinosaurs of North America Dinosaurs of the Morrison Formation Paleontology in Colorado Paleontology in Wyoming Paleontology in Utah Fossil taxa described in 1877 Taxa named by Othniel Charles Marsh Apex predators
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https://en.wikipedia.org/wiki/AK-47
AK-47
The AK-47, officially known as the Avtomat Kalashnikova (; also known as the Kalashnikov or just AK), is a gas-operated assault rifle that is chambered for the 7.62×39mm cartridge. Developed in the Soviet Union by Russian small-arms designer Mikhail Kalashnikov, it is the originating firearm of the Kalashnikov (or "AK") family of rifles. After more than seven decades since its creation, the AK-47 model and its variants remain one of the most popular and widely used firearms in the world. Design work on the AK-47 began in 1945. It was presented for official military trials in 1947, and, in 1948, the fixed-stock version was introduced into active service for selected units of the Soviet Army. In early 1949, the AK was officially accepted by the Soviet Armed Forces and used by the majority of the member states of the Warsaw Pact. The model and its variants owe their global popularity to their reliability under harsh conditions, low production cost (compared to contemporary weapons), availability in virtually every geographic region, and ease of use. The AK has been manufactured in many countries and has seen service with armed forces as well as irregular forces and insurgencies throughout the world. , "of the estimated 500 million firearms worldwide, approximately 100 million belong to the Kalashnikov family, three-quarters of which are AK-47s". The model is the basis for the development of many other types of individual, crew-served, and specialized firearms. History Origins During World War II, the Sturmgewehr 44 rifle used by German forces made a deep impression on their Soviet counterparts. The select-fire rifle was chambered for a new intermediate cartridge, the 7.92×33mm Kurz, and combined the firepower of a submachine gun with the range and accuracy of a rifle. On 15 July 1943, an earlier model of the Sturmgewehr was demonstrated before the People's Commissariat of Arms of the USSR. The Soviets were impressed with the weapon and immediately set about developing an intermediate caliber fully automatic rifle of their own, to replace the PPSh-41 submachine guns and outdated Mosin–Nagant bolt-action rifles that armed most of the Soviet Army. The Soviets soon developed the 7.62×39mm M43 cartridge, used in the semi-automatic SKS carbine and the RPD light machine gun. Shortly after World War II, the Soviets developed the AK-47 rifle, which quickly replaced the SKS in Soviet service. Introduced in 1959, the AKM is a lighter stamped steel version and the most ubiquitous variant of the entire AK series of firearms. In the 1960s, the Soviets introduced the RPK light machine gun, an AK-type weapon with a stronger receiver, a longer heavy barrel, and a bipod, that eventually replaced the RPD light machine gun. Concept Mikhail Kalashnikov began his career as a weapon designer in 1941 while recuperating from a shoulder wound that he received during the Battle of Bryansk. Kalashnikov himself stated..."I was in the hospital, and a soldier in the bed beside me asked: 'Why do our soldiers have only one rifle for two or three of our men when the Germans have automatics?' So I designed one. I was a soldier, and I created a machine gun for a soldier. It was called an Avtomat Kalashnikova, the automatic weapon of Kalashnikov—AK—and it carried the year of its first manufacture, 1947." The AK-47 is best described as a hybrid of previous rifle technology innovations. "Kalashnikov decided to design an automatic rifle combining the best features of the American M1 Garand and the German StG 44." Kalashnikov's team had access to these weapons and did not need to "reinvent the wheel". Kalashnikov himself observed: "A lot of Russian Army soldiers ask me how one can become a constructor, and how new weaponry is designed. These are very difficult questions. Each designer seems to have his own paths, his own successes and failures. But one thing is clear: before attempting to create something new, it is vital to have a good appreciation of everything that already exists in this field. I myself have had many experiences confirming this to be so." Some claimed that Kalashnikov copied designs like Bulkin's TKB-415 or Simonov's AVS-31. Early designs Kalashnikov started work on a submachine gun design in 1942 and light machine gun design in 1943. Early in 1944, Kalashnikov was given some 7.62×39mm M43 cartridges and informed that other designers were working on weapons for this new Soviet small-arms cartridge. It was suggested that a new weapon might well lead to greater things. He then undertook work on the new rifle. In 1944, he entered a design competition with this new 7.62×39mm, semi-automatic, gas-operated, long-stroke piston carbine, strongly influenced by the American M1 Garand. The new rifle was in the same class as the SKS-45 carbine, with a fixed magazine and gas tube above the barrel. However, the new Kalashnikov design lost out to a Simonov design. In 1946, a new design competition was initiated to develop a new rifle. Kalashnikov submitted a gas-operated rifle with a short-stroke gas piston above the barrel, a breechblock mechanism similar to his 1944 carbine, and a curved 30-round magazine. Kalashnikov's rifles, the AK-1 (with a milled receiver) and AK-2 (with a stamped receiver) proved to be reliable weapons and were accepted to a second round of competition along with other designs. These prototypes (also known as the AK-46) had a rotary bolt, a two-part receiver with separate trigger unit housing, dual controls (separate safety and fire selector switches), and a non-reciprocating charging handle located on the left side of the weapon. This design had many similarities to the StG 44. In late 1946, as the rifles were being tested, one of Kalashnikov's assistants, Aleksandr Zaitsev, suggested a major redesign to improve reliability. At first, Kalashnikov was reluctant, given that their rifle had already fared better than its competitors. Eventually, however, Zaitsev managed to persuade Kalashnikov. In November 1947, the new prototypes (AK-47s) were completed. The rifle used a long-stroke gas piston above the barrel. The upper and lower receivers were combined into a single receiver. The selector and safety were combined into a single control lever/dust cover on the right side of the rifle. And, the bolt handle was simply attached to the bolt carrier. This simplified the design and production of the rifle. The first army trial series began in early 1948. The new rifle proved to be reliable under a wide range of conditions and possessed convenient handling characteristics. In 1949, it was adopted by the Soviet Army as the "7.62 mm Kalashnikov rifle (AK)". Further development There were many difficulties during the initial phase of production. The first production models had stamped sheet metal receivers with a milled trunnion and butt stock insert and a stamped body. Difficulties were encountered in welding the guide and ejector rails, causing high rejection rates. Instead of halting production, a heavy machined receiver was substituted for the sheet metal receiver. Even though production of these milled rifles started in 1951, they were officially referred to as AK-49, based on the date their development started, but they are widely known in the collectors' and current commercial market as "Type 2 AK-47". This was a more costly process, but the use of machined receivers accelerated production as tooling and labor for the earlier Mosin–Nagant rifle's machined receiver were easily adapted. Partly because of these problems, the Soviets were not able to distribute large numbers of the new rifles to soldiers until 1956. During this time, production of the interim SKS rifle continued. Once the manufacturing difficulties of non-milled receivers had been overcome, a redesigned version designated the AKM (M for "modernized" or "upgraded"; in Russian: []) was introduced in 1959. This new model used a stamped sheet metal receiver and featured a slanted muzzle brake on the end of the barrel to compensate for muzzle rise under recoil. In addition, a hammer retarder was added to prevent the weapon from firing out of battery (without the bolt being fully closed), during rapid or fully automatic fire. This is also sometimes referred to as a "cyclic rate reducer", or simply "rate reducer", as it also has the effect of reducing the number of rounds fired per minute during fully automatic fire. The rifle was also roughly one-third lighter than the previous model. Most licensed and unlicensed productions of the Kalashnikov assault rifle abroad were of the AKM variant, partially due to the much easier production of the stamped receiver. This model is the most commonly encountered, having been produced in much greater quantities. All rifles based on the Kalashnikov design are often colloquially referred to as "AK-47s" in the West and some parts of Asia, although this is only correct when applied to rifles based on the original three receiver types. In most former Eastern Bloc countries, the weapon is known simply as the "Kalashnikov" or "AK". The differences between the milled and stamped receivers includes the use of rivets rather than welds on the stamped receiver, as well as the placement of a small dimple above the magazine well for stabilization of the magazine. Replacement In 1974, the Soviets began replacing their AK-47 and AKM rifles with a newer design, the AK-74, which uses 5.45×39mm ammunition. This new rifle and cartridge had only started to be manufactured in Eastern European nations when the Soviet Union collapsed, drastically slowing the production of the AK-74 and other weapons of the former Soviet bloc. Design The AK-47 was designed to be a simple, reliable fully automatic rifle that could be manufactured quickly and cheaply, using mass production methods that were state of the art in the Soviet Union during the late 1940s. The AK-47 uses a long-stroke gas system generally associated with high reliability in adverse conditions. The large gas piston, generous clearance between moving parts, and tapered cartridge case design allow the gun to endure large amounts of foreign matter and fouling without failing to cycle. Cartridge The AK fires the 7.62×39mm cartridge with a muzzle velocity of . The cartridge weight is , and the projectile weight is . The original Soviet M43 bullets are 123-grain boat-tail bullets with a copper-plated steel jacket, a large steel core, and some lead between the core and the jacket. The AK has excellent penetration when shooting through heavy foliage, walls, or a common vehicle's metal body and into an opponent attempting to use these things as cover. The 7.62×39mm M43 projectile does not generally fragment when striking an opponent and has an unusual tendency to remain intact even after making contact with bone. The 7.62×39mm round produces significant wounding in cases where the bullet tumbles (yaws) in tissue, but produces relatively minor wounds in cases where the bullet exits before beginning to yaw. In the absence of yaw, the M43 round can pencil through tissue with relatively little injury. Most, if not all, of the 7.62×39mm ammunition found today is of the upgraded M67 variety. This variety deleted the steel insert, shifting the center of gravity rearward, and allowing the projectile to destabilize (or yaw) at about , nearly earlier in tissue than the M43 round. This change also reduces penetration in ballistic gelatin to ~ for the newer M67 round versus ~ for the older M43 round. However, the wounding potential of M67 is mostly limited to the small permanent wound channel the bullet itself makes, especially when the bullet yaws. Operating mechanism To fire, the operator inserts a loaded magazine, pulls back and releases the charging handle, and then pulls the trigger. In semi-automatic, the firearm fires only once, requiring the trigger to be released and depressed again for the next shot. In fully automatic, the rifle continues to fire automatically cycling fresh rounds into the chamber until the magazine is exhausted or pressure is released from the trigger. After ignition of the cartridge primer and propellant, rapidly expanding propellant gases are diverted into the gas cylinder above the barrel through a vent near the muzzle. The build-up of gases inside the gas cylinder drives the long-stroke piston and bolt carrier rearward and a cam guide machined into the underside of the bolt carrier, along with an ejector spur on the bolt carrier rail guide, rotates the bolt approximately 35° and unlocks it from the barrel extension via a camming pin on the bolt. The moving assembly has about of free travel, which creates a delay between the initial recoil impulse of the piston and the bolt unlocking sequence, allowing gas pressures to drop to a safe level before the seal between the chamber and the bolt is broken. The AK-47 does not have a gas valve; excess gases are ventilated through a series of radial ports in the gas cylinder. Unlike many other rifle platforms, such as the AR-15 platform, the Kalashnikov platform bolt locking lugs are chamfered allowing for primary extraction upon bolt rotation which aids reliable feeding and extraction, albeit not with that much force due to the short distance the bolt carrier travels before acting on the locking lug. The Kalashnikov platform then uses an extractor claw to eject the spent cartridge case. Barrel The rifle received a barrel with a chrome-lined bore and four right-hand grooves at a 240 mm (1 in 9.45 in) or 31.5 calibers rifling twist rate. The gas block contains a gas channel that is installed at a slanted angle with the bore axis. The muzzle is threaded for the installation of various muzzle devices such as a muzzle brake or a blank-firing adaptor. Gas block The gas block of the AK-47 features a cleaning rod capture or sling loop. Gas relief ports that alleviate gas pressure are placed horizontally in a row on the gas cylinder. Fire selector The fire selector is a large lever located on the right side of the rifle; it acts as a dust cover and prevents the charging handle from being pulled fully to the rear when it is on safe. It is operated by the shooter's right fore-fingers and has three settings: safe (up), full-auto (center), and semi-auto (down). The reason for this is that a soldier under stress will push the selector lever down with considerable force, bypassing the full-auto stage and setting the rifle to semi-auto. To set the AK-47 to full-auto requires the deliberate action of centering the selector lever. To operate the fire selector lever, right-handed shooters have to briefly remove their right hand from the pistol grip, which is ergonomically sub-optimal. Some AK-type rifles also have a more traditional selector lever on the left side of the receiver, just above the pistol grip. This lever is operated by the shooter's right thumb and has three settings: safe (forward), full-auto (center), and semi-auto (backward). Sights The AK-47 uses a notched rear tangent iron sight calibrated in increments from . The front sight is a post adjustable for elevation in the field. Horizontal adjustment requires a special drift tool and is done by the armory before the issue or if the need arises by an armorer after the issue. The sight line elements are approximately over the bore axis. The "point-blank range" battle zero setting "П" standing for постоянная (constant) on the 7.62×39mm AK-47 rear tangent sight element corresponds to a zero. These settings mirror the Mosin–Nagant and SKS rifles, which the AK-47 replaced. For the AK-47 combined with service cartridges, the 300 m battle zero setting limits the apparent "bullet rise" within approximately relative to the line of sight. Soldiers are instructed to fire at any target within this range by simply placing the sights on the center of mass (the belt buckle, according to Russian and former Soviet doctrine) of the enemy target. Any errors in range estimation are tactically irrelevant, as a well-aimed shot will hit the torso of the enemy soldier. Some AK-type rifles have a front sight with a flip-up luminous dot that is calibrated at , for improved night fighting. Furniture The AK-47 was originally equipped with a buttstock, handguard, and an upper heat guard made from solid wood. With the introduction of the Type 3 receiver the buttstock, lower handguard, and upper heat guard were manufactured from birch plywood laminates. Such engineered woods are stronger and resist warping better than the conventional one-piece patterns, do not require lengthy maturing, and are cheaper. The wooden furniture was finished with the Russian amber shellac finishing process. AKS and AKMS models featured a downward-folding metal butt-stock similar to that of the German MP40 submachine-gun, for use in the restricted space in the BMP infantry combat vehicle, as well as by paratroops. All 100 series AKs use plastic furniture with side-folding stocks. Magazines The standard magazine capacity is 30 rounds. There are also 10, 20, and 40-round box magazines, as well as 75-round drum magazines. The AK-47's standard 30-round magazines have a pronounced curve that allows them to smoothly feed ammunition into the chamber. Their heavy steel construction combined with "feed-lips" (the surfaces at the top of the magazine that control the angle at which the cartridge enters the chamber) machined from a single steel billet makes them highly resistant to damage. These magazines are so strong that "Soldiers have been known to use their mags as hammers, and even bottle openers". This contributes to the AK-47 magazine being more reliable but makes it heavier than U.S. and NATO magazines. The early slab-sided steel AK-47 30-round detachable box magazines had sheet-metal bodies and weighed empty. The later steel AKM 30-round magazines had lighter sheet-metal bodies with prominent reinforcing ribs weighing empty. To further reduce weight, a lightweight magazine with an aluminum body with a prominent reinforcing waffle rib pattern weighing empty was developed for the AKM that proved to be too fragile, and the small issued amount of these magazines were quickly withdrawn from service. As a replacement steel-reinforced 30-round plastic 7.62×39mm box magazines were introduced. These rust-colored magazines weigh empty and are often mistakenly identified as being made of Bakelite (a phenolic resin), but were fabricated from two parts of AG-S4 molding compound (a glass-reinforced phenol-formaldehyde binder impregnated composite), assembled using an epoxy resin adhesive. Noted for their durability, these magazines did however compromise the rifle's camouflage and lacked the small horizontal reinforcing ribs running down both sides of the magazine body near the front that were added on all later plastic magazine generations. A second-generation steel-reinforced dark-brown (color shades vary from maroon to plum to near black) 30-round 7.62×39mm magazine was introduced in the early 1980s, fabricated from ABS plastic. The third generation steel-reinforced 30-round 7.62×39mm magazine is similar to the second generation, but is darker colored and has a matte non-reflective surface finish. The current issue is a steel-reinforced matte true black non- reflective surface finished 7.62×39mm 30-round magazine, fabricated from ABS plastic weighing empty. Early steel AK-47 magazines are long; the later ribbed steel AKM and newer plastic 7.62×39mm magazines are about shorter. The transition from steel to mainly plastic magazines yields a significant weight reduction and allows a soldier to carry more ammunition for the same weight. All 7.62×39mm AK magazines are backward compatible with older AK variants. 10.12 kg (22.3 lb) is the maximum amount of ammo that the average soldier can comfortably carry. It also allows for the best comparison of the three most common 7.62×39mm AK magazines. Most Yugoslavian and some East German AK magazines were made with cartridge followers that hold the bolt open when empty; however, most AK magazine followers allow the bolt to close when the magazine is empty. Accessories Accessories supplied with the rifle include a long 6H3 bayonet featuring a long spear point blade. The AK-47 bayonet is installed by slipping the diameter muzzle ring around the muzzle and latching the handle down on the bayonet lug under the front sight base. All current model AKM rifles can mount under-barrel 40 mm grenade launchers such as the GP-25 and its variants, which can fire up to 20 rounds per minute and have an effective range of up to 400 meters. The main grenade is the VOG-25 (VOG-25M) fragmentation grenade which has a 6 m (9 m) (20 ft (30 ft)) lethality radius. The VOG-25P/VOG-25PM ("jumping") variant explodes above the ground. The AK-47 can also mount a (rarely used) cup-type grenade launcher, the Kalashnikov grenade launcher that fires standard RGD-5 Soviet hand grenades. The maximum effective range is approximately 150 meters. This launcher can also be used to launch tear gas and riot control grenades. All current AKs (100 series) and some older models have side rails for mounting a variety of scopes and sighting devices, such as the PSO-1 Optical Sniper Sight. The side rails allow for the removal and remounting of optical accessories without interfering with the zeroing of the optic. However, the 100 series side folding stocks cannot be folded with the optics mounted. Characteristics Service life The AK-47 and its variants have been and are made in dozens of countries, with "quality ranging from finely engineered weapons to pieces of questionable workmanship." As a result, the AK-47 has a service/system life of approximately 6,000, to 10,000, to 15,000 rounds. The AK-47 was designed to be a cheap, simple, easy-to-manufacture rifle, perfectly matching Soviet military doctrine that treats equipment and weapons as disposable items. As units are often deployed without adequate logistical support and dependent on "battlefield cannibalization" for resupply, it is more cost-effective to replace rather than repair weapons. The AK-47 has small parts and springs that need to be replaced every few thousand rounds. However, "Every time it is disassembled beyond the field stripping stage, it will take some time for some parts to regain their fit, and some parts may tend to shake loose and fall out when firing the weapon. Some parts of the AK-47 line are riveted together. Repairing these can be quite a hassle since the end of the rivet has to be ground off and a new one set after the part is replaced." Variants Early variants (7.62×39mm) Issue of 1948/49: Type 1: The very earliest models, stamped sheet metal receivers, are now very rare. Issue of 1951: Type 2: Has a milled receiver. The barrel and chamber are chrome-plated to resist corrosion. Issue of 1954/55: Type 3: Lightened, milled receiver variant. Rifle weight is . AKS (AKS-47): Type 1, 2, or 3 receivers: Featured a downward-folding metal stock similar to that of the MP 40 produced in Nazi Germany, for use in the restricted space in the BMP infantry combat vehicle, as well as by paratroops. AKN (AKSN): Night scope rail. Modernized (7.62×39mm) AKM: A simplified, lighter version of the AK-47; the Type 4 receiver is made from stamped and riveted sheet metal. A slanted muzzle device was added to counterclimb in automatic fire. The rifle weight is due to the lighter receiver. This is the most ubiquitous variant of the AK-47. AKMS: Under-folding stock version of the AKM intended for airborne troops. AKMN (AKMSN): Night scope rail. AKML (AKMSL): Slotted flash suppressor and night scope rail. RPK: Hand-held machine gun version with longer barrel and bipod. The variants—RPKS, RPKN (RPKSN), RPKL (RPKSL)—mirror AKM variants. The "S" variants have a side-folding wooden stock. Foreign Variants (7.62×39mm) Type 56: Chinese assault rifle based on the . Still in production primarily for export markets. For the further developed AK models, see Kalashnikov rifles. Production Manufacturing countries of AK-47 and its variants in alphabetical order. A private company Kalashnikov Concern (formerly Izhmash) from Russia has repeatedly claimed that the majority of foreign manufacturers are producing AK-type rifles without proper licensing. Accuracy potential US military method The AK-47's accuracy is generally sufficient to hit an adult male torso out to about , though even experts firing from prone or bench rest positions at this range were observed to have difficulty placing ten consecutive rounds on target. Later designs did not significantly improve the rifle's accuracy. An AK can fire a 10-shot group of at , and at The newer stamped-steel receiver AKM models, while more rugged and less prone to metal fatigue, are less accurate than the forged/milled receivers of their predecessors: the milled AK-47s are capable of shooting groups at , whereas the stamped AKMs are capable of shooting groups at . The best shooters can hit a man-sized target at within five shots (firing from a prone or bench rest position) or ten shots (standing). The single-shot hit-probability on the NATO E-type Silhouette Target (a human upper body half and head silhouette) of the AK-47 and the later developed AK-74, M16A1, and M16A2 rifles were measured by the US military under ideal proving ground conditions in the 1980s as follows: Under worst field exercise circumstances, the hit probabilities for all the tested rifles were drastically reduced, from 34% at 50m down to 3–4% at 600m with no significant differences between weapons at each range. Russian method The following table represents the Russian circular error probable method for determining accuracy, which involves drawing two circles on the target, one for the maximum vertical dispersion of hits and one for the maximum horizontal dispersion of hits. They then disregard the hits on the outer part of the target and only count half of the hits (50% or R50) on the inner part of the circles. This significantly reduces the overall diameter of the groups. They then use both the vertical and horizontal measurements of the reduced groups to measure accuracy. When the R50 results are doubled, the hit probability increases to 93.7%. R50 means the closest 50 percent of the shot group will all be within a circle of the mentioned diameter. The vertical and horizontal mean (R50) deviations with service ammunition at for AK platforms are. Users : Type 56 variant. : Used by pro-Russian separatists : EKAM: The counter-terrorist unit of the Hellenic Police. : Used by pro-Russian separatists : Type 58 variant. – Locally made as well as being in service with the Army Used by Thahan Phran Former users : MPi-K (AK-47) and MPi-KM (AKM). : Replaced by the AKM in 1959 and the AK-74 in 1974. : Replaced by the AKM and AK-74. : Captured from PAVN and Vietcong Illicit trade Throughout the world, the AK and its variants are commonly used by governments, revolutionaries, terrorists, criminals, and civilians alike. In some countries, such as Somalia, Rwanda, Mozambique, Congo, and Tanzania, the prices for Black Market AKs are between $30 and $125 per weapon and prices have fallen in the last few decades due to mass counterfeiting. In Kenya, "an AK-47 fetches five head of cattle (about 10,000 Kenya shillings or 100 U.S. dollars) when offered for barter, but costs almost half that price when cash is paid". There are places around the world where AK-type weapons can be purchased on the black market "for as little as $6, or traded for a chicken or a sack of grain". The AK-47 has also spawned a cottage industry of sorts and has been copied and manufactured (one gun at a time) in small shops around the world (see Khyber Pass Copy). The estimated numbers of AK-type weapons vary greatly. The Small Arms Survey suggests that "between 70 and 100 million of these weapons have been produced since 1947". The World Bank estimates that out of the 500 million total firearms available worldwide, 100 million are of the Kalashnikov family, and 75 million are AK-47s. Because AK-type weapons have been made in many countries, often illicitly, it is impossible to know how many exist. Conflicts The AK-47 has been used in the following conflicts: 1950s Hungarian Revolution (1956) Vietnam War (1955–1975) Laotian Civil War (1959–1975) 1960s Congo Crisis (1960–1965) Portuguese Colonial War (1961–1974) Rhodesian Bush War (1964–1979) The Troubles (late 1960s–1998) Communist insurgency in Thailand (1965–1983) South African Border War (1966–1990) India-China clashes (1967) Cambodian Civil War (1968–1975) Communist insurgency in Malaysia (1968–1989) 1970s Yom Kippur War (1973) Ethiopian Civil War (1974–1991) Western Sahara War (1975–1991) Cambodian–Vietnamese War (1978–1989) Chadian–Libyan War (1978–1987) Soviet–Afghan War (1979–1989) 1980s Iran–Iraq War (1980–1988) Insurgency in Jammu and Kashmir (1988–present) Sri Lankan Civil War (1983–2009) United States invasion of Grenada (1983) Lord's Resistance Army insurgency (1987–present) 1990s Tuareg rebellion (1990–1995) Gulf War (1990–1991) Somali Civil War (1991–present) Yugoslav Wars (1991–2001) Burundian Civil War (1993–2005) Republic of the Congo Civil War (1997–1999) Kargil War (1999) 2000s War in Afghanistan (2001–2021) Iraq War (2003–2011) South Thailand insurgency (2004–present) Mexican drug war (2006–present) 2010s Libyan Civil War (2011) Syrian civil war (2011–present) Iraqi insurgency (2011–2013) Central African Republic Civil War (2012–present) Russo-Ukrainian War (2014–present) 2020s Second Nagorno-Karabakh War (2020) Tigray War (2020–2022) Russian invasion of Ukraine (2022–present) Cultural influence and impact During the Cold War, the Soviet Union and the People's Republic of China, as well as United States and other NATO nations supplied arms and technical knowledge to numerous countries and rebel forces around the world. During this time the Western countries used relatively expensive automatic rifles, such as the FN FAL, the HK G3, the M14, and the M16. In contrast, the Russians and Chinese used the AK-47; its low production cost and ease of manufacture allow them to make AKs in vast numbers. In the pro-communist states, the AK-47 became a symbol of the Third World revolution. They were utilized in the Cambodian Civil War and the Cambodian–Vietnamese War. During the 1980s, the Soviet Union became the principal arms dealer to countries embargoed by Western nations, including Middle Eastern nations such as Libya and Syria, which welcomed Soviet Union backing against Israel. After the fall of the Soviet Union, AK-47s were sold both openly and on the black market to any group with cash, including drug cartels and dictatorial states, and more recently they have been seen in the hands of Islamic groups such as Al-Qaeda, ISIL, and the Taliban in Afghanistan and Iraq, and FARC, Ejército de Liberación Nacional guerrillas in Colombia. In Russia, the Kalashnikov is a tremendous source of national pride. "The family of the inventor of the world's most famous rifle, Mikhail Kalashnikov, has authorized German engineering company MMI to use the well-known Kalashnikov name on a variety of not-so-deadly goods." In recent years, Kalashnikov Vodka has been marketed with souvenir bottles in the shape of the AK-47 Kalashnikov. There are also Kalashnikov watches, umbrellas, and knives. The Kalashnikov Museum (also called the AK-47 museum) opened on 4 November 2004 in Izhevsk, Udmurt Republic. This city is in the Ural Region of Russia. The museum chronicles the biography of General Kalashnikov and documents the invention of the AK-47. The museum complex of Kalashnikov's small arms, a series of halls, and multimedia exhibitions are devoted to the evolution of the AK-47 rifle and attracts 10,000 monthly visitors. Nadezhda Vechtomova, the museum director, stated in an interview that the purpose of the museum is to honor the ingenuity of the inventor and the hard work of the employees and to "separate the weapon as a weapon of murder from the people who are producing it and to tell its history in our country". On 19 September 2017 a monument of Kalashnikov was unveiled in central Moscow. A protester, later detained by police, attempted to unfurl a banner reading "a creator of weapons is a creator of death". The proliferation of this weapon is reflected by more than just numbers. The AK-47 is included on the flag of Mozambique and its emblem, an acknowledgment that the country gained its independence in large part through the effective use of their AK-47s. It is also found in the coats of arms of East Timor, Zimbabwe and the revolution era Burkina Faso, as well as in the flags of Hezbollah, Syrian Resistance, FARC-EP, the New People's Army, TKP/TIKKO and the International Revolutionary People's Guerrilla Forces. U.S. and Western Europe countries frequently associate the AK-47 with their enemies; both Cold War era and present-day. For example, Western works of fiction (movies, television, novels, video games) often portray criminals, gang members, insurgents, and terrorists using AK-47s as the weapon of choice. Conversely, throughout the developing world, the AK-47 can be positively attributed with revolutionaries against foreign occupation, imperialism, or colonialism. In Ireland the AK-47 is associated with The Troubles due to its extensive use by republican paramilitaries during this period. In 2013, a decommissioned AK-47 was included in the A History of Ireland in 100 Objects collection. The AK-47 made an appearance in U.S. popular culture as a recurring focus in the Nicolas Cage film Lord of War (2005). Numerous monologues in the movie focus on the weapon, and its effects on global conflict and the gun running market. In Iraq and Afghanistan, private military company contractors from the U.K. and other countries used the AK-47 and its variants along with Western firearms such as the AR-15. In 2006, the Colombian musician and peace activist César López devised the escopetarra, an AK converted into a guitar. One sold for US$17,000 in a fundraiser held to benefit the victims of anti-personnel mines, while another was exhibited at the United Nations' Conference on Disarmament. In Mexico, the AK-47 is known as "Cuerno de Chivo" (literally "Goat's Horn") because of its curved magazine design. It is one of the weapons of choice of Mexican drug cartels. It is sometimes mentioned in Mexican folk music lyrics. Gallery See also Comparison of the AK-47 and M16 AK-12 PK machine gun Draco Notes References Bibliography Further reading Ружье. Оружие и амуниция, 1999/3, pp. 18–21 has an article about the AK-47 prototypes. An article rejecting some of the alternative theories as to the authorship of the AK-47. An article comparing the internals of the StG 44 and AK-47. Transcription of the commission report on the testing round from the summer of 1947; no winner was selected at this point, but the commission held Kalashnikov's, Dementiev's and Bulkin's designs as most closely satisfying TTT number 3131. Report/letter on the final round of testing, 27 December 1947, declaring Kalashnikov's design the winner. Articles on the 1948 military trials. External links US Army Operator's Manual for the AK-47 Assault Rifle & Weapons and ammunition introduced in 1947 7.62×39mm assault rifles Infantry weapons of the Cold War Rifles of the Cold War Kalashnikov derivatives Assault rifles of the Soviet Union Kalashnikov Concern products
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https://en.wikipedia.org/wiki/Andes
Andes
The Andes ( ), Andes Mountains or Andean Mountain Range (; ) are the longest continental mountain range in the world, forming a continuous highland along the western edge of South America. The range is long, wide (widest between 18°S – 20°S latitude), and has an average height of about . The Andes extend from north to south through seven South American countries: Venezuela, Colombia, Ecuador, Peru, Bolivia, Chile and Argentina. Along their length, the Andes are split into several ranges, separated by intermediate depressions. The Andes are the location of several high plateaus—some of which host major cities such as Quito, Bogotá, Cali, Arequipa, Medellín, Bucaramanga, Sucre, Mérida, El Alto and La Paz. The Altiplano Plateau is the world's second-highest after the Tibetan Plateau. These ranges are in turn grouped into three major divisions based on climate: the Tropical Andes, the Dry Andes, and the Wet Andes. The Andes Mountains are the highest mountain range outside Asia. The highest mountain outside Asia, Argentina's Aconcagua, rises to an elevation of about above sea level. The peak of Chimborazo in the Ecuadorian Andes is farther from the Earth's center than any other location on the Earth's surface, due to the equatorial bulge resulting from the Earth's rotation. The world's highest volcanoes are in the Andes, including Ojos del Salado on the Chile-Argentina border, which rises to . The Andes are also part of the American Cordillera, a chain of mountain ranges (cordillera) that consists of an almost continuous sequence of mountain ranges that form the western "backbone" of the Americas and Antarctica. Etymology The etymology of the word Andes has been debated. The majority consensus is that it derives from the Quechua word 'east' as in Antisuyu (Quechua for 'east region'), one of the four regions of the Inca Empire. The term cordillera comes from the Spanish word cordel 'rope' and is used as a descriptive name for several contiguous sections of the Andes, as well as the entire Andean range, and the combined mountain chain along the western part of the North and South American continents. Geography The Andes can be divided into three sections: The Southern Andes in Argentina and Chile, south of Llullaillaco. The Central Andes in Peru and Bolivia. The Northern Andes in Venezuela, Colombia, and Ecuador. In the northern part of the Andes, the separate Sierra Nevada de Santa Marta range is often treated as part of the Northern Andes. The Leeward Antilles islands Aruba, Bonaire, and Curaçao, which lie in the Caribbean Sea off the coast of Venezuela, were formerly thought to represent the submerged peaks of the extreme northern edge of the Andes range, but ongoing geological studies indicate that such a simplification does not do justice to the complex tectonic boundary between the South American and Caribbean plates. Geology The Andes are a Mesozoic–Tertiary orogenic belt of mountains along the Pacific Ring of Fire, a zone of volcanic activity that encompasses the Pacific rim of the Americas as well as the Asia-Pacific region. The Andes are the result of tectonic plate processes, caused by the subduction of oceanic crust beneath the South American Plate as the Nazca Plate and South American Plate converge. These processes were accelerated by the effects of climate. As the uplift of the Andes created a rain shadow on the western fringes of Chile, ocean currents and prevailing winds carried moisture away from the Chilean coast. This caused some areas of the subduction zone to be sediment starved, causing excess friction and an increased rate of compressed coastal uplift. The main cause of the rise of the Andes is the compression of the western rim of the South American Plate due to the subduction of the Nazca Plate and the Antarctic Plate. To the east, the Andes range is bounded by several sedimentary basins, such as Orinoco, Amazon Basin, Madre de Dios and Gran Chaco, that separate the Andes from the ancient cratons in eastern South America. In the south, the Andes share a long boundary with the former Patagonia Terrane. To the west, the Andes end at the Pacific Ocean, although the Peru-Chile trench can be considered their ultimate western limit. From a geographical approach, the Andes are considered to have their western boundaries marked by the appearance of coastal lowlands and less rugged topography. The Andes Mountains also contain large quantities of iron ore located in many mountains within the range. The Andean orogen has a series of bends or oroclines. The Bolivian Orocline is a seaward concave bending in the coast of South America and the Andes Mountains at about 18° S. At this point, the orientation of the Andes turns from Northwest in Peru to South in Chile and Argentina. The Andean segment north and south of the Orocline have been rotated 15° to 20° counter-clockwise and clockwise respectively. The Bolivian Orocline area overlaps with the area of the maximum width of the Altiplano Plateau and according to Isacks (1988) the Orocline is related to crustal shortening. The specific point at 18° S where the coastline bends is known as the "Arica Elbow". Further south lies the Maipo Orocline a more subtle Orocline between 30° S and 38°S with a seaward-concave break in trend at 33° S. Near the southern tip of the Andes lies the Patagonian Orocline. Orogeny The western rim of the South American Plate has been the place of several pre-Andean orogenies since at least the late Proterozoic and early Paleozoic, when several terranes and microcontinents collided and amalgamated with the ancient cratons of eastern South America, by then the South American part of Gondwana. The formation of the modern Andes began with the events of the Triassic when Pangaea began the break up that resulted in developing several rifts. The development continued through the Jurassic Period. It was during the Cretaceous Period that the Andes began to take their present form, by the uplifting, faulting and folding of sedimentary and metamorphic rocks of the ancient cratons to the east. The rise of the Andes has not been constant, as different regions have had different degrees of tectonic stress, uplift, and erosion. Tectonic forces above the subduction zone along the entire west coast of South America where the Nazca Plate and a part of the Antarctic Plate are sliding beneath the South American Plate continue to produce an ongoing orogenic event resulting in minor to major earthquakes and volcanic eruptions to this day. In the extreme south, a major transform fault separates Tierra del Fuego from the small Scotia Plate. Across the wide Drake Passage lie the mountains of the Antarctic Peninsula south of the Scotia Plate which appear to be a continuation of the Andes chain. The far east regions of the Andes experience a series of changes resulting from the Andean orogeny. Parts of the Sunsás Orogen in Amazonian craton disappeared from the surface of the earth being overridden by the Andes. The Sierras de Córdoba, where the effects of the ancient Pampean orogeny can be observed, owe their modern uplift and relief to the Andean orogeny in the Tertiary. Further south in southern Patagonia the onset of the Andean orogeny caused the Magallanes Basin to evolve from being an extensional back-arc basin in the Mesozoic to being a compressional foreland basin in the Cenozoic. Volcanism The Andes range has many active volcanoes distributed in four volcanic zones separated by areas of inactivity. The Andean volcanism is a result of the subduction of the Nazca Plate and Antarctic Plate underneath the South American Plate. The belt is subdivided into four main volcanic zones that are separated from each other by volcanic gaps. The volcanoes of the belt are diverse in terms of activity style, products and morphology. While some differences can be explained by which volcanic zone a volcano belongs to, there are significant differences inside volcanic zones and even between neighbouring volcanoes. Despite being a typical location for calc-alkalic and subduction volcanism, the Andean Volcanic Belt has a large range of volcano-tectonic settings, such as rift systems and extensional zones, transpressional faults, subduction of mid-ocean ridges and seamount chains apart from a large range of crustal thicknesses and magma ascent paths, and different amount of crustal assimilations. Ore deposits and evaporates The Andes Mountains host large ore and salt deposits and some of their eastern fold and thrust belts act as traps for commercially exploitable amounts of hydrocarbons. In the forelands of the Atacama Desert some of the largest porphyry copper mineralizations occur making Chile and Peru the first- and second-largest exporters of copper in the world. Porphyry copper in the western slopes of the Andes has been generated by hydrothermal fluids (mostly water) during the cooling of plutons or volcanic systems. The porphyry mineralization further benefited from the dry climate that let them largely out of the disturbing actions of meteoric water. The dry climate in the central western Andes has also led to the creation of extensive saltpeter deposits which were extensively mined until the invention of synthetic nitrates. Yet another result of the dry climate are the salars of Atacama and Uyuni, the former being the largest source of lithium today and the latter the world's largest reserve of the element. Early Mesozoic and Neogene plutonism in Bolivia's Cordillera Central created the Bolivian tin belt as well as the famous, now mostly depleted, deposits of Cerro Rico de Potosí. History The Andes Mountains, initially inhabited by hunter-gatherers, experienced the development of agriculture and the rise of politically centralised civilizations, which culminated in the establishment of the century-long Inca Empire. This all changed in the 16th century, when the Spanish conquistadors colonized the mountains in advance of the mining economy. In the tide of anti-imperialist nationalism, the Andes became the scene of a series of independence wars in the 19th century when rebel forces swept through the region to overthrow Spanish colonial rule. Since then, many former Spanish territories have become five independent Andean states. Climate and hydrology The climate in the Andes varies greatly depending on latitude, altitude, and proximity to the sea. Temperature, atmospheric pressure and humidity decrease in higher elevations. The southern section is rainy and cool, the central section is dry. The northern Andes are typically rainy and warm, with an average temperature of in Colombia. The climate is known to change drastically in rather short distances. Rainforests exist just kilometres away from the snow-covered peak of Cotopaxi. The mountains have a large effect on the temperatures of nearby areas. The snow line depends on the location. It is at between in the tropical Ecuadorian, Colombian, Venezuelan, and northern Peruvian Andes, rising to in the drier mountains of southern Peru south to northern Chile south to about 30°S before descending to on Aconcagua at 32°S, at 40°S, at 50°S, and only in Tierra del Fuego at 55°S; from 50°S, several of the larger glaciers descend to sea level. The Andes of Chile and Argentina can be divided into two climatic and glaciological zones: the Dry Andes and the Wet Andes. Since the Dry Andes extend from the latitudes of the Atacama Desert to the area of the Maule River, precipitation is more sporadic and there are strong temperature oscillations. The line of equilibrium may shift drastically over short periods of time, leaving a whole glacier in the ablation area or in the accumulation area. In the high Andes of Central Chile and Mendoza Province, rock glaciers are larger and more common than glaciers; this is due to the high exposure to solar radiation. In these regions glaciers occur typically at higher altitudes than rock glaciers. The lowest active rock glacier occur at 900 m a.s.l. in Aconcagua. Though precipitation increases with height, there are semiarid conditions in the nearly highest mountains of the Andes. This dry steppe climate is considered to be typical of the subtropical position at 32–34° S. The valley bottoms have no woods, just dwarf scrub. The largest glaciers, for example, the Plomo Glacier and the Horcones Glaciers, do not even reach in length and have only insignificant ice thickness. At glacial times, however, c. 20,000 years ago, the glaciers were over ten times longer. On the east side of this section of the Mendozina Andes, they flowed down to and on the west side to about above sea level. The massifs of Cerro Aconcagua (), Cerro Tupungato () and Nevado Juncal () are tens of kilometres away from each other and were connected by a joint ice stream network. The Andes' dendritic glacier arms, i.e. components of valley glaciers, were up to long, over thick and overspanned a vertical distance of . The climatic glacier snowline (ELA) was lowered from to at glacial times. Flora The Andean region cuts across several natural and floristic regions, due to its extension, from Caribbean Venezuela to cold, windy and wet Cape Horn passing through the hyperarid Atacama Desert. Rainforests and tropical dry forests used to encircle much of the northern Andes but are now greatly diminished, especially in the Chocó and inter-Andean valleys of Colombia. Opposite of the humid Andean slopes are the relatively dry Andean slopes in most of western Peru, Chile and Argentina. Along with several Interandean Valles, they are typically dominated by deciduous woodland, shrub and xeric vegetation, reaching the extreme in the slopes near the virtually lifeless Atacama Desert. About 30,000 species of vascular plants live in the Andes, with roughly half being endemic to the region, surpassing the diversity of any other hotspot. The small tree Cinchona pubescens, a source of quinine which is used to treat malaria, is found widely in the Andes as far south as Bolivia. Other important crops that originated from the Andes are tobacco and potatoes. The high-altitude Polylepis forests and woodlands are found in the Andean areas of Colombia, Ecuador, Peru, Bolivia and Chile. These trees, by locals referred to as Queñua, Yagual and other names, can be found at altitudes of above sea level. It remains unclear if the patchy distribution of these forests and woodlands is natural, or the result of clearing which began during the Incan period. Regardless, in modern times the clearance has accelerated, and the trees are now considered to be highly endangered, with some believing that as little as 10% of the original woodland remains. Fauna The Andes are rich in fauna: With almost 1,000 species, of which roughly 2/3 are endemic to the region, the Andes are the most important region in the world for amphibians. The diversity of animals in the Andes is high, with almost 600 species of mammals (13% endemic), more than 1,700 species of birds (about 1/3 endemic), more than 600 species of reptile (about 45% endemic), and almost 400 species of fish (about 1/3 endemic). The vicuña and guanaco can be found living in the Altiplano, while the closely related domesticated llama and alpaca are widely kept by locals as pack animals and for their meat and wool. The crepuscular (active during dawn and dusk) chinchillas, two threatened members of the rodent order, inhabit the Andes' alpine regions. The Andean condor, the largest bird of its kind in the Western Hemisphere, occurs throughout much of the Andes but generally in very low densities. Other animals found in the relatively open habitats of the high Andes include the huemul, cougar, foxes in the genus Pseudalopex, and, for birds, certain species of tinamous (notably members of the genus Nothoprocta), Andean goose, giant coot, flamingos (mainly associated with hypersaline lakes), lesser rhea, Andean flicker, diademed sandpiper-plover, miners, sierra-finches and diuca-finches. Lake Titicaca hosts several endemics, among them the highly endangered Titicaca flightless grebe and Titicaca water frog. A few species of hummingbirds, notably some hillstars, can be seen at altitudes above , but far higher diversities can be found at lower altitudes, especially in the humid Andean forests ("cloud forests") growing on slopes in Colombia, Ecuador, Peru, Bolivia and far northwestern Argentina. These forest-types, which includes the Yungas and parts of the Chocó, are very rich in flora and fauna, although few large mammals exist, exceptions being the threatened mountain tapir, spectacled bear and yellow-tailed woolly monkey. Birds of humid Andean forests include mountain toucans, quetzals and the Andean cock-of-the-rock, while mixed species flocks dominated by tanagers and furnariids commonly are seen – in contrast to several vocal but typically cryptic species of wrens, tapaculos and antpittas. A number of species such as the royal cinclodes and white-browed tit-spinetail are associated with Polylepis, and consequently also threatened. Human activity The Andes Mountains form a north-south axis of cultural influences. A long series of cultural development culminated in the expansion of the Inca civilization and Inca Empire in the central Andes during the 15th century. The Incas formed this civilization through imperialistic militarism as well as careful and meticulous governmental management. The government sponsored the construction of aqueducts and roads in addition to preexisting installations. Some of these constructions are still in existence today. Devastated by European diseases and by civil war, the Incas were defeated in 1532 by an alliance composed of tens of thousands of allies from nations they had subjugated (e.g. Huancas, Chachapoyas, Cañaris) and a small army of 180 Spaniards led by Francisco Pizarro. One of the few Inca sites the Spanish never found in their conquest was Machu Picchu, which lay hidden on a peak on the eastern edge of the Andes where they descend to the Amazon. The main surviving languages of the Andean peoples are those of the Quechua and Aymara language families. Woodbine Parish and Joseph Barclay Pentland surveyed a large part of the Bolivian Andes from 1826 to 1827. Cities In modern times, the largest cities in the Andes are Bogotá, with a metropolitan population of over ten million, and Santiago, Medellín, Cali, and Quito. Lima is a coastal city adjacent to the Andes and is the largest city of all Andean countries. It is the seat of the Andean Community of Nations. La Paz, Bolivia's seat of government, is the highest capital city in the world, at an elevation of approximately . Parts of the La Paz conurbation, including the city of El Alto, extend up to . Other cities in or near the Andes include Bariloche, Catamarca, Jujuy, Mendoza, Salta, San Juan, Tucumán, and Ushuaia in Argentina; Calama and Rancagua in Chile; Cochabamba, Oruro, Potosí, Sucre, Sacaba, Tarija, and Yacuiba in Bolivia; Arequipa, Cajamarca, Cusco, Huancayo, Huánuco, Huaraz, Juliaca, and Puno in Peru; Ambato, Cuenca, Ibarra, Latacunga, Loja, Riobamba and Tulcán in Ecuador; Armenia, Cúcuta, Bucaramanga, Duitama, Ibagué, Ipiales, Manizales, Palmira, Pasto, Pereira, Popayán, Sogamoso, Tunja, and Villavicencio in Colombia; and Barquisimeto, La Grita, Mérida, San Cristóbal, Tovar, Trujillo, and Valera in Venezuela. The cities of Caracas, Valencia, and Maracay are in the Venezuelan Coastal Range, which is a debatable extension of the Andes at the northern extremity of South America. Transportation Cities and large towns are connected with asphalt-paved roads, while smaller towns are often connected by dirt roads, which may require a four-wheel-drive vehicle. The rough terrain has historically put the costs of building highways and railroads that cross the Andes out of reach of most neighboring countries, even with modern civil engineering practices. For example, the main crossover of the Andes between Argentina and Chile is still accomplished through the Paso Internacional Los Libertadores. Only recently the ends of some highways that came rather close to one another from the east and the west have been connected. Much of the transportation of passengers is done via aircraft. However, there is one railroad that connects Chile with Peru via the Andes, and there are others that make the same connection via southern Bolivia. See railroad maps of that region. There are multiple highways in Bolivia that cross the Andes. Some of these were built during a period of war between Bolivia and Paraguay, in order to transport Bolivian troops and their supplies to the war front in the lowlands of southeastern Bolivia and western Paraguay. For decades, Chile claimed ownership of land on the eastern side of the Andes. However, these claims were given up in about 1870 during the War of the Pacific between Chile and the allied Bolivia and Peru, in a diplomatic deal to keep Peru out of the war. The Chilean Army and Chilean Navy defeated the combined forces of Bolivia and Peru, and Chile took over Bolivia's only province on the Pacific Coast, some land from Peru that was returned to Peru decades later. Bolivia has been a completely landlocked country ever since. It mostly uses seaports in eastern Argentina and Uruguay for international trade because its diplomatic relations with Chile have been suspended since 1978. Because of the tortuous terrain in places, villages and towns in the mountains—to which travel via motorized vehicles is of little use—are still located in the high Andes of Chile, Bolivia, Peru, and Ecuador. Locally, the relatives of the camel, the llama, and the alpaca continue to carry out important uses as pack animals, but this use has generally diminished in modern times. Donkeys, mules, and horses are also useful. Agriculture The ancient peoples of the Andes such as the Incas have practiced irrigation techniques for over 6,000 years. Because of the mountain slopes, terracing has been a common practice. Terracing, however, was only extensively employed after Incan imperial expansions to fuel their expanding realm. The potato holds a very important role as an internally consumed staple crop. Maize was also an important crop for these people, and was used for the production of chicha, important to Andean native people. Currently, tobacco, cotton and coffee are the main export crops. Coca, despite eradication programmes in some countries, remains an important crop for legal local use in a mildly stimulating herbal tea, and, both controversially and illegally, for the production of cocaine. Irrigation In unirrigated land, pasture is the most common type of land use. In the rainy season (summer), part of the rangeland is used for cropping (mainly potatoes, barley, broad beans and wheat). Irrigation is helpful in advancing the sowing data of the summer crops which guarantees an early yield in the period of food shortage. Also, by early sowing, maize can be cultivated higher up in the mountains (up to ). In addition, it makes cropping in the dry season (winter) possible and allows the cultivation of frost-resistant vegetable crops like onion and carrot. Mining The Andes rose to fame for their mineral wealth during the Spanish conquest of South America. Although Andean Amerindian peoples crafted ceremonial jewelry of gold and other metals, the mineralizations of the Andes were first mined on a large scale after the Spanish arrival. Potosí in present-day Bolivia and Cerro de Pasco in Peru were among the principal mines of the Spanish Empire in the New World. Río de la Plata and Argentina derive their names from the silver of Potosí. Currently, mining in the Andes of Chile and Peru places these countries as the first and second major producers of copper in the world. Peru also contains the 4th largest goldmine in the world: the Yanacocha. The Bolivian Andes produce principally tin although historically silver mining had a huge impact on the economy of 17th-century Europe. There is a long history of mining in the Andes, from the Spanish silver mines in Potosí in the 16th century to the vast current porphyry copper deposits of Chuquicamata and Escondida in Chile and Toquepala in Peru. Other metals including iron, gold, and tin in addition to non-metallic resources are important. The Andes have a vast supply of lithium; Argentina, Bolivia, and Chile have the three largest reserves in the world respectively. Peaks This list contains some of the major peaks in the Andes mountain range. The highest peak is Aconcagua of Argentina (see below). Argentina Aconcagua, Cerro Bonete, Galán, Mercedario, Pissis, The border between Argentina and Chile Cerro Bayo, Cerro Fitz Roy, or 3,405 m, Patagonia, also known as Cerro Chaltén Cerro Escorial, Cordón del Azufre, Falso Azufre, Incahuasi, Lastarria, Llullaillaco, Maipo, Marmolejo, Ojos del Salado, Olca, Sierra Nevada de Lagunas Bravas, Socompa, Nevado Tres Cruces, (south summit) (III Region) Tronador, Tupungato, Nacimiento, Bolivia Janq'u Uma, Cabaraya, Chacaltaya, Wayna Potosí, Illampu, Illimani, Laram Q'awa, Macizo de Pacuni, Nevado Anallajsi, Nevado Sajama, Patilla Pata, Tata Sabaya, Border between Bolivia and Chile Acotango, Michincha, Iru Phutunqu, Licancabur, Olca, Parinacota, Paruma, Pomerape, Chile Monte San Valentin, Cerro Paine Grande, Cerro Macá, c. Monte Darwin, c. Volcan Hudson, c. Cerro Castillo Dynevor, c. Mount Tarn, c. Polleras, c. Acamarachi, c. Colombia Nevado del Huila, Nevado del Ruiz, Nevado del Tolima, Pico Pan de Azúcar, Ritacuba Negro, Nevado del Cumbal, Cerro Negro de Mayasquer, Ritacuba Blanco, Nevado del Quindío, Puracé, Santa Isabel, Doña Juana, Galeras, Azufral, Ecuador Antisana, Cayambe, Chiles, Chimborazo, Corazón, Cotopaxi, El Altar, Illiniza, Pichincha, Quilotoa, Reventador, Sangay, Tungurahua, Peru Alpamayo, Artesonraju, Carnicero, Chumpe, Coropuna, El Misti, El Toro, Huandoy, Huascarán, Jirishanca, Pumasillo, Rasac, Rondoy, Sarapo, Salcantay, Seria Norte, Siula Grande, Huaytapallana, Yerupaja, Yerupaja Chico, Venezuela Pico Bolívar, Pico Humboldt, Pico Bonpland, Pico La Concha, Pico Piedras Blancas, Pico El Águila, Pico El Toro Pico El León Pico Mucuñuque See also Andean Geology—a scientific journal Andesite line Apu (god) Mountain passes of the Andes List of mountain ranges Notes References Biggar, J. (2005). The Andes: A Guide For Climbers. 3rd. edition. Andes: Kirkcudbrightshire. de Roy, T. (2005). The Andes: As the Condor Flies. Firefly books: Richmond Hill. Fjeldså, J. & N. Krabbe (1990). The Birds of the High Andes. Zoological Museum, University of Copenhagen: Fjeldså, J. & M. Kessler (1996). Conserving the biological diversity of Polylepis woodlands of the highlands on Peru and Bolivia, a contribution to sustainable natural resource management in the Andes. NORDECO: Copenhagen. Bibliography External links University of Arizona: Andes geology Blueplanetbiomes.org: Climate and animal life of the Andes Discover-peru.org: Regions and Microclimates in the Andes Peaklist.org: Complete list of mountains in South America with an elevation at/above Mountain ranges of South America Regions of South America Physiographic divisions
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https://en.wikipedia.org/wiki/Anchor
Anchor
An anchor is a device, normally made of metal, used to secure a vessel to the bed of a body of water to prevent the craft from drifting due to wind or current. The word derives from Latin , which itself comes from the Greek (). Anchors can either be temporary or permanent. Permanent anchors are used in the creation of a mooring, and are rarely moved; a specialist service is normally needed to move or maintain them. Vessels carry one or more temporary anchors, which may be of different designs and weights. A sea anchor is a drag device, not in contact with the seabed, used to minimise drift of a vessel relative to the water. A drogue is a drag device used to slow or help steer a vessel running before a storm in a following or overtaking sea, or when crossing a bar in a breaking sea. Overview Anchors achieve holding power either by "hooking" into the seabed, or weight, or a combination of the two. Permanent moorings use large masses (commonly a block or slab of concrete) resting on the seabed. Semi-permanent mooring anchors (such as mushroom anchors) and large ship's anchors derive a significant portion of their holding power from their weight, while also hooking or embedding in the bottom. Modern anchors for smaller vessels have metal flukes that hook on to rocks on the bottom or bury themselves in soft seabed. The vessel is attached to the anchor by the rode (also called a cable or a warp). It can be made of rope, chain or a combination of rope and chain. The ratio of the length of rode to the water depth is known as the scope (see below). Holding ground Holding ground is the area of sea floor that holds an anchor, and thus the attached ship or boat. Different types of anchor are designed to hold in different types of holding ground. Some bottom materials hold better than others; for instance, hard sand holds well, shell holds poorly. Holding ground may be fouled with obstacles. An anchorage location may be chosen for its holding ground. In poor holding ground, only the weight of an anchor matters; in good holding ground, it is able to dig in, and the holding power can be significantly higher. History Evolution of the anchor The earliest anchors were probably rocks, and many rock anchors have been found dating from at least the Bronze Age. Pre-European Maori waka (canoes) used one or more hollowed stones, tied with flax ropes, as anchors. Many modern moorings still rely on a large rock as the primary element of their design. However, using pure weight to resist the forces of a storm works well only as a permanent mooring; a large enough rock would be nearly impossible to move to a new location. The ancient Greeks used baskets of stones, large sacks filled with sand, and wooden logs filled with lead. According to Apollonius Rhodius and Stephen of Byzantium, anchors were formed of stone, and Athenaeus states that they were also sometimes made of wood. Such anchors held the vessel merely by their weight and by their friction along the bottom. Fluked anchors Iron was afterwards introduced for the construction of anchors, and an improvement was made by forming them with teeth, or "flukes", to fasten themselves into the bottom. This is the iconic anchor shape most familiar to non-sailors. This form has been used since antiquity. The Roman Nemi ships of the 1st century AD used this form. The Viking Ladby ship (probably 10th century) used a fluked anchor of this type, made of iron, which would have had a wooden stock mounted perpendicular to the shank and flukes to make the flukes contact the bottom at a suitable angle to hook or penetrate. Admiralty anchor The Admiralty Pattern anchor, or simply "Admiralty", also known as a "Fisherman", consists of a central shank with a ring or shackle for attaching the rode (the rope, chain, or cable connecting the ship and the anchor). At the other end of the shank there are two arms, carrying the flukes, while the stock is mounted to the shackle end, at ninety degrees to the arms. When the anchor lands on the bottom, it generally falls over with the arms parallel to the seabed. As a strain comes onto the rope, the stock digs into the bottom, canting the anchor until one of the flukes catches and digs into the bottom. The Admiralty Anchor is an entirely independent reinvention of a classical design, as seen in one of the Nemi ship anchors. This basic design remained unchanged for centuries, with the most significant changes being to the overall proportions, and a move from stocks made of wood to iron stocks in the late 1830s and early 1840s. Since one fluke always protrudes up from the set anchor, there is a great tendency of the rode to foul the anchor as the vessel swings due to wind or current shifts. When this happens, the anchor may be pulled out of the bottom, and in some cases may need to be hauled up to be re-set. In the mid-19th century, numerous modifications were attempted to alleviate these problems, as well as improve holding power, including one-armed mooring anchors. The most successful of these patent anchors, the Trotman Anchor, introduced a pivot at the centre of the crown where the arms join the shank, allowing the "idle" upper arm to fold against the shank. When deployed the lower arm may fold against the shank tilting the tip of the fluke upwards, so each fluke has a tripping palm at its base, to hook on the bottom as the folded arm drags along the seabed, which unfolds the downward oriented arm until the tip of the fluke can engage the bottom. Handling and storage of these anchors requires special equipment and procedures. Once the anchor is hauled up to the hawsepipe, the ring end is hoisted up to the end of a timber projecting from the bow known as the cathead. The crown of the anchor is then hauled up with a heavy tackle until one fluke can be hooked over the rail. This is known as "catting and fishing" the anchor. Before dropping the anchor, the fishing process is reversed, and the anchor is dropped from the end of the cathead. Stockless anchor The stockless anchor, patented in England in 1821, represented the first significant departure in anchor design in centuries. Although their holding-power-to-weight ratio is significantly lower than admiralty pattern anchors, their ease of handling and stowage aboard large ships led to almost universal adoption. In contrast to the elaborate stowage procedures for earlier anchors, stockless anchors are simply hauled up until they rest with the shank inside the hawsepipes, and the flukes against the hull (or inside a recess in the hull). While there are numerous variations, stockless anchors consist of a set of heavy flukes connected by a pivot or ball and socket joint to a shank. Cast into the crown of the anchor is a set of tripping palms, projections that drag on the bottom, forcing the main flukes to dig in. Small boat anchors Until the mid-20th century, anchors for smaller vessels were either scaled-down versions of admiralty anchors, or simple grapnels. As new designs with greater holding-power-to-weight ratios were sought, a great variety of anchor designs has emerged. Many of these designs are still under patent, and other types are best known by their original trademarked names. Grapnel anchor / drag A traditional design, the grapnel is merely a shank (no stock) with four or more tines, also known as a drag. It has a benefit in that, no matter how it reaches the bottom, one or more tines are aimed to set. In coral, or rock, it is often able to set quickly by hooking into the structure, but may be more difficult to retrieve. A grapnel is often quite light, and may have additional uses as a tool to recover gear lost overboard. Its weight also makes it relatively easy to move and carry, however its shape is generally not compact and it may be awkward to stow unless a collapsing model is used. Grapnels rarely have enough fluke area to develop much hold in sand, clay, or mud. It is not unknown for the anchor to foul on its own rode, or to foul the tines with refuse from the bottom, preventing it from digging in. On the other hand, it is quite possible for this anchor to find such a good hook that, without a trip line from the crown, it is impossible to retrieve. Herreshoff anchor Designed by yacht designer L. Francis Herreshoff, this is essentially the same pattern as an admiralty anchor, albeit with small diamond-shaped flukes or palms. The novelty of the design lay in the means by which it could be broken down into three pieces for stowage. In use, it still presents all the issues of the admiralty pattern anchor. Northill anchor Originally designed as a lightweight anchor for seaplanes, this design consists of two plough-like blades mounted to a shank, with a folding stock crossing through the crown of the anchor. CQR plough anchor Many manufacturers produce a plough-type anchor, so-named after its resemblance to an agricultural plough. All such anchors are copied from the original CQR (Coastal Quick Release, or Clyde Quick Release, later rebranded as 'secure' by Lewmar), a 1933 design patented in the UK by mathematician Geoffrey Ingram Taylor. Plough anchors stow conveniently in a roller at the bow, and have been popular with cruising sailors and private boaters. Ploughs can be moderately good in all types of seafloor, though not exceptional in any. Contrary to popular belief, the CQR's hinged shank is not to allow the anchor to turn with direction changes rather than breaking out, but actually to prevent the shank's weight from disrupting the fluke's orientation while setting. The hinge can wear out and may trap a sailor's fingers. Some later plough anchors have a rigid shank, such as the Lewmar's "Delta". A plough anchor has a fundamental flaw: like its namesake, the agricultural plough, it digs in but then tends to break out back to the surface. Plough anchors sometimes have difficulty setting at all, and instead skip across the seafloor. By contrast, modern efficient anchors tend to be "scoop" types that dig ever deeper. Delta anchor The Delta anchor was derived from the CQR. It was patented by Philip McCarron, James Stewart, and Gordon Lyall of British marine manufacturer Simpson-Lawrence Ltd in 1992. It was designed as an advance over the anchors used for floating systems such as oil rigs. It retains the weighted tip of the CQR but has a much higher fluke area to weight ratio than its predecessor. The designers also eliminated the sometimes troublesome hinge. It is a plough anchor with a rigid, arched shank. It is described as self-launching because it can be dropped from a bow roller simply by paying out the rode, without manual assistance. This is an oft copied design with the European Brake and Australian Sarca Excel being two of the more notable ones. Although it is a plough type anchor, it sets and holds reasonably well in hard bottoms. Danforth anchor American Richard Danforth invented the Danforth Anchor in the 1940s for use aboard landing craft. It uses a stock at the crown to which two large flat triangular flukes are attached. The stock is hinged so the flukes can orient toward the bottom (and on some designs may be adjusted for an optimal angle depending on the bottom type). Tripping palms at the crown act to tip the flukes into the seabed. The design is a burying variety, and once well set can develop high resistance. Its lightweight and compact flat design make it easy to retrieve and relatively easy to store; some anchor rollers and hawsepipes can accommodate a fluke-style anchor. A Danforth does not usually penetrate or hold in gravel or weeds. In boulders and coral it may hold by acting as a hook. If there is much current, or if the vessel is moving while dropping the anchor, it may "kite" or "skate" over the bottom due to the large fluke area acting as a sail or wing. The FOB HP anchor designed in Brittany in the 1970s is a Danforth variant designed to give increased holding through its use of rounded flukes setting at a 30° angle. The Fortress is an American aluminum alloy Danforth variant that can be disassembled for storage and it features an adjustable 32° and 45° shank/fluke angle to improve holding capability in common sea bottoms such as hard sand and soft mud. This anchor performed well in a 1989 US Naval Sea Systems Command (NAVSEA) test and in an August 2014 holding power test that was conducted in the soft mud bottoms of the Chesapeake Bay. Bruce or claw anchor This claw-shaped anchor was designed by Peter Bruce from Scotland in the 1970s. Bruce gained his early reputation from the production of large-scale commercial anchors for ships and fixed installations such as oil rigs. It was later scaled down for small boats, and copies of this popular design abound. The Bruce and its copies, known generically as "claw type anchors", have been adopted on smaller boats (partly because they stow easily on a bow roller) but they are most effective in larger sizes. Claw anchors are quite popular on charter fleets as they have a high chance to set on the first try in many bottoms. They have the reputation of not breaking out with tide or wind changes, instead slowly turning in the bottom to align with the force. Bruce anchors can have difficulty penetrating weedy bottoms and grass. They offer a fairly low holding-power-to-weight ratio and generally have to be oversized to compete with newer types. Scoop type anchors Three time circumnavigator German Rolf Kaczirek invented the Bügel Anker in the 1980s. Kaczirek wanted an anchor that was self-righting without necessitating a ballasted tip. Instead, he added a roll bar and switched out the plough share for a flat blade design. As none of the innovations of this anchor were patented, copies of it abound. Alain Poiraud of France introduced the scoop type anchor in 1996. Similar in design to the Bügel anchor, Poiraud's design features a concave fluke shaped like the blade of a shovel, with a shank attached parallel to the fluke, and the load applied toward the digging end. It is designed to dig into the bottom like a shovel, and dig deeper as more pressure is applied. The common challenge with all the scoop type anchors is that they set so well, they can be difficult to weigh. Bügelanker, or Wasi: This German-designed bow anchor has a sharp tip for penetrating weed, and features a roll-bar that allows the correct setting attitude to be achieved without the need for extra weight to be inserted into the tip. Spade: This is a French design that has proven successful since 1996. It features a demountable shank (hollow in some instances) and the choice of galvanized steel, stainless steel, or aluminium construction, which means a lighter and more easily stowable anchor. The geometry also makes this anchor self stowing on a single roller. Rocna: This New Zealand spade design, available in galvanised or stainless steel, has been produced since 2004. It has a roll-bar (similar to that of the Bügel), a large spade-like fluke area, and a sharp toe for penetrating weed and grass. The Rocna sets quickly and holds well. Mantus: This is claimed to be a fast setting anchor with high holding power. It is designed as an all round anchor capable of setting even in challenging bottoms such as hard sand/clay bottoms and grass. The shank is made out of a high tensile steel capable of withstanding high loads. It is similar in design to the Rocna but has a larger and wider roll-bar that reduces the risk of fouling and increases the angle of the fluke that results in improved penetration in some bottoms. Ultra: This is an innovative spade design that dispenses with a roll-bar. Made primarily of stainless steel, its main arm is hollow, while the fluke tip has lead within it. It is similar in appearance to the Spade anchor. Vulcan: A recent sibling to the Rocna, this anchor performs similarly but does not have a roll-bar. Instead the Vulcan has patented design features such as the "V-bulb" and the "Roll Palm" that allow it to dig in deeply. The Vulcan was designed primarily for sailors who had difficulties accommodating the roll-bar Rocna on their bow. Peter Smith (originator of the Rocna) designed it specifically for larger powerboats. Both Vulcans and Rocnas are available in galvanised steel, or in stainless steel. The Vulcan is similar in appearance to the Spade anchor. Knox Anchor: This is produced in Scotland and was invented by Professor John Knox. It has a divided concave large area fluke arrangement and a shank in high tensile steel. A roll bar similar to the Rocna gives fast setting and a holding power of about 40 times anchor weight. Other temporary anchors Mud weight: Consists of a blunt heavy weight, usually cast iron or cast lead, that sinks into the mud and resist lateral movement. It is suitable only for soft silt bottoms and in mild conditions. Sizes range between 5 and 20 kg for small craft. Various designs exist and many are home produced from lead or improvised with heavy objects. This is a commonly used method on the Norfolk Broads in England. Bulwagga: This is a unique design featuring three flukes instead of the usual two. It has performed well in tests by independent sources such as American boating magazine Practical Sailor. Permanent anchors These are used where the vessel is permanently or semi-permanently sited, for example in the case of lightvessels or channel marker buoys. The anchor needs to hold the vessel in all weathers, including the most severe storm, but needs to be lifted only occasionally, at most – for example, only if the vessel is to be towed into port for maintenance. An alternative to using an anchor under these circumstances, especially if the anchor need never be lifted at all, may be to use a pile that is driven into the seabed. Permanent anchors come in a wide range of types and have no standard form. A slab of rock with an iron staple in it to attach a chain to would serve the purpose, as would any dense object of appropriate weight (for instance, an engine block). Modern moorings may be anchored by augers, which look and act like oversized screws drilled into the seabed, or by barbed metal beams pounded in (or even driven in with explosives) like pilings, or by a variety of other non-mass means of getting a grip on the bottom. One method of building a mooring is to use three or more conventional anchors laid out with short lengths of chain attached to a swivel, so no matter which direction the vessel moves, one or more anchors are aligned to resist the force. Mushroom The mushroom anchor is suitable where the seabed is composed of silt or fine sand. It was invented by Robert Stevenson, for use by an 82-ton converted fishing boat, Pharos, which was used as a lightvessel between 1807 and 1810 near to Bell Rock whilst the lighthouse was being constructed. It was equipped with a 1.5-ton example. It is shaped like an inverted mushroom, the head becoming buried in the silt. A counterweight is often provided at the other end of the shank to lay it down before it becomes buried. A mushroom anchor normally sinks in the silt to the point where it has displaced its own weight in bottom material, thus greatly increasing its holding power. These anchors are suitable only for a silt or mud bottom, since they rely upon suction and cohesion of the bottom material, which rocky or coarse sand bottoms lack. The holding power of this anchor is at best about twice its weight until it becomes buried, when it can be as much as ten times its weight. They are available in sizes from about 5 kg up to several tons. Deadweight A deadweight is an anchor that relies solely on being a heavy weight. It is usually just a large block of concrete or stone at the end of the chain. Its holding power is defined by its weight underwater (i.e., taking its buoyancy into account) regardless of the type of seabed, although suction can increase this if it becomes buried. Consequently, deadweight anchors are used where mushroom anchors are unsuitable, for example in rock, gravel or coarse sand. An advantage of a deadweight anchor over a mushroom is that if it does drag, it continues to provide its original holding force. The disadvantage of using deadweight anchors in conditions where a mushroom anchor could be used is that it needs to be around ten times the weight of the equivalent mushroom anchor. Auger Auger anchors can be used to anchor permanent moorings, floating docks, fish farms, etc. These anchors, which have one or more slightly pitched self-drilling threads, must be screwed into the seabed with the use of a tool, so require access to the bottom, either at low tide or by use of a diver. Hence they can be difficult to install in deep water without special equipment. Weight for weight, augers have a higher holding than other permanent designs, and so can be cheap and relatively easily installed, although difficult to set in extremely soft mud. High-holding-types There is a need in the oil-and-gas industry to resist large anchoring forces when laying pipelines and for drilling vessels. These anchors are installed and removed using a support tug and pennant/pendant wire. Some examples are the Stevin range supplied by Vrijhof Ankers. Large plate anchors such as the Stevmanta are used for permanent moorings. Anchoring gear The elements of anchoring gear include the anchor, the cable (also called a rode), the method of attaching the two together, the method of attaching the cable to the ship, charts, and a method of learning the depth of the water. Vessels may carry a number of anchors: bower anchors are the main anchors used by a vessel and normally carried at the bow of the vessel. A kedge anchor is a light anchor used for warping an anchor, also known as kedging, or more commonly on yachts for mooring quickly or in benign conditions. A stream anchor, which is usually heavier than a kedge anchor, can be used for kedging or warping in addition to temporary mooring and restraining stern movement in tidal conditions or in waters where vessel movement needs to be restricted, such as rivers and channels. Charts are vital to good anchoring. Knowing the location of potential dangers, as well as being useful in estimating the effects of weather and tide in the anchorage, is essential in choosing a good place to drop the hook. One can get by without referring to charts, but they are an important tool and a part of good anchoring gear, and a skilled mariner would not choose to anchor without them. Anchor rode The anchor rode (or "cable" or "warp") that connects the anchor to the vessel is usually made up of chain, rope, or a combination of those. Large ships use only chain rode. Smaller craft might use a rope/chain combination or an all chain rode. All rodes should have some chain; chain is heavy but it resists abrasion from coral, sharp rocks, or shellfish beds, whereas a rope warp is susceptible to abrasion and can fail in a short time when stretched against an abrasive surface. The weight of the chain also helps keep the direction of pull on the anchor closer to horizontal, which improves holding, and absorbs part of snubbing loads. Where weight is not an issue, a heavier chain provides better holding by forming a catenary curve through the water and resting as much of its length on the bottom as would not be lifted by tension of the mooring load. Any changes to the tension are accommodated by additional chain being lifted or settling on the bottom, and this absorbs shock loads until the chain is straight, at which point the full load is taken by the anchor. Additional dissipation of shock loads can be achieved by fitting a snubber between the chain and a bollard or cleat on deck. This also reduces shock loads on the deck fittings, and the vessel usually lies more comfortably and quietly. Being strong and elastic, nylon rope is the most suitable as an anchor rode. Polyester (terylene) is stronger but less elastic than nylon. Both materials sink, so they avoid fouling other craft in crowded anchorages and do not absorb much water. Neither breaks down quickly in sunlight. Elasticity helps absorb shock loading, but causes faster abrasive wear when the rope stretches over an abrasive surface, like a coral bottom or a poorly designed chock. Polypropylene ("polyprop") is not suited to rodes because it floats and is much weaker than nylon, being barely stronger than natural fibres. Some grades of polypropylene break down in sunlight and become hard, weak, and unpleasant to handle. Natural fibres such as manila or hemp are still used in developing nations but absorb a lot of water, are relatively weak, and rot, although they do give good handling grip and are often relatively cheap. Ropes that have little or no elasticity are not suitable as anchor rodes. Elasticity is partly a function of the fibre material and partly of the rope structure. All anchors should have chain at least equal to the boat's length. Some skippers prefer an all chain warp for greater security on coral or sharp edged rock bottoms. The chain should be shackled to the warp through a steel eye or spliced to the chain using a chain splice. The shackle pin should be securely wired or moused. Either galvanized or stainless steel is suitable for eyes and shackles, galvanised steel being the stronger of the two. Some skippers prefer to add a swivel to the rode. There is a school of thought that says these should not be connected to the anchor itself, but should be somewhere in the chain. However, most skippers connect the swivel directly to the anchor. Scope Scope is the ratio of length of the rode to the depth of the water measured from the highest point (usually the anchor roller or bow chock) to the seabed, making allowance for the highest expected tide. The function of this ratio is to ensure that the pull on the anchor is unlikely to break it out of the bottom if it is embedded, or lift it off a hard bottom, either of which is likely to result in the anchor dragging. A large scope induces a load that is nearly horizontal. In moderate conditions the ratio of rode to water depth should be 4:1 – where there is sufficient swing-room, a greater scope is always better. In rougher conditions it should be up to twice this with the extra length giving more stretch and a smaller angle to the bottom to resist the anchor breaking out. For example, if the water is deep, and the anchor roller is above the water, then the 'depth' is 9 meters (~30 feet). The amount of rode to let our in moderate conditions is thus 36 meters (120 feet). (For this reason it is important to have a reliable and accurate method of measuring the depth of water.) When using a rope rode, there is a simple way to estimate the scope: The ratio of bow height of the rode to length of rode above the water while lying back hard on the anchor is the same or less than the scope ratio. The basis for this is simple geometry (Intercept Theorem): The ratio between two sides of a triangle stays the same regardless of the size of the triangle as long as the angles do not change. Generally, the rode should be between 5 and 10 times the depth to the seabed, giving a scope of 5:1 or 10:1; the larger the number, the shallower the angle is between the cable and the seafloor, and the less upwards force is acting on the anchor. A 10:1 scope gives the greatest holding power, but also allows for much more drifting due to the longer amount of cable paid out. Anchoring with sufficient scope and/or heavy chain rode brings the direction of strain close to parallel with the seabed. This is particularly important for light, modern anchors designed to bury in the bottom, where scopes of 5:1 to 7:1 are common, whereas heavy anchors and moorings can use a scope of 3:1, or less. Some modern anchors, such as the Ultra holds with a scope of 3:1; but, unless the anchorage is crowded, a longer scope always reduces shock stresses. Anchoring techniques The basic anchoring consists of determining the location, dropping the anchor, laying out the scope, setting the hook, and assessing where the vessel ends up. The ship seeks a location that is sufficiently protected; has suitable holding ground, enough depth at low tide and enough room for the boat to swing. The location to drop the anchor should be approached from down wind or down current, whichever is stronger. As the chosen spot is approached, the vessel should be stopped or even beginning to drift back. The anchor should initially be lowered quickly but under control until it is on the bottom (see anchor windlass). The vessel should continue to drift back, and the cable should be veered out under control (slowly) so it is relatively straight. Once the desired scope is laid out, the vessel should be gently forced astern, usually using the auxiliary motor but possibly by backing a sail. A hand on the anchor line may telegraph a series of jerks and jolts, indicating the anchor is dragging, or a smooth tension indicative of digging in. As the anchor begins to dig in and resist backward force, the engine may be throttled up to get a thorough set. If the anchor continues to drag, or sets after having dragged too far, it should be retrieved and moved back to the desired position (or another location chosen.) There are techniques of anchoring to limit the swing of a vessel if the anchorage has limited room: Using an anchor weight, kellet or sentinel Lowering a concentrated, heavy weight down the anchor line – rope or chain – directly in front of the bow to the seabed behaves like a heavy chain rode and lowers the angle of pull on the anchor. If the weight is suspended off the seabed it acts as a spring or shock absorber to dampen the sudden actions that are normally transmitted to the anchor and can cause it to dislodge and drag. In light conditions, a kellet reduces the swing of the vessel considerably. In heavier conditions these effects disappear as the rode becomes straightened and the weight ineffective. Known as an "anchor chum weight" or "angel" in the UK. Forked moor Using two anchors set approximately 45° apart, or wider angles up to 90°, from the bow is a strong mooring for facing into strong winds. To set anchors in this way, first one anchor is set in the normal fashion. Then, taking in on the first cable as the boat is motored into the wind and letting slack while drifting back, a second anchor is set approximately a half-scope away from the first on a line perpendicular to the wind. After this second anchor is set, the scope on the first is taken up until the vessel is lying between the two anchors and the load is taken equally on each cable. This moor also to some degree limits the range of a vessel's swing to a narrower oval. Care should be taken that other vessels do not swing down on the boat due to the limited swing range. Bow and stern (Not to be mistaken with the Bahamian moor, below.) In the bow and stern technique, an anchor is set off each the bow and the stern, which can severely limit a vessel's swing range and also align it to steady wind, current or wave conditions. One method of accomplishing this moor is to set a bow anchor normally, then drop back to the limit of the bow cable (or to double the desired scope, e.g. 8:1 if the eventual scope should be 4:1, 10:1 if the eventual scope should be 5:1, etc.) to lower a stern anchor. By taking up on the bow cable the stern anchor can be set. After both anchors are set, tension is taken up on both cables to limit the swing or to align the vessel. Bahamian moor Similar to the above, a Bahamian moor is used to sharply limit the swing range of a vessel, but allows it to swing to a current. One of the primary characteristics of this technique is the use of a swivel as follows: the first anchor is set normally, and the vessel drops back to the limit of anchor cable. A second anchor is attached to the end of the anchor cable, and is dropped and set. A swivel is attached to the middle of the anchor cable, and the vessel connected to that. The vessel now swings in the middle of two anchors, which is acceptable in strong reversing currents, but a wind perpendicular to the current may break out the anchors, as they are not aligned for this load. Backing an anchor Also known as tandem anchoring, in this technique two anchors are deployed in line with each other, on the same rode. With the foremost anchor reducing the load on the aft-most, this technique can develop great holding power and may be appropriate in "ultimate storm" circumstances. It does not limit swinging range, and might not be suitable in some circumstances. There are complications, and the technique requires careful preparation and a level of skill and experience above that required for a single anchor. Kedging Kedging or warping is a technique for moving or turning a ship by using a relatively light anchor. In yachts, a kedge anchor is an anchor carried in addition to the main, or bower anchors, and usually stowed aft. Every yacht should carry at least two anchors – the main or bower anchor and a second lighter kedge anchor. It is used occasionally when it is necessary to limit the turning circle as the yacht swings when it is anchored, such as in a narrow river or a deep pool in an otherwise shallow area. Kedge anchors are sometimes used to recover vessels that have run aground. For ships, a kedge may be dropped while a ship is underway, or carried out in a suitable direction by a tender or ship's boat to enable the ship to be winched off if aground or swung into a particular heading, or even to be held steady against a tidal or other stream. Historically, it was of particular relevance to sailing warships that used them to outmaneuver opponents when the wind had dropped but might be used by any vessel in confined, shoal water to place it in a more desirable position, provided she had enough manpower . Club hauling Club hauling is an archaic technique. When a vessel is in a narrow channel or on a lee shore so that there is no room to tack the vessel in a conventional manner, an anchor attached to the lee quarter may be dropped from the lee bow. This is deployed when the vessel is head to wind and has lost headway. As the vessel gathers sternway the strain on the cable pivots the vessel around what is now the weather quarter turning the vessel onto the other tack. The anchor is then normally cut away (the ship's momentum prevents recovery without aborting the maneuver). Weighing anchor Since all anchors that embed themselves in the bottom require the strain to be along the seabed, anchors can be broken out of the bottom by shortening the rope until the vessel is directly above the anchor; at this point the anchor chain is "up and down", in naval parlance. If necessary, motoring slowly around the location of the anchor also helps dislodge it. Anchors are sometimes fitted with a trip line attached to the crown, by which they can be unhooked from rocks, coral, chain, or other underwater hazards. The term aweigh describes an anchor when it is hanging on the rope and is not resting on the bottom. This is linked to the term to weigh anchor, meaning to lift the anchor from the sea bed, allowing the ship or boat to move. An anchor is described as aweigh when it has been broken out of the bottom and is being hauled up to be stowed. Aweigh should not be confused with under way, which describes a vessel that is not moored to a dock or anchored, whether or not the vessel is moving through the water. Aweigh is also often confused with away, which is incorrect. Anchor as symbol An anchor frequently appears on the flags and coats of arms of institutions involved with the sea, both naval and commercial, as well as of port cities and seacoast regions and provinces in various countries. There also exists in heraldry the "Anchored Cross", or Mariner's Cross, a stylized cross in the shape of an anchor. The symbol can be used to signify 'fresh start' or 'hope'. The New Testament refers to the Christian's hope as "an anchor of the soul". The Mariner's Cross is also referred to as St. Clement's Cross, in reference to the way this saint was killed (being tied to an anchor and thrown from a boat into the Black Sea in 102). Anchored crosses are occasionally a feature of coats of arms in which context they are referred to by the heraldic terms anchry or ancre. In 1887, the Delta Gamma Fraternity adopted the anchor as its badge to signify hope. The Unicode anchor (Miscellaneous Symbols) is represented by: ⚓. See also "Anchors Aweigh", United States Navy marching song References Bibliography Blackwell, Alex & Daria; Happy Hooking – the Art of Anchoring, 2008, 2011, 2019 White Seahorse; Edwards, Fred; Sailing as a Second Language: An illustrated dictionary, 1988 Highmark Publishing; Hinz, Earl R.; The Complete Book of Anchoring and Mooring, Rev. 2d ed., 1986, 1994, 2001 Cornell Maritime Press; Hiscock, Eric C.; Cruising Under Sail, second edition, 1965 Oxford University Press; Pardey, Lin and Larry; The Capable Cruiser; 1995 Pardey Books/Paradise Cay Publications; Rousmaniere, John; The Annapolis Book of Seamanship, 1983, 1989 Simon and Schuster; Smith, Everrett; Cruising World's Guide to Seamanship: Hold me tight, 1992 New York Times Sports/Leisure Magazines Further reading William N. Brady (1864). The Kedge-anchor; Or, Young Sailors' Assistant. First published as The Naval Apprentice's Kedge Anchor. New York, Taylor and Clement, 1841.--The Kedge-anchor; 3rd ed. New York, 1848.--6th ed. New York, 1852.--9th ed. New York, 1857. External links Anchor Tests: Soft Sand Over Hard Sand—Practical-Sailor The Big Anchor Project Anchor comparison Heraldic charges Nautical terminology Sailboat components Sailing ship components Ship anchors Watercraft components Weights
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https://en.wikipedia.org/wiki/Anagram
Anagram
An anagram is a word or phrase formed by rearranging the letters of a different word or phrase, typically using all the original letters exactly once. For example, the word anagram itself can be rearranged into nag a ram; which is an Easter egg in Google when searching for the word "anagram"; the word binary-into brainy and the word adobe-into abode. The original word or phrase is known as the subject of the anagram. Any word or phrase that exactly reproduces the letters in another order is an anagram. Someone who creates anagrams may be called an "anagrammatist", and the goal of a serious or skilled anagrammatist is to produce anagrams that reflect or comment on their subject. Examples Anagrams may be created as a commentary on the subject. They may be a parody, a criticism or satire. For example: "New York Times" = "monkeys write" "Church of Scientology" = "rich-chosen goofy cult" "McDonald's restaurants" = "Uncle Sam's standard rot" "coronavirus" = "carnivorous" "She Sells Sanctuary" = "Santa; shy, less cruel" or "Satan; cruel, less shy" An anagram may also be a synonym of the original word. For example: "evil" = "vile" "a gentleman" = "elegant man" "eleven plus two" = "twelve plus one" An anagram that has a meaning opposed to that of the original word or phrase is called an "antigram". For example: "restful" = "fluster" "cheater" = "teacher" "funeral" = "real fun" "adultery" = "true lady" "forty five" = "over fifty" "Santa" = "Satan" They can sometimes change from a proper noun or personal name into an appropriate sentence: "William Shakespeare" = "I am a weakish speller" "Madam Curie" = "Radium came" "George Bush" = "He bugs Gore" "Tom Marvolo Riddle" = "I am Lord Voldemort" They can change part of speech, such as the adjective "silent" to the verb "listen". "Anagrams" itself can be anagrammatized as "Ars magna" (Latin, 'the great art'). History Anagrams can be traced back to the time of the ancient Greeks, and were used to find the hidden and mystical meaning in names. They were popular throughout Europe during the Middle Ages, for example with the poet and composer Guillaume de Machaut. They are said to date back at least to the Greek poet Lycophron, in the third century BCE; but this relies on an account of Lycophron given by John Tzetzes in the 12th century. In the Talmudic and Midrashic literature, anagrams were used to interpret the Hebrew Bible, notably by Eleazar of Modi'im. Later, Kabbalists took this up with enthusiasm, calling anagrams temurah. Anagrams in Latin were considered witty over many centuries. Est vir qui adest, explained below, was cited as the example in Samuel Johnson's A Dictionary of the English Language. They became hugely popular in the early modern period, especially in Germany. Any historical material on anagrams must always be interpreted in terms of the assumptions and spellings that were current for the language in question. In particular, spelling in English only slowly became fixed. There were attempts to regulate anagram formation, an important one in English being that of George Puttenham's Of the Anagram or Posy Transposed in The Art of English Poesie (1589). Influence of Latin As a literary game when Latin was the common property of the literate, Latin anagrams were prominent. Two examples are the change of Ave Maria, gratia plena, Dominus tecum (Latin: Hail Mary, full of grace, the Lord [is] with you) into Virgo serena, pia, munda et immaculata (Latin: Serene virgin, pious, clean and spotless), and the anagrammatic answer to Pilate's question, Quid est veritas? (Latin: What is truth?), namely, Est vir qui adest (Latin: It is the man who is here). The origins of these are not documented. Latin continued to influence letter values (such as I = J, U = V and W = VV). There was an ongoing tradition of allowing anagrams to be "perfect" if the letters were all used once, but allowing for these interchanges. This can be seen in a popular Latin anagram against the Jesuits: Societas Jesu turned into Vitiosa seces (Latin: Cut off the wicked things). Puttenham, in the time of Elizabeth I, wished to start from Elissabet Anglorum Regina (Latin: Elizabeth Queen of the English), to obtain Multa regnabis ense gloria (Latin: By thy sword shalt thou reign in great renown); he explains carefully that H is "a note of aspiration only and no letter", and that Z in Greek or Hebrew is a mere SS. The rules were not completely fixed in the 17th century. William Camden in his Remains commented, singling out some letters—Æ, K, W, and Z—not found in the classical Roman alphabet: Early modern period When it comes to the 17th century and anagrams in English or other languages, there is a great deal of documented evidence of learned interest. The lawyer Thomas Egerton was praised through the anagram gestat honorem ('he carries honor'); the physician George Ent took the anagrammatic motto genio surget ('he rises through spirit/genius'), which requires his first name as Georgius. James I's courtiers discovered in "James Stuart" "a just master", and converted "Charles James Stuart" into "Claims Arthur's seat" (even at that point in time, the letters I and J were more-or-less interchangeable). Walter Quin, tutor to the future Charles I, worked hard on multilingual anagrams on the name of father James. A notorious murder scandal, the Overbury case, threw up two imperfect anagrams that were aided by typically loose spelling and were recorded by Simonds D'Ewes: "Francis Howard" (for Frances Carr, Countess of Somerset, her maiden name spelled in a variant) became "Car findes a whore", with the letters E hardly counted, and the victim Thomas Overbury, as "Thomas Overburie", was written as "O! O! a busie murther" (an old form of "murder"), with a V counted as U. William Drummond of Hawthornden, in an essay On the Character of a Perfect Anagram, tried to lay down rules for permissible substitutions (such as S standing for Z) and letter omissions. William Camden provided a definition of "Anagrammatisme" as "a dissolution of a name truly written into his letters, as his elements, and a new connection of it by artificial transposition, without addition, subtraction or change of any letter, into different words, making some perfect sense appliable (i.e., applicable) to the person named." Dryden in MacFlecknoe disdainfully called the pastime the "torturing of one poor word ten thousand ways". "Eleanor Audeley", wife of Sir John Davies, is said to have been brought before the High Commission in 1634 for extravagances, stimulated by the discovery that her name could be transposed to "Reveale, O Daniel", and to have been laughed out of court by another anagram submitted by Sir John Lambe, the dean of the Arches, "Dame Eleanor Davies", "Never soe mad a ladie". An example from France was a flattering anagram for Cardinal Richelieu, comparing him to Hercules or at least one of his hands (Hercules being a kingly symbol), where Armand de Richelieu became Ardue main d'Hercule ("difficult hand of Hercules"). Modern period Examples from the 19th century are the transposition of "Horatio Nelson" into Honor est a Nilo (Latin: Honor is from the Nile); and of "Florence Nightingale" into "Flit on, cheering angel". The Victorian love of anagramming as recreation is alluded to by the mathematician Augustus De Morgan using his own name as an example; "Great Gun, do us a sum!" is attributed to his son William De Morgan, but a family friend John Thomas Graves was prolific, and a manuscript with over 2,800 has been preserved. With the advent of surrealism as a poetic movement, anagrams regained the artistic respect they had had in the Baroque period. The German poet Unica Zürn, who made extensive use of anagram techniques, came to regard obsession with anagrams as a "dangerous fever", because it created isolation of the author. The surrealist leader André Breton coined the anagram Avida Dollars for Salvador Dalí, to tarnish his reputation by the implication of commercialism. Applications While anagramming is certainly a recreation first, there are ways in which anagrams are put to use, and these can be more serious, or at least not quite frivolous and formless. For example, psychologists use anagram-oriented tests, often called "anagram solution tasks", to assess the implicit memory of young adults and adults alike. Establishment of priority Natural philosophers (astronomers and others) of the 17th century transposed their discoveries into Latin anagrams, to establish their priority. In this way they laid claim to new discoveries before their results were ready for publication. Galileo used for (Latin: I have observed the most distant planet to have a triple form) for discovering the rings of Saturn in 1610. Galileo announced his discovery that Venus had phases like the Moon in the form (Latin: These immature ones have already been read in vain by me -oy), that is, when rearranged, (Latin: The Mother of Loves [= Venus] imitates the figures of Cynthia [= the moon]). In both cases, Johannes Kepler had solved the anagrams incorrectly, assuming they were talking about the Moons of Mars () and a red spot on Jupiter (), respectively. By coincidence, he turned out to be right about the actual objects existing. In 1656, Christiaan Huygens, using a better telescope than those available to Galileo, figured that Galileo's earlier observations of Saturn actually meant it had a ring (Galileo's tools were only sufficient to see it as bumps) and, like Galileo, had published an anagram, . Upon confirming his observations, three years later he revealed it to mean (Latin: It [Saturn] is surrounded by a thin, flat, ring, nowhere touching, inclined to the ecliptic). When Robert Hooke discovered Hooke's law in 1660, he first published it in anagram form, , for (Latin: as the extension, so the force). Pseudonyms Anagrams are connected to pseudonyms, by the fact that they may conceal or reveal, or operate somewhere in between like a mask that can establish identity. For example, Jim Morrison used an anagram of his name in the Doors song "L.A. Woman", calling himself "Mr. Mojo Risin'". The use of anagrams and fabricated personal names may be to circumvent restrictions on the use of real names, as happened in the 18th century when Edward Cave wanted to get around restrictions imposed on the reporting of the House of Commons. In a genre such as farce or parody, anagrams as names may be used for pointed and satiric effect. Pseudonyms adopted by authors are sometimes transposed forms of their names; thus "Calvinus" becomes "Alcuinus" (here V = U) or "François Rabelais" = "Alcofribas Nasier". The name "Voltaire" of François Marie Arouet fits this pattern, and is allowed to be an anagram of "Arouet, l[e] j[eune]" (U = V, J = I) that is, "Arouet the younger". Other examples include: "Damon Albarn" = "Dan Abnormal" "Dave Barry" = "Ray Adverb" "Arrigo Boito" = "Tobia Gorrio" "Buckethead" = "Death Cube K" "Daniel Clowes" = "Enid Coleslaw" "Siobhán Donaghy" = "Shanghai Nobody" "Glen Duncan" = "Declan Gunn" "(Theodor) Geisel" = "(Theo) Le Sieg" "Edward Gorey" = "Ogdred Weary", = "Regera Dowdy" or = "E. G. Deadworry" (and others) "Anna Madrigal" = "A man and a girl" "Ted Morgan" = "(Sanche) de Gramont" "Lorin Morgan-Richards" = "Marcil d'Hirson Garron" "Vladimir Nabokov" = "Vivian Darkbloom", = "Vivian Bloodmark", = "Blavdak Vinomori", or = "Dorian Vivalkomb" Several of these are "imperfect anagrams", letters having been left out in some cases for the sake of easy pronunciation. Titles Anagrams used for titles afford scope for some types of wit. Examples: Homer Hickam's book Rocket Boys was adapted into the 1999 film October Sky. The tapes for the revival of the BBC show Doctor Who were labeled with the anagram Torchwood, which later went on to be used as the name for a spin-off show. In multi-episode shows, the program occasionally substitutes the anagram of an actor's name for the actual name to prevent revealing the true identity of the role (for instance, The Master) being played by the actor. The New Wave band Missing Persons' best-selling album was called Spring Session M. Hip-hop artist MF Doom recorded a 2004 album called Mm..Food. Brian Eno's album Before and After Science includes a song entitled "King's Lead Hat", an anagram of "Talking Heads", a band Eno has worked with. Juan Maria Solare's piano ballad "Jura ser anomalía" (literally "he/she swears to be an anomaly") is an anagram of the composer's full name. His composition for English horn titled "A Dot in Time" is an anagram of "Meditation", which describes the piece. The title of his piano piece that is a homage to Claude Debussy is "Seduce Us Badly". Bill Evans's overdubbed piano elegy for fellow jazz pianist Sonny Clark is titled "N.Y.C.'s No Lark", and another composition, "Re: Person I Knew" is a tribute to his producer, Orrin Keepnews. The title of Imogen Heap's album iMegaphone is an anagram of her name. Progressive rock group Rush published a song on their 1989 album Presto titled "Anagram (for Mongo)" that makes use of anagrams in every line of the song. The title of the fifth album by American rock band Interpol, El Pintor, is an anagram of the band's name and also Spanish for "the painter". Many of the song titles on Aphex Twin's ...I Care Because You Do are anagrams of either "Aphex Twin", "The Aphex Twin", or "Richard D. James". In Disney's 1964 film Mary Poppins, Dick Van Dyke played Mr. Dawes Sr. as the anagram of his name, Navckid Keyd. In the credits, the words unscrambled themselves to reveal his name. The title of King Crimson's 1982 song Thela Hun Ginjeet is an anagram of "heat in the jungle". Two albums released in 2022 by Australian rock band King Gizzard & the Lizard Wizard titled "Made in Timeland" and "Laminated Denim". Coincidences In Hebrew, the name "Gernot Zippe" (גרנוט ציפה), the inventor of the Zippe-type centrifuge, is an anagram of the word "centrifuge" (צנטריפוגה). The sentence "Name is Anu Garg", referring to anagrammer and founder of wordsmith.org Anu Garg, can be rearranged to spell "Anagram genius". Games and puzzles Anagrams are in themselves a recreational activity, but they also make up part of many other games, puzzles and game shows. The Jumble is a puzzle found in many newspapers in the United States requiring the unscrambling of letters to find the solution. Cryptic crossword puzzles frequently use anagrammatic clues, usually indicating that they are anagrams by the inclusion of a descriptive term like "confused" or "in disarray". An example would be Businessman burst into tears (9 letters). The solution, stationer, is an anagram of into tears, the letters of which have burst out of their original arrangement to form the name of a type of businessman. Numerous other games and contests involve some element of anagram formation as a basic skill. Some examples: In Anagrams, players flip tiles over one at a time and race to take words. They can "steal" each other's words by rearranging the letters and extending the words. In a version of Scrabble called Clabbers, the name itself is an anagram of Scrabble. Tiles may be placed in any order on the board as long as they anagram to a valid word. On the British game show Countdown, contestants are given 30 seconds to make the longest word from nine random letters. In Boggle, players make constrained words from a grid of sixteen random letters, by joining adjacent cubes. On the British game show BrainTeaser, contestants are shown a word broken into randomly arranged segments and must announce the whole word. At the end of the game there is a "Pyramid" which starts with a three-letter word. A letter appears in the line below to which the player must add the existing letters to find a solution. The pattern continues until the player reaches the final eight-letter anagram. The player wins the game by solving all the anagrams within the allotted time. In Bananagrams, players place tiles from a pool into crossword-style word arrangements in a race to see who can finish the pool of tiles first. Ciphers Multiple anagramming is a technique used to solve some kinds of cryptograms, such as a permutation cipher, a transposition cipher, and the Jefferson disk. Solutions may be computationally found using a Jumble algorithm. Methods of construction Sometimes, it is possible to "see" anagrams in words, unaided by tools, though the more letters involved the more difficult this becomes. The difficulty is that for a word of different letters, there are (factorial of ) different permutations and so different anagrams of the word. Anagram dictionaries can also be used. Computer programs, known as "anagram search", "anagram servers", "anagram solvers", offer a much faster route to creating anagrams, and a large number of these programs are available on the Internet. Some programs use the Anatree algorithm to compute anagrams efficiently. The program or server carries out an exhaustive search of a database of words, to produce a list containing every possible combination of words or phrases from the input word or phrase using a jumble algorithm. Some programs (such as Lexpert) restrict to one-word answers. Many anagram servers (for example, The Words Oracle) can control the search results, by excluding or including certain words, limiting the number or length of words in each anagram, or limiting the number of results. Anagram solvers are often banned from online anagram games. The disadvantage of computer anagram solvers, especially when applied to multi-word anagrams, is their poor understanding of the meaning of the words they are manipulating. They usually cannot filter out meaningful or appropriate anagrams from large numbers of nonsensical word combinations. Some servers attempt to improve on this using statistical techniques that try to combine only words that appear together often. This approach provides only limited success since it fails to recognize ironic and humorous combinations. Some anagrammatists indicate the method they used. Anagrams constructed without the aid of a computer are noted as having been done "manually" or "by hand"; those made by utilizing a computer may be noted "by machine" or "by computer", or may indicate the name of the computer program (using Anagram Genius). There are also a few "natural" instances: English words unconsciously created by switching letters around. The French chaise longue ("long chair") became the American "chaise lounge" by metathesis (transposition of letters and/or sounds). It has also been speculated that the English "curd" comes from the Latin crudus ("raw"). Similarly, the ancient English word for bird was "brid". Notable anagrammatists The French king Louis XIII had a man named Thomas Billon appointed as his Royal Anagrammatist with an annual salary of 1200 pounds. Among contemporary anagrammers, Anu Garg, created an Internet Anagram Server in 1994 together with the satirical anagram-based newspaper The Anagram Times. Mike Keith has anagrammed the complete text of Moby Dick. He, along with Richard Brodie, has published The Anagrammed Bible that includes anagrammed version of many books of the Bible. Popular television personality Dick Cavett is known for his anagrams of famous celebrities such as Alec Guinness and Spiro Agnew. Anagram animation An animated anagram displays the letters of a word or phrase moving into their new positions. See also Acronym Ambigram Anagrammatic poem Anagrams, a board game Ananym Blanagram Constrained writing Isogram Letter bank Lipogram List of geographic anagrams and ananyms List of taxa named by anagrams London Underground anagram map Palindrome Pangram Rebus Sator Square Spoonerism Tautonym Word play References Further reading Henry Benjamin Wheatley. Of Anagrams: A Monograph Treating of Their History from the Earliest Ages to the Present Time. Williams & Norgate, 1862. Word Ways: The Journal of Recreational Linguistics. Greenwood Periodicals et al., 1968–. . Howard W. Bergerson. Palindromes and Anagrams. Dover Publications, 1973. . External links AnagramThis - An ad-free online anagram creator
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https://en.wikipedia.org/wiki/Ammonia
Ammonia
Ammonia is an inorganic chemical compound of nitrogen and hydrogen with the formula . A stable binary hydride and the simplest pnictogen hydride, ammonia is a colourless gas with a distinct pungent smell. Biologically, it is a common nitrogenous waste, and it contributes significantly to the nutritional needs of terrestrial organisms by serving as a precursor to fertilisers. Around 70% of ammonia produced industrially is used to make fertilisers in various forms and composition, such as urea and diammonium phosphate. Ammonia in pure form is also applied directly into the soil. Ammonia, either directly or indirectly, is also a building block for the synthesis of many pharmaceutical products and is used in many commercial cleaning products. It is mainly collected by downward displacement of both air and water. Although common in nature—both terrestrially and in the outer planets of the Solar System—and in wide use, ammonia is both caustic and hazardous in its concentrated form. In many countries it is classified as an extremely hazardous substance, and is subject to strict reporting requirements by facilities that produce, store, or use it in significant quantities. The global industrial production of ammonia in 2021 was 235 million tonnes. Industrial ammonia is sold either as ammonia liquor (usually 28% ammonia in water) or as pressurised or refrigerated anhydrous liquid ammonia transported in tank cars or cylinders. For fundamental reasons, the production of ammonia from the elements hydrogen and nitrogen is difficult, requiring high pressures and high temperatures. The Haber process that enabled industrial production was invented at the beginning of the 20th century, revolutionizing agriculture. boils at at a pressure of one atmosphere, so the liquid must be stored under pressure or at low temperature. Household ammonia or ammonium hydroxide is a solution of in water. The concentration of such solutions is measured in units of the Baumé scale (density), with 26 degrees Baumé (about 30% of ammonia by weight at ) being the typical high-concentration commercial product. Etymology Pliny, in Book XXXI of his Natural History, refers to a salt named hammoniacum, so called because of its proximity to the nearby Temple of Jupiter Amun (Greek Ἄμμων Ammon) in the Roman province of Cyrenaica. However, the description Pliny gives of the salt does not conform to the properties of ammonium chloride. According to Herbert Hoover's commentary in his English translation of Georgius Agricola's De re metallica, it is likely to have been common sea salt. In any case, that salt ultimately gave ammonia and ammonium compounds their name. Natural occurrence Ammonia is a chemical found in trace quantities on Earth, being produced from nitrogenous animal and vegetable matter. Ammonia and ammonium salts are also found in small quantities in rainwater, whereas ammonium chloride (sal ammoniac), and ammonium sulfate are found in volcanic districts. Crystals of ammonium bicarbonate have been found in Patagonia guano. Ammonia is also found throughout the Solar System on Mars, Jupiter, Saturn, Uranus, Neptune, and Pluto, among other places: on smaller, icy bodies such as Pluto, ammonia can act as a geologically important antifreeze, as a mixture of water and ammonia can have a melting point as low as if the ammonia concentration is high enough and thus allow such bodies to retain internal oceans and active geology at a far lower temperature than would be possible with water alone. Substances containing ammonia, or those that are similar to it, are called ammoniacal. Properties Ammonia is a colourless gas with a characteristically pungent smell. It is lighter than air, its density being 0.589 times that of air. It is easily liquefied due to the strong hydrogen bonding between molecules. Gaseous ammonia turns to a colourless liquid, which boils at , and freezes to colourless crystals at . Little data is available at very high temperatures and pressures, such as supercritical conditions. Solid The crystal symmetry is cubic, Pearson symbol cP16, space group P213 No.198, lattice constant 0.5125 nm. Liquid Liquid ammonia possesses strong ionising powers reflecting its high ε of 22. Liquid ammonia has a very high standard enthalpy change of vapourization (23.35 kJ/mol; for comparison, water's is 40.65 kJ/mol, methane 8.19 kJ/mol and phosphine 14.6 kJ/mol) and can therefore be used in laboratories in uninsulated vessels without additional refrigeration. See liquid ammonia as a solvent. Solvent properties Ammonia readily dissolves in water. In an aqueous solution, it can be expelled by boiling. The aqueous solution of ammonia is basic. The maximum concentration of ammonia in water (a saturated solution) has a density of 0.880 g/cm3 and is often known as '.880 ammonia'. Table of thermal and physical properties of saturated liquid ammonia: Table of thermal and physical properties of ammonia () at atmospheric pressure: Decomposition At high temperature and in the presence of a suitable catalyst or in a pressurised vessel with constant volume and high temperature (e.g. ), ammonia is decomposed into its constituent elements. Decomposition of ammonia is a slightly endothermic process requiring 23 kJ/mol (5.5 kcal/mol) of ammonia, and yields hydrogen and nitrogen gas. Ammonia can also be used as a source of hydrogen for acid fuel cells if the unreacted ammonia can be removed. Ruthenium and platinum catalysts were found to be the most active, whereas supported Ni catalysts were less active. Structure The ammonia molecule has a trigonal pyramidal shape as predicted by the valence shell electron pair repulsion theory (VSEPR theory) with an experimentally determined bond angle of 106.7°. The central nitrogen atom has five outer electrons with an additional electron from each hydrogen atom. This gives a total of eight electrons, or four electron pairs that are arranged tetrahedrally. Three of these electron pairs are used as bond pairs, which leaves one lone pair of electrons. The lone pair repels more strongly than bond pairs; therefore, the bond angle is not 109.5°, as expected for a regular tetrahedral arrangement, but 106.8°. This shape gives the molecule a dipole moment and makes it polar. The molecule's polarity, and especially its ability to form hydrogen bonds, makes ammonia highly miscible with water. The lone pair makes ammonia a base, a proton acceptor. Ammonia is moderately basic; a 1.0 M aqueous solution has a pH of 11.6, and if a strong acid is added to such a solution until the solution is neutral (), 99.4% of the ammonia molecules are protonated. Temperature and salinity also affect the proportion of ammonium . The latter has the shape of a regular tetrahedron and is isoelectronic with methane. The ammonia molecule readily undergoes nitrogen inversion at room temperature; a useful analogy is an umbrella turning itself inside out in a strong wind. The energy barrier to this inversion is 24.7 kJ/mol, and the resonance frequency is 23.79 GHz, corresponding to microwave radiation of a wavelength of 1.260 cm. The absorption at this frequency was the first microwave spectrum to be observed and was used in the first maser. Amphotericity One of the most characteristic properties of ammonia is its basicity. Ammonia is considered to be a weak base. It combines with acids to form ammonium salts; thus, with hydrochloric acid it forms ammonium chloride (sal ammoniac); with nitric acid, ammonium nitrate, etc. Perfectly dry ammonia gas will not combine with perfectly dry hydrogen chloride gas; moisture is necessary to bring about the reaction. As a demonstration experiment under air with ambient moisture, opened bottles of concentrated ammonia and hydrochloric acid solutions produce a cloud of ammonium chloride, which seems to appear 'out of nothing' as the salt aerosol forms where the two diffusing clouds of reagents meet between the two bottles. The salts produced by the action of ammonia on acids are known as the ammonium salts and all contain the ammonium ion (). Although ammonia is well known as a weak base, it can also act as an extremely weak acid. It is a protic substance and is capable of formation of amides (which contain the ion). For example, lithium dissolves in liquid ammonia to give a blue solution (solvated electron) of lithium amide: Self-dissociation Like water, liquid ammonia undergoes molecular autoionisation to form its acid and base conjugates: Ammonia often functions as a weak base, so it has some buffering ability. Shifts in pH will cause more or fewer ammonium cations () and amide anions () to be present in solution. At standard pressure and temperature, K = = 10−30. Combustion Ammonia does not burn readily or sustain combustion, except under narrow fuel-to-air mixtures of 15–25% air by volume. When mixed with oxygen, it burns with a pale yellowish-green flame. Ignition occurs when chlorine is passed into ammonia, forming nitrogen and hydrogen chloride; if chlorine is present in excess, then the highly explosive nitrogen trichloride () is also formed. The combustion of ammonia to form nitrogen and water is exothermic: , ΔH°r = −1267.20 kJ (or −316.8 kJ/mol if expressed per mol of ) The standard enthalpy change of combustion, ΔH°c, expressed per mole of ammonia and with condensation of the water formed, is −382.81 kJ/mol. Dinitrogen is the thermodynamic product of combustion: all nitrogen oxides are unstable with respect to and , which is the principle behind the catalytic converter. Nitrogen oxides can be formed as kinetic products in the presence of appropriate catalysts, a reaction of great industrial importance in the production of nitric acid: A subsequent reaction leads to : The combustion of ammonia in air is very difficult in the absence of a catalyst (such as platinum gauze or warm chromium(III) oxide), due to the relatively low heat of combustion, a lower laminar burning velocity, high auto-ignition temperature, high heat of vapourization, and a narrow flammability range. However, recent studies have shown that efficient and stable combustion of ammonia can be achieved using swirl combustors, thereby rekindling research interest in ammonia as a fuel for thermal power production. The flammable range of ammonia in dry air is 15.15–27.35% and in 100% relative humidity air is 15.95–26.55%. For studying the kinetics of ammonia combustion, knowledge of a detailed reliable reaction mechanism is required, but this has been challenging to obtain. Formation of other compounds Ammonia is a direct or indirect precursor to most manufactured nitrogen-containing compounds. In organic chemistry, ammonia can act as a nucleophile in substitution reactions. Amines can be formed by the reaction of ammonia with alkyl halides or with alcohols. The resulting − group is also nucleophilic so secondary and tertiary amines are often formed. When such multiple substitution is not desired, an excess of ammonia helps minimise it. For example, methylamine is prepared by the reaction of ammonia with chloromethane or with methanol. In both cases, dimethylamine and trimethylamine are co-produced. Ethanolamine is prepared by a ring-opening reaction with ethylene oxide, and when the reaction is allowed to go further it produces diethanolamine and triethanolamine. The reaction of ammonia with 2-bromopropanoic acid has been used to prepare racemic alanine in 70% yield. Amides can be prepared by the reaction of ammonia with carboxylic acid derivatives. For example, ammonia reacts with formic acid (HCOOH) to yield formamide () when heated. Acyl chlorides are the most reactive, but the ammonia must be present in at least a twofold excess to neutralise the hydrogen chloride formed. Esters and anhydrides also react with ammonia to form amides. Ammonium salts of carboxylic acids can be dehydrated to amides by heating to 150–200 °C as long as no thermally sensitive groups are present. The hydrogen in ammonia is susceptible to replacement by a myriad of substituents. When dry ammonia gas is heated with metallic sodium it converts to sodamide, . With chlorine, monochloramine is formed. Pentavalent ammonia is known as λ5-amine, nitrogen pentahydride, or more commonly, ammonium hydride . This crystalline solid is only stable under high pressure and decomposes back into trivalent ammonia (λ3-amine) and hydrogen gas at normal conditions. This substance was once investigated as a possible solid rocket fuel in 1966. Ammonia as a ligand Ammonia can act as a ligand in transition metal complexes. It is a pure σ-donor, in the middle of the spectrochemical series, and shows intermediate hard–soft behaviour (see also ECW model). Its relative donor strength toward a series of acids, versus other Lewis bases, can be illustrated by C-B plots. For historical reasons, ammonia is named ammine in the nomenclature of coordination compounds. Some notable ammine complexes include tetraamminediaquacopper(II) (), a dark blue complex formed by adding ammonia to a solution of copper(II) salts. Tetraamminediaquacopper(II) hydroxide is known as Schweizer's reagent, and has the remarkable ability to dissolve cellulose. Diamminesilver(I) () is the active species in Tollens' reagent. Formation of this complex can also help to distinguish between precipitates of the different silver halides: silver chloride (AgCl) is soluble in dilute (2 M) ammonia solution, silver bromide (AgBr) is only soluble in concentrated ammonia solution, whereas silver iodide (AgI) is insoluble in aqueous ammonia. Ammine complexes of chromium(III) were known in the late 19th century, and formed the basis of Alfred Werner's revolutionary theory on the structure of coordination compounds. Werner noted only two isomers (fac- and mer-) of the complex could be formed, and concluded the ligands must be arranged around the metal ion at the vertices of an octahedron. This proposal has since been confirmed by X-ray crystallography. An ammine ligand bound to a metal ion is markedly more acidic than a free ammonia molecule, although deprotonation in aqueous solution is still rare. One example is the reaction of mercury(II) chloride with ammonia (Calomel reaction) where the resulting mercuric amidochloride is highly insoluble. Ammonia forms 1:1 adducts with a variety of Lewis acids such as , phenol, and . Ammonia is a hard base (HSAB theory) and its E & C parameters are EB = 2.31 and CB = 2.04. Its relative donor strength toward a series of acids, versus other Lewis bases, can be illustrated by C-B plots. Detection and determination Ammonia in solution Ammonia and ammonium salts can be readily detected, in very minute traces, by the addition of Nessler's solution, which gives a distinct yellow colouration in the presence of the slightest trace of ammonia or ammonium salts. The amount of ammonia in ammonium salts can be estimated quantitatively by distillation of the salts with sodium (NaOH) or potassium hydroxide (KOH), the ammonia evolved being absorbed in a known volume of standard sulfuric acid and the excess of acid then determined volumetrically; or the ammonia may be absorbed in hydrochloric acid and the ammonium chloride so formed precipitated as ammonium hexachloroplatinate, . Gaseous ammonia Sulfur sticks are burnt to detect small leaks in industrial ammonia refrigeration systems. Larger quantities can be detected by warming the salts with a caustic alkali or with quicklime, when the characteristic smell of ammonia will be at once apparent. Ammonia is an irritant and irritation increases with concentration; the permissible exposure limit is 25 ppm, and lethal above 500 ppm. Higher concentrations are hardly detected by conventional detectors, the type of detector is chosen according to the sensitivity required (e.g. semiconductor, catalytic, electrochemical). Holographic sensors have been proposed for detecting concentrations up to 12.5% in volume. Ammoniacal nitrogen (NH3–N) Ammoniacal nitrogen (NH3–N) is a measure commonly used for testing the quantity of ammonium ions, derived naturally from ammonia, and returned to ammonia via organic processes, in water or waste liquids. It is a measure used mainly for quantifying values in waste treatment and water purification systems, as well as a measure of the health of natural and man-made water reserves. It is measured in units of mg/L (milligram per litre). History The ancient Greek historian Herodotus mentioned that there were outcrops of salt in an area of Libya that was inhabited by a people called the 'Ammonians' (now the Siwa oasis in northwestern Egypt, where salt lakes still exist). The Greek geographer Strabo also mentioned the salt from this region. However, the ancient authors Dioscorides, Apicius, Arrian, Synesius, and Aëtius of Amida described this salt as forming clear crystals that could be used for cooking and that were essentially rock salt. Hammoniacus sal appears in the writings of Pliny, although it is not known whether the term is identical with the more modern sal ammoniac (ammonium chloride). The fermentation of urine by bacteria produces a solution of ammonia; hence fermented urine was used in Classical Antiquity to wash cloth and clothing, to remove hair from hides in preparation for tanning, to serve as a mordant in dying cloth, and to remove rust from iron. It was also used by ancient dentists to wash teeth. In the form of sal ammoniac (نشادر, nushadir), ammonia was important to the Muslim alchemists. It was mentioned in the Book of Stones, likely written in the 9th century and attributed to Jābir ibn Hayyān. It was also important to the European alchemists of the 13th century, being mentioned by Albertus Magnus. It was also used by dyers in the Middle Ages in the form of fermented urine to alter the colour of vegetable dyes. In the 15th century, Basilius Valentinus showed that ammonia could be obtained by the action of alkalis on sal ammoniac. At a later period, when sal ammoniac was obtained by distilling the hooves and horns of oxen and neutralizing the resulting carbonate with hydrochloric acid, the name 'spirit of hartshorn' was applied to ammonia. Gaseous ammonia was first isolated by Joseph Black in 1756 by reacting sal ammoniac (ammonium chloride) with calcined magnesia (magnesium oxide). It was isolated again by Peter Woulfe in 1767, by Carl Wilhelm Scheele in 1770 and by Joseph Priestley in 1773 and was termed by him 'alkaline air'. Eleven years later in 1785, Claude Louis Berthollet ascertained its composition. The Haber–Bosch process to produce ammonia from the nitrogen in the air was developed by Fritz Haber and Carl Bosch in 1909 and patented in 1910. It was first used on an industrial scale in Germany during World War I, following the allied blockade that cut off the supply of nitrates from Chile. The ammonia was used to produce explosives to sustain war efforts. Before the availability of natural gas, hydrogen as a precursor to ammonia production was produced via the electrolysis of water or using the chloralkali process. With the advent of the steel industry in the 20th century, ammonia became a byproduct of the production of coking coal. Applications Solvent Liquid ammonia is the best-known and most widely studied nonaqueous ionising solvent. Its most conspicuous property is its ability to dissolve alkali metals to form highly coloured, electrically conductive solutions containing solvated electrons. Apart from these remarkable solutions, much of the chemistry in liquid ammonia can be classified by analogy with related reactions in aqueous solutions. Comparison of the physical properties of with those of water shows has the lower melting point, boiling point, density, viscosity, dielectric constant and electrical conductivity; this is due at least in part to the weaker hydrogen bonding in and because such bonding cannot form cross-linked networks, since each molecule has only one lone pair of electrons compared with two for each molecule. The ionic self-dissociation constant of liquid at −50 °C is about 10−33. Solubility of salts Liquid ammonia is an ionising solvent, although less so than water, and dissolves a range of ionic compounds, including many nitrates, nitrites, cyanides, thiocyanates, metal cyclopentadienyl complexes and metal bis(trimethylsilyl)amides. Most ammonium salts are soluble and act as acids in liquid ammonia solutions. The solubility of halide salts increases from fluoride to iodide. A saturated solution of ammonium nitrate (Divers' solution, named after Edward Divers) contains 0.83 mol solute per mole of ammonia and has a vapour pressure of less than 1 bar even at . Solutions of metals Liquid ammonia will dissolve all of the alkali metals and other electropositive metals such as Ca, Sr, Ba, Eu and Yb (also Mg using an electrolytic process). At low concentrations (<0.06 mol/L), deep blue solutions are formed: these contain metal cations and solvated electrons, free electrons that are surrounded by a cage of ammonia molecules. These solutions are very useful as strong reducing agents. At higher concentrations, the solutions are metallic in appearance and in electrical conductivity. At low temperatures, the two types of solution can coexist as immiscible phases. Redox properties of liquid ammonia The range of thermodynamic stability of liquid ammonia solutions is very narrow, as the potential for oxidation to dinitrogen, E° (), is only +0.04 V. In practice, both oxidation to dinitrogen and reduction to dihydrogen are slow. This is particularly true of reducing solutions: the solutions of the alkali metals mentioned above are stable for several days, slowly decomposing to the metal amide and dihydrogen. Most studies involving liquid ammonia solutions are done in reducing conditions; although oxidation of liquid ammonia is usually slow, there is still a risk of explosion, particularly if transition metal ions are present as possible catalysts. Fertiliser In the US , approximately 88% of ammonia was used as fertilisers either as its salts, solutions or anhydrously. When applied to soil, it helps provide increased yields of crops such as maize and wheat. 30% of agricultural nitrogen applied in the US is in the form of anhydrous ammonia, and worldwide, 110 million tonnes are applied each year. Precursor to nitrogenous compounds Ammonia is directly or indirectly the precursor to most nitrogen-containing compounds. Virtually all synthetic nitrogen compounds are derived from ammonia. An important derivative is nitric acid. This key material is generated via the Ostwald process by oxidation of ammonia with air over a platinum catalyst at , ≈9 atm. Nitric oxide is an intermediate in this conversion: Nitric acid is used for the production of fertilisers, explosives and many organonitrogen compounds. Ammonia is also used to make the following compounds: Hydrazine, in the Olin Raschig process and the peroxide process Hydrogen cyanide, in the BMA process and the Andrussow process Hydroxylamine and ammonium carbonate, in the Raschig process Phenol, in the Raschig–Hooker process Urea, in the Bosch–Meiser urea process and in Wöhler synthesis Amino acids, using Strecker amino-acid synthesis Acrylonitrile, in the Sohio process Ammonia can also be used to make compounds in reactions that are not specifically named. Examples of such compounds include ammonium perchlorate, ammonium nitrate, formamide, dinitrogen tetroxide, alprazolam, ethanolamine, ethyl carbamate, hexamethylenetetramine and ammonium bicarbonate. Cleansing agent Household 'ammonia' is a solution of in water, and is used as a general purpose cleaner for many surfaces. Because ammonia results in a relatively streak-free shine, one of its most common uses is to clean glass, porcelain, and stainless steel. It is also frequently used for cleaning ovens and for soaking items to loosen baked-on grime. Household ammonia ranges in concentration by weight from 5% to 10% ammonia. US manufacturers of cleaning products are required to provide the product's material safety data sheet that lists the concentration used. Solutions of ammonia (5–10% by weight) are used as household cleaners, particularly for glass. These solutions are irritating to the eyes and mucous membranes (respiratory and digestive tracts), and to a lesser extent the skin. Experts advise that caution be used to ensure the chemical is not mixed into any liquid containing bleach, due to the danger of forming toxic chloramine gas. Mixing with chlorine-containing products or strong oxidants, such as household bleach, can generate toxic chloramine fumes. Experts also warn not to use ammonia-based cleaners (such as glass or window cleaners) on car touchscreens, due to the risk of damage to the screen's anti-glare and anti-fingerprint coatings. Fermentation Solutions of ammonia ranging from 16% to 25% are used in the fermentation industry as a source of nitrogen for microorganisms and to adjust pH during fermentation. Antimicrobial agent for food products As early as in 1895, it was known that ammonia was 'strongly antiseptic ... it requires 1.4 grams per litre to preserve beef tea (broth).' In one study, anhydrous ammonia destroyed 99.999% of zoonotic bacteria in three types of animal feed, but not silage. Anhydrous ammonia is currently used commercially to reduce or eliminate microbial contamination of beef. Lean finely textured beef (popularly known as 'pink slime') in the beef industry is made from fatty beef trimmings (c. 50–70% fat) by removing the fat using heat and centrifugation, then treating it with ammonia to kill E. coli. The process was deemed effective and safe by the US Department of Agriculture based on a study that found that the treatment reduces E. coli to undetectable levels. There have been safety concerns about the process as well as consumer complaints about the taste and smell of ammonia-treated beef. Fuel Ammonia has been used as fuel, and is a proposed alternative to fossil fuels and hydrogen in the future. Compared to hydrogen, ammonia is easier to store. Compared to hydrogen as a fuel, ammonia is much more energy efficient, and could be produced, stored and delivered at a much lower cost than hydrogen, which must be kept compressed or as a cryogenic liquid. The raw energy density of liquid ammonia is 11.5 MJ/L, which is about a third that of diesel. Ammonia can be converted back to hydrogen to be used to power hydrogen fuel cells, or it may be used directly within high-temperature solid oxide direct ammonia fuel cells to provide efficient power sources that do not emit greenhouse gases. Ammonia to hydrogen conversion can be achieved through the sodium amide process or the catalytic decomposition of ammonia using solid catalysts. Ammonia engines or ammonia motors, using ammonia as a working fluid, have been proposed and occasionally used. The principle is similar to that used in a fireless locomotive, but with ammonia as the working fluid, instead of steam or compressed air. Ammonia engines were used experimentally in the 19th century by Goldsworthy Gurney in the UK and the St. Charles Avenue Streetcar line in New Orleans in the 1870s and 1880s, and during World War II ammonia was used to power buses in Belgium. Ammonia is sometimes proposed as a practical alternative to fossil fuel for internal combustion engines. However, ammonia cannot be easily used in existing Otto cycle engines because of its very narrow flammability range. Despite this, several tests have been run. Its high octane rating of 120 and low flame temperature allows the use of high compression ratios without a penalty of high production. Since ammonia contains no carbon, its combustion cannot produce carbon dioxide, carbon monoxide, hydrocarbons, or soot. Ammonia production currently creates 1.8% of global emissions. 'Green ammonia' is ammonia produced by using green hydrogen (hydrogen produced by electrolysis), whereas 'blue ammonia' is ammonia produced using blue hydrogen (hydrogen produced by steam methane reforming where the carbon dioxide has been captured and stored). Rocket engines have also been fueled by ammonia. The Reaction Motors XLR99 rocket engine that powered the hypersonic research aircraft used liquid ammonia. Although not as powerful as other fuels, it left no soot in the reusable rocket engine, and its density approximately matches the density of the oxidiser, liquid oxygen, which simplified the aircraft's design. In early August 2018, scientists from Australia's Commonwealth Scientific and Industrial Research Organisation (CSIRO) announced the success of developing a process to release hydrogen from ammonia and harvest that at ultra-high purity as a fuel for cars. This uses a special membrane. Two demonstration fuel cell vehicles have the technology, a Hyundai Nexo and Toyota Mirai. In 2020, Saudi Arabia shipped 40 metric tons of liquid 'blue ammonia' to Japan for use as a fuel. It was produced as a by-product by petrochemical industries, and can be burned without giving off greenhouse gases. Its energy density by volume is nearly double that of liquid hydrogen. If the process of creating it can be scaled up via purely renewable resources, producing green ammonia, it could make a major difference in avoiding climate change. The company ACWA Power and the city of Neom have announced the construction of a green hydrogen and ammonia plant in 2020. Green ammonia is considered as a potential fuel for future container ships. In 2020, the companies DSME and MAN Energy Solutions announced the construction of an ammonia-based ship, DSME plans to commercialize it by 2025. The use of ammonia as a potential alternative fuel for aircraft jet engines is also being explored. Japan intends to implement a plan to develop ammonia co-firing technology that can increase the use of ammonia in power generation, as part of efforts to assist domestic and other Asian utilities to accelerate their transition to carbon neutrality. In October 2021, the first International Conference on Fuel Ammonia (ICFA2021) was held. In June 2022, IHI Corporation succeeded in reducing greenhouse gases by over 99% during combustion of liquid ammonia in a 2,000-kilowatt-class gas turbine achieving truly -free power generation. In July 2022, Quad nations of Japan, the U.S., Australia and India agreed to promote technological development for clean-burning hydrogen and ammonia as fuels at the security grouping's first energy meeting. , however, significant amounts of are produced. Nitrous oxide may also be a problem. Other Remediation of gaseous emissions Ammonia is used to scrub from the burning of fossil fuels, and the resulting product is converted to ammonium sulfate for use as fertiliser. Ammonia neutralises the nitrogen oxide () pollutants emitted by diesel engines. This technology, called SCR (selective catalytic reduction), relies on a vanadia-based catalyst. Ammonia may be used to mitigate gaseous spills of phosgene. As a hydrogen carrier Due to its attributes, being liquid at ambient temperature under its own vapour pressure and having high volumetric and gravimetric energy density, ammonia is considered a suitable carrier for hydrogen, and may be cheaper than direct transport of liquid hydrogen. Refrigeration – R717 Because of ammonia's vapourization properties, it is a useful refrigerant. It was commonly used before the popularisation of chlorofluorocarbons (Freons). Anhydrous ammonia is widely used in industrial refrigeration applications and hockey rinks because of its high energy efficiency and low cost. It suffers from the disadvantage of toxicity, and requiring corrosion resistant components, which restricts its domestic and small-scale use. Along with its use in modern vapour-compression refrigeration it is used in a mixture along with hydrogen and water in absorption refrigerators. The Kalina cycle, which is of growing importance to geothermal power plants, depends on the wide boiling range of the ammonia–water mixture. Ammonia coolant is also used in the S1 radiator aboard the International Space Station in two loops that are used to regulate the internal temperature and enable temperature-dependent experiments. The potential importance of ammonia as a refrigerant has increased with the discovery that vented CFCs and HFCs are extremely potent and stable greenhouse gases. Stimulant Ammonia, as the vapour released by smelling salts, has found significant use as a respiratory stimulant. Ammonia is commonly used in the illegal manufacture of methamphetamine through a Birch reduction. The Birch method of making methamphetamine is dangerous because the alkali metal and liquid ammonia are both extremely reactive, and the temperature of liquid ammonia makes it susceptible to explosive boiling when reactants are added. Textile Liquid ammonia is used for treatment of cotton materials, giving properties like mercerisation, using alkalis. In particular, it is used for prewashing of wool. Lifting gas At standard temperature and pressure, ammonia is less dense than atmosphere and has approximately 45–48% of the lifting power of hydrogen or helium. Ammonia has sometimes been used to fill balloons as a lifting gas. Because of its relatively high boiling point (compared to helium and hydrogen), ammonia could potentially be refrigerated and liquefied aboard an airship to reduce lift and add ballast (and returned to a gas to add lift and reduce ballast). Fuming Ammonia has been used to darken quartersawn white oak in Arts & Crafts and Mission-style furniture. Ammonia fumes react with the natural tannins in the wood and cause it to change colour. Safety The US Occupational Safety and Health Administration (OSHA) has set a 15-minute exposure limit for gaseous ammonia of 35 ppm by volume in the environmental air and an 8-hour exposure limit of 25 ppm by volume. The National Institute for Occupational Safety and Health (NIOSH) recently reduced the IDLH (Immediately Dangerous to Life and Health, the level to which a healthy worker can be exposed for 30 minutes without suffering irreversible health effects) from 500 to 300 based on recent more conservative interpretations of original research in 1943. Other organisations have varying exposure levels. US Navy Standards [U.S. Bureau of Ships 1962] maximum allowable concentrations (MACs): for continuous exposure (60 days) is 25 ppm; for exposure of 1 hour is 400 ppm. Ammonia vapour has a sharp, irritating, pungent odor that acts as a warning of potentially dangerous exposure. The average odor threshold is 5 ppm, well below any danger or damage. Exposure to very high concentrations of gaseous ammonia can result in lung damage and death. Ammonia is regulated in the US as a non-flammable gas, but it meets the definition of a material that is toxic by inhalation and requires a hazardous safety permit when transported in quantities greater than . Liquid ammonia is dangerous because it is hygroscopic and because it can cause caustic burns. See for more information. Toxicity The toxicity of ammonia solutions does not usually cause problems for humans and other mammals, as a specific mechanism exists to prevent its build-up in the bloodstream. Ammonia is converted to carbamoyl phosphate by the enzyme carbamoyl phosphate synthetase, and then enters the urea cycle to be either incorporated into amino acids or excreted in the urine. Fish and amphibians lack this mechanism, as they can usually eliminate ammonia from their bodies by direct excretion. Ammonia even at dilute concentrations is highly toxic to aquatic animals, and for this reason it is classified as dangerous for the environment. Atmospheric ammonia plays a key role in the formation of fine particulate matter. Ammonia is a constituent of tobacco smoke. Coking wastewater Ammonia is present in coking wastewater streams, as a liquid by-product of the production of coke from coal. In some cases, the ammonia is discharged to the marine environment where it acts as a pollutant. The Whyalla steelworks in South Australia is one example of a coke-producing facility that discharges ammonia into marine waters. Aquaculture Ammonia toxicity is believed to be a cause of otherwise unexplained losses in fish hatcheries. Excess ammonia may accumulate and cause alteration of metabolism or increases in the body pH of the exposed organism. Tolerance varies among fish species. At lower concentrations, around 0.05 mg/L, un-ionised ammonia is harmful to fish species and can result in poor growth and feed conversion rates, reduced fecundity and fertility and increase stress and susceptibility to bacterial infections and diseases. Exposed to excess ammonia, fish may suffer loss of equilibrium, hyper-excitability, increased respiratory activity and oxygen uptake and increased heart rate. At concentrations exceeding 2.0 mg/L, ammonia causes gill and tissue damage, extreme lethargy, convulsions, coma, and death. Experiments have shown that the lethal concentration for a variety of fish species ranges from 0.2 to 2.0 mg/L. During winter, when reduced feeds are administered to aquaculture stock, ammonia levels can be higher. Lower ambient temperatures reduce the rate of algal photosynthesis so less ammonia is removed by any algae present. Within an aquaculture environment, especially at large scale, there is no fast-acting remedy to elevated ammonia levels. Prevention rather than correction is recommended to reduce harm to farmed fish and in open water systems, the surrounding environment. Storage information Similar to propane, anhydrous ammonia boils below room temperature when at atmospheric pressure. A storage vessel capable of is suitable to contain the liquid. Ammonia is used in numerous different industrial applications requiring carbon or stainless steel storage vessels. Ammonia with at least 0.2% by weight water content is not corrosive to carbon steel. carbon steel construction storage tanks with 0.2% by weight or more of water could last more than 50 years in service. Experts warn that ammonium compounds not be allowed to come in contact with bases (unless in an intended and contained reaction), as dangerous quantities of ammonia gas could be released. Laboratory The hazards of ammonia solutions depend on the concentration: 'dilute' ammonia solutions are usually 5–10% by weight (< 5.62 mol/L); 'concentrated' solutions are usually prepared at >25% by weight. A 25% (by weight) solution has a density of 0.907 g/cm3, and a solution that has a lower density will be more concentrated. The European Union classification of ammonia solutions is given in the table. The ammonia vapour from concentrated ammonia solutions is severely irritating to the eyes and the respiratory tract, and experts warn that these solutions only be handled in a fume hood. Saturated ('0.880' – see ) solutions can develop a significant pressure inside a closed bottle in warm weather, and experts also warn that the bottle be opened with care. This is not usually a problem for 25% ('0.900') solutions. Experts warn that ammonia solutions not be mixed with halogens, as toxic and/or explosive products are formed. Experts also warn that prolonged contact of ammonia solutions with silver, mercury or iodide salts can also lead to explosive products: such mixtures are often formed in qualitative inorganic analysis, and that it needs to be lightly acidified but not concentrated (<6% w/v) before disposal once the test is completed. Laboratory use of anhydrous ammonia (gas or liquid) Anhydrous ammonia is classified as toxic (T) and dangerous for the environment (N). The gas is flammable (autoignition temperature: 651 °C) and can form explosive mixtures with air (16–25%). The permissible exposure limit (PEL) in the United States is 50 ppm (35 mg/m3), while the IDLH concentration is estimated at 300 ppm. Repeated exposure to ammonia lowers the sensitivity to the smell of the gas: normally the odour is detectable at concentrations of less than 50 ppm, but desensitised individuals may not detect it even at concentrations of 100 ppm. Anhydrous ammonia corrodes copper- and zinc-containing alloys, which makes brass fittings not appropriate for handling the gas. Liquid ammonia can also attack rubber and certain plastics. Ammonia reacts violently with the halogens. Nitrogen triiodide, a primary high explosive, is formed when ammonia comes in contact with iodine. Ammonia causes the explosive polymerisation of ethylene oxide. It also forms explosive fulminating compounds with compounds of gold, silver, mercury, germanium or tellurium, and with stibine. Violent reactions have also been reported with acetaldehyde, hypochlorite solutions, potassium ferricyanide and peroxides. Production Ammonia has one of the highest rates of production of any inorganic chemical. Production is sometimes expressed in terms of 'fixed nitrogen'. Global production was estimated as being 160 million tonnes in 2020 (147 tons of fixed nitrogen). China accounted for 26.5% of that, followed by Russia at 11.0%, the United States at 9.5%, and India at 8.3%. Before the start of World War I, most ammonia was obtained by the dry distillation of nitrogenous vegetable and animal waste products, including camel dung, where it was distilled by the reduction of nitrous acid and nitrites with hydrogen; in addition, it was produced by the distillation of coal, and also by the decomposition of ammonium salts by alkaline hydroxides such as quicklime: For small scale laboratory synthesis, one can heat urea and calcium hydroxide: Haber–Bosch Electrochemical Ammonia can be synthesized electrochemically. The only required inputs are sources of nitrogen (potentially atmospheric) and hydrogen (water), allowing generation at the point of use. The availability of renewable energy creates the possibility of zero emission production. 'Green Ammonia' is a name for ammonia produced from hydrogen that is in turn produced from carbon-free sources such as electrolysis of water. Ammonia from this source can be used as a liquid fuel with zero contribution to global climate change. Another electrochemical synthesis mode involves the reductive formation of lithium nitride, which can be protonated to ammonia, given a proton source. Ethanol has been used as such a source, although it may degrade. The first use of this chemistry was reported in 1930, where lithium solutions in ethanol were used to produce ammonia at pressures of up to 1000 bar. In 1994, Tsuneto et al. used lithium electrodeposition in tetrahydrofuran to synthesize ammonia at more moderate pressures with reasonable Faradaic efficiency. Other studies have since used the ethanol–tetrahydrofuran system for electrochemical ammonia synthesis. In 2019, Lazouski et al. proposed a mechanism to explain observed ammonia formation kinetics. In 2020, Lazouski et al. developed a solvent-agnostic gas diffusion electrode to improve nitrogen transport to the reactive lithium. The study observed production rates of up to 30 ± 5 nmol/s/cm2 and Faradaic efficiencies of up to 47.5 ± 4% at ambient temperature and 1 bar pressure. In 2021, Suryanto et al. replaced ethanol with a tetraalkyl phosphonium salt. This cation can stably undergo deprotonation–reprotonation cycles, while it enhances the medium's ionic conductivity. The study observed production rates of 53 ± 1 nmol/s/cm2 at 69 ± 1% faradaic efficiency experiments under 0.5-bar hydrogen and 19.5-bar nitrogen partial pressure at ambient temperature. Role in biological systems and human disease Ammonia is both a metabolic waste and a metabolic input throughout the biosphere. It is an important source of nitrogen for living systems. Although atmospheric nitrogen abounds (more than 75%), few living creatures are capable of using atmospheric nitrogen in its diatomic form, gas. Therefore, nitrogen fixation is required for the synthesis of amino acids, which are the building blocks of protein. Some plants rely on ammonia and other nitrogenous wastes incorporated into the soil by decaying matter. Others, such as nitrogen-fixing legumes, benefit from symbiotic relationships with rhizobia bacteria that create ammonia from atmospheric nitrogen. In humans, inhaling ammonia in high concentrations can be fatal. Exposure to ammonia can cause headaches, edema, impaired memory, seizures and coma as it is neurotoxic in nature. Biosynthesis In certain organisms, ammonia is produced from atmospheric nitrogen by enzymes called nitrogenases. The overall process is called nitrogen fixation. Intense effort has been directed toward understanding the mechanism of biological nitrogen fixation. The scientific interest in this problem is motivated by the unusual structure of the active site of the enzyme, which consists of an ensemble. Ammonia is also a metabolic product of amino acid deamination catalyzed by enzymes such as glutamate dehydrogenase 1. Ammonia excretion is common in aquatic animals. In humans, it is quickly converted to urea (by liver), which is much less toxic, particularly less basic. This urea is a major component of the dry weight of urine. Most reptiles, birds, insects, and snails excrete uric acid solely as nitrogenous waste. Physiology Ammonia plays a role in both normal and abnormal animal physiology. It is biosynthesised through normal amino acid metabolism and is toxic in high concentrations. The liver converts ammonia to urea through a series of reactions known as the urea cycle. Liver dysfunction, such as that seen in cirrhosis, may lead to elevated amounts of ammonia in the blood (hyperammonemia). Likewise, defects in the enzymes responsible for the urea cycle, such as ornithine transcarbamylase, lead to hyperammonemia. Hyperammonemia contributes to the confusion and coma of hepatic encephalopathy, as well as the neurologic disease common in people with urea cycle defects and organic acidurias. Ammonia is important for normal animal acid/base balance. After formation of ammonium from glutamine, α-ketoglutarate may be degraded to produce two bicarbonate ions, which are then available as buffers for dietary acids. Ammonium is excreted in the urine, resulting in net acid loss. Ammonia may itself diffuse across the renal tubules, combine with a hydrogen ion, and thus allow for further acid excretion. Excretion Ammonium ions are a toxic waste product of metabolism in animals. In fish and aquatic invertebrates, it is excreted directly into the water. In mammals, sharks, and amphibians, it is converted in the urea cycle to urea, which is less toxic and can be stored more efficiently. In birds, reptiles, and terrestrial snails, metabolic ammonium is converted into uric acid, which is solid and can therefore be excreted with minimal water loss. Beyond Earth Ammonia has been detected in the atmospheres of the giant planets Jupiter, Saturn, Uranus and Neptune, along with other gases such as methane, hydrogen, and helium. The interior of Saturn may include frozen ammonia crystals. It is found on Deimos and Phobos – the two moons of Mars. Interstellar space Ammonia was first detected in interstellar space in 1968, based on microwave emissions from the direction of the galactic core. This was the first polyatomic molecule to be so detected. The sensitivity of the molecule to a broad range of excitations and the ease with which it can be observed in a number of regions has made ammonia one of the most important molecules for studies of molecular clouds. The relative intensity of the ammonia lines can be used to measure the temperature of the emitting medium. The following isotopic species of ammonia have been detected: , , , , and . The detection of triply deuterated ammonia was considered a surprise as deuterium is relatively scarce. It is thought that the low-temperature conditions allow this molecule to survive and accumulate. Since its interstellar discovery, has proved to be an invaluable spectroscopic tool in the study of the interstellar medium. With a large number of transitions sensitive to a wide range of excitation conditions, has been widely astronomically detected – its detection has been reported in hundreds of journal articles. Listed below is a sample of journal articles that highlights the range of detectors that have been used to identify ammonia. The study of interstellar ammonia has been important to a number of areas of research in the last few decades. Some of these are delineated below and primarily involve using ammonia as an interstellar thermometer. Interstellar formation mechanisms The interstellar abundance for ammonia has been measured for a variety of environments. The []/[] ratio has been estimated to range from 10−7 in small dark clouds up to 10−5 in the dense core of the Orion molecular cloud complex. Although a total of 18 total production routes have been proposed, the principal formation mechanism for interstellar is the reaction: The rate constant, k, of this reaction depends on the temperature of the environment, with a value of at 10 K. The rate constant was calculated from the formula . For the primary formation reaction, and . Assuming an abundance of and an electron abundance of 10−7 typical of molecular clouds, the formation will proceed at a rate of in a molecular cloud of total density . All other proposed formation reactions have rate constants of between two and 13 orders of magnitude smaller, making their contribution to the abundance of ammonia relatively insignificant. As an example of the minor contribution other formation reactions play, the reaction: has a rate constant of 2.2. Assuming densities of 105 and []/[] ratio of 10−7, this reaction proceeds at a rate of 2.2, more than three orders of magnitude slower than the primary reaction above. Some of the other possible formation reactions are: Interstellar destruction mechanisms There are 113 total proposed reactions leading to the destruction of . Of these, 39 were tabulated in extensive tables of the chemistry among C, N and O compounds. A review of interstellar ammonia cites the following reactions as the principal dissociation mechanisms: with rate constants of 4.39×10−9 and 2.2×10−9, respectively. The above equations (, ) run at a rate of 8.8×10−9 and 4.4×10−13, respectively. These calculations assumed the given rate constants and abundances of []/[] = 10−5, []/[] = 2×10−5, []/[] = 2×10−9, and total densities of n = 105, typical of cold, dense, molecular clouds. Clearly, between these two primary reactions, equation () is the dominant destruction reaction, with a rate ≈10,000 times faster than equation (). This is due to the relatively high abundance of . Single antenna detections Radio observations of from the Effelsberg 100-m Radio Telescope reveal that the ammonia line is separated into two components – a background ridge and an unresolved core. The background corresponds well with the locations previously detected CO. The 25 m Chilbolton telescope in England detected radio signatures of ammonia in H II regions, HNH2O masers, H–H objects, and other objects associated with star formation. A comparison of emission line widths indicates that turbulent or systematic velocities do not increase in the central cores of molecular clouds. Microwave radiation from ammonia was observed in several galactic objects including W3(OH), Orion A, W43, W51, and five sources in the galactic centre. The high detection rate indicates that this is a common molecule in the interstellar medium and that high-density regions are common in the galaxy. Interferometric studies VLA observations of in seven regions with high-velocity gaseous outflows revealed condensations of less than 0.1 pc in L1551, S140, and Cepheus A. Three individual condensations were detected in Cepheus A, one of them with a highly elongated shape. They may play an important role in creating the bipolar outflow in the region. Extragalactic ammonia was imaged using the VLA in IC 342. The hot gas has temperatures above 70 K, which was inferred from ammonia line ratios and appears to be closely associated with the innermost portions of the nuclear bar seen in CO. was also monitored by VLA toward a sample of four galactic ultracompact HII regions: G9.62+0.19, G10.47+0.03, G29.96-0.02, and G31.41+0.31. Based upon temperature and density diagnostics, it is concluded that in general such clumps are probably the sites of massive star formation in an early evolutionary phase prior to the development of an ultracompact HII region. Infrared detections Absorption at 2.97 micrometres due to solid ammonia was recorded from interstellar grains in the Becklin–Neugebauer Object and probably in NGC 2264-IR as well. This detection helped explain the physical shape of previously poorly understood and related ice absorption lines. A spectrum of the disk of Jupiter was obtained from the Kuiper Airborne Observatory, covering the 100 to 300 cm−1 spectral range. Analysis of the spectrum provides information on global mean properties of ammonia gas and an ammonia ice haze. A total of 149 dark cloud positions were surveyed for evidence of 'dense cores' by using the (J,K) = (1,1) rotating inversion line of NH3. In general, the cores are not spherically shaped, with aspect ratios ranging from 1.1 to 4.4. It is also found that cores with stars have broader lines than cores without stars. Ammonia has been detected in the Draco Nebula and in one or possibly two molecular clouds, which are associated with the high-latitude galactic infrared cirrus. The finding is significant because they may represent the birthplaces for the Population I metallicity B-type stars in the galactic halo that could have been borne in the galactic disk. Observations of nearby dark clouds By balancing and stimulated emission with spontaneous emission, it is possible to construct a relation between excitation temperature and density. Moreover, since the transitional levels of ammonia can be approximated by a 2-level system at low temperatures, this calculation is fairly simple. This premise can be applied to dark clouds, regions suspected of having extremely low temperatures and possible sites for future star formation. Detections of ammonia in dark clouds show very narrow linesindicative not only of low temperatures, but also of a low level of inner-cloud turbulence. Line ratio calculations provide a measurement of cloud temperature that is independent of previous CO observations. The ammonia observations were consistent with CO measurements of rotation temperatures of ≈10 K. With this, densities can be determined, and have been calculated to range between 104 and 105 cm−3 in dark clouds. Mapping of gives typical clouds sizes of 0.1 pc and masses near 1 solar mass. These cold, dense cores are the sites of future star formation. UC HII regions Ultra-compact HII regions are among the best tracers of high-mass star formation. The dense material surrounding UCHII regions is likely primarily molecular. Since a complete study of massive star formation necessarily involves the cloud from which the star formed, ammonia is an invaluable tool in understanding this surrounding molecular material. Since this molecular material can be spatially resolved, it is possible to constrain the heating/ionising sources, temperatures, masses, and sizes of the regions. Doppler-shifted velocity components allow for the separation of distinct regions of molecular gas that can trace outflows and hot cores originating from forming stars. Extragalactic detection Ammonia has been detected in external galaxies, and by simultaneously measuring several lines, it is possible to directly measure the gas temperature in these galaxies. Line ratios imply that gas temperatures are warm (≈50 K), originating from dense clouds with sizes of tens of parsecs. This picture is consistent with the picture within our Milky Way galaxyhot dense molecular cores form around newly forming stars embedded in larger clouds of molecular material on the scale of several hundred parsecs (giant molecular clouds; GMCs). See also Notes References Works cited Further reading External links International Chemical Safety Card 0414 (anhydrous ammonia), ilo.org. International Chemical Safety Card 0215 (aqueous solutions), ilo.org. Emergency Response to Ammonia Fertiliser Releases (Spills) for the Minnesota Department of Agriculture.ammoniaspills.org National Institute for Occupational Safety and Health – Ammonia Page, cdc.gov NIOSH Pocket Guide to Chemical Hazards – Ammonia, cdc.gov Ammonia, video Bases (chemistry) Foul-smelling chemicals Gaseous signaling molecules Household chemicals Industrial gases Inorganic solvents Nitrogen cycle Nitrogen hydrides Nitrogen(−III) compounds Refrigerants Toxicology
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https://en.wikipedia.org/wiki/Albertosaurus
Albertosaurus
Albertosaurus (; meaning "Alberta lizard") is a genus of large tyrannosaurid theropod dinosaur that lived in northwestern North America during the early to middle Maastrichtian age of the Late Cretaceous period, about 71 million years ago. The type species, A. sarcophagus, was apparently restricted in range to the modern-day Canadian province of Alberta, after which the genus is named, although an indeterminate species ("cf. Albertosaurus sp.") has been discovered in the Corral de Enmedio and Packard Formations of Mexico. Scientists disagree on the content of the genus and some recognize Gorgosaurus libratus as a second species. As a tyrannosaurid, Albertosaurus was a bipedal predator with short arms, two-fingered hands, and a massive head with dozens of large, sharp teeth, a strong sense of smell, powerful binocular vision, and a bone crushing bite force. It may have even been the apex predator in its local ecosystem. While Albertosaurus was certainly large for a theropod, it was still much smaller than its larger and more famous relative Tyrannosaurus rex, growing up to in length and weighing . Since the first discovery in 1884, fossils of more than 30 individuals have been recovered that provide scientists with a more detailed knowledge of Albertosaurus anatomy than what is available for most other tyrannosaurids. The discovery of 26 individuals in one particular site provides evidence of gregarious behavior and allows for studies of ontogeny and population biology. These are near impossible with lesser-known dinosaurs because their remains are rarer and more fragmentary when compared to those of Albertosaurus. History of discovery Naming Albertosaurus was named by Henry Fairfield Osborn in a one-page note at the end of his 1905 description of Tyrannosaurus rex. Its namesake is Alberta, the Canadian province established the very same year where the first remains were found. The generic name also incorporates the Greek word /sauros, meaning "lizard", which is the most common suffix in dinosaur names. The type species is Albertosaurus sarcophagus and the specific name is derived from the Ancient Greek term σαρκοφάγος (), meaning "flesh-eating", and having the same etymology as the funeral container with which it shares its name, which is a combination of the Greek words σαρξ/ ("flesh") and / ("to eat"). More than 30 specimens of all ages are known to science. Early discoveries The type specimen is a partial skull collected on June 9, 1884 from an outcrop of the Horseshoe Canyon Formation alongside the Red Deer River in Alberta. It was recovered by an expedition of the Geological Survey of Canada, led by the famous geologist Joseph Burr Tyrrell. Due to a lack of specialised equipment, the almost complete skull could only be partially secured. In 1889, Tyrrell's colleague Thomas Chesmer Weston found an incomplete smaller skull associated with some skeletal material at a location nearby. The two skulls were assigned to the preexisting species Laelaps incrassatus by Edward Drinker Cope in 1892. Although the name Laelaps was preoccupied by a genus of mite and had been changed to Dryptosaurus in 1877 by Othniel Charles Marsh, Cope stubbornly refused to recognize the new name created by his archrival. However, Lawrence Lambe used the name Dryptosaurus incrassatus instead of Laelaps incrassatus when he described the remains in detail in 1903 and 1904, which was a combination first coined by Oliver Perry Hay in 1902. Shortly later, Osborn pointed out that D. incrassatus was based on generic tyrannosaurid teeth, so the two Horseshoe Canyon skulls could not be confidently referred to that species. The Horseshoe Canyon skulls also differed markedly from the remains of D. aquilunguis, type species of Dryptosaurus, so Osborn gave them the new name Albertosaurus sarcophagus in 1905. He did not describe the remains in any great detail, citing Lambe's complete description the year before. Both specimens, the holotype CMN 5600 and the paratype CMN 5601, are stored in the Canadian Museum of Nature in Ottawa. By the early twenty-first century, some concerns had arisen that, due to the damaged state of the holotype, Albertosaurus might be a nomen dubium that could only be used for the type specimen itself because other fossils could not reliably be assigned to it. However, in 2010, Thomas Carr established that the holotype, the paratype, and comparable later finds all shared a single common unique trait, or autapomorphy. The possession of an enlarged pneumatic opening in the back rim of the side of the palatine bone proves that Albertosaurus is a valid taxon. Dry Island bone bed On August 11, 1910, American paleontologist Barnum Brown discovered the remains of a large group of Albertosaurus at another quarry alongside the Red Deer River. Because of the large number of bones and the limited time available, Brown's party did not collect every specimen, but made sure to collect remains from all of the individuals that they could identify in the bone bed. Among the bones deposited in the American Museum of Natural History collections in New York City are seven sets of right metatarsals, along with two isolated toe bones that did not match any of the metatarsals in size. This indicated the presence of at least nine individuals in the quarry. Palaeontologist Philip J. Currie of the Royal Tyrrell Museum of Palaeontology rediscovered the bonebed in 1997 and resumed fieldwork at the site, which is now located inside Dry Island Buffalo Jump Provincial Park. Further excavation from 1997 to 2005 turned up the remains of 13 more individuals of various ages, including a diminutive two-year-old and a very old individual estimated at over long. None of these individuals are known from complete skeletons and most are represented by remains in both museums. Excavations continued until 2008, when the minimum number of individuals present had been established at 12 (on the basis of preserved elements that occur only once in a skeleton) and at 26 if mirrored elements were counted when differing in size due to ontogeny. A total of 1,128 Albertosaurus bones had been secured, which is the largest concentration of large theropod fossils known from the Cretaceous. Other discoveries In 1911, Barnum Brown, during the second year of the American Museum of Natural History’s operations in Alberta, uncovered a fragmentary partial Albertosaurus skull at the Red Deer River near Tolman Bridge (specimen AMNH 5222). William Parks described a new species in 1928, Albertosaurus arctunguis, based on a partial skeleton lacking a skull that was excavated by Gus Lindblad and Ralph Hornell near the Red Deer River in 1923, but this species has been considered identical to A. sarcophagus since 1970. Parks' specimen (ROM 807) is housed in the Royal Ontario Museum in Toronto. No Albertosaurus fossils were found from 1926–1972, but there has been an increase in findings since then. Apart from the Dry Island bonebed, six more skulls and skeletons have since been discovered in Alberta and are housed in various Canadian museums. Specimen RTMP 81.010.001 was found in 1978 by amateur paleontologist Maurice Stefanuk. RTMP 85.098.001 was found by Stefanuk on June 16, 1985. RTMP 86.64.001 was found in December of 1985. RTMP 86.205.001 was found in 1986. RTMP 97.058.0001 was found in 1996 and then there is CMN 11315. Unfortunately, none of these skeletons were found with complete skulls. Fossils have also been reported from the American states of Montana, New Mexico, Wyoming, and Missouri, but they are doubted to be from A. sarcophagus and may not even belong to the genus Albertosaurus. Two specimens from "cf Albertosaurus ".sp" have been found in Mexico (Packard Formation and Corral de Enmedio Formation). Gorgosaurus libratus In 1913, paleontologist Charles H. Sternberg recovered another tyrannosaurid skeleton from the slightly older Dinosaur Park Formation in Alberta. Lawrence Lambe named this dinosaur Gorgosaurus libratus in 1914. Other specimens were later found in Alberta and the US state of Montana. Finding no significant differences to separate the two taxa (due mostly to a lack of good Albertosaurus skull material), Dale Russell declared the name Gorgosaurus a junior synonym of Albertosaurus, which had been named first, and G. libratus was renamed Albertosaurus libratus in 1970. A species distinction was maintained because of the age difference. The addition extended the temporal range of the genus Albertosaurus earlier by several million years and its geographic range southwards by hundreds of kilometres. In 2003, Philip J. Currie, benefiting from much more extensive finds and a general increase in anatomical knowledge of theropods, compared several tyrannosaurid skulls and came to the conclusion that the two species are more distinct than previously thought. As the two species are sister taxa, they are more closely related to each other than to any other species of tyrannosaurid. Recognizing this, Currie nevertheless recommended that Albertosaurus and Gorgosaurus be kept as separate genera, as he concluded that they were no more similar than Daspletosaurus and Tyrannosaurus, which are almost always separated. In addition to this, several albertosaurine specimens have been recovered from Alaska and New Mexico. Currie suggested that the Albertosaurus-Gorgosaurus situation may be clarified once these are fully described. Most authors have followed Currie's recommendation, but some have not. Other species In 1930, Anatoly Nikolaevich Riabinin named Albertosaurus pericolosus based on a tooth from China that probably belonged to Tarbosaurus. In 1932, Friedrich von Huene renamed Dryptosaurus incrassatus, not considered a nomen dubium by him, to Albertosaurus incrassatus. Because he had identified Gorgosaurus with Albertosaurus, in 1970, Russell also renamed Gorgosaurus sternbergi (Matthew & Brown 1922) into Albertosaurus sternbergi and Gorgosaurus lancensis (Gilmore 1946) into Albertosaurus lancensis. The former species is today seen as a juvenile form of Gorgosaurus libratus and the latter is seen as either identical to Tyrannosaurus or representing a separate genus, Nanotyrannus. In 1988, Gregory S. Paul based Albertosaurus megagracilis on a small tyrannosaurid skeleton, specimen LACM 28345, from the Hell Creek Formation of Montana. It was renamed Dinotyrannus in 1995, but is now thought to represent a juvenile Tyrannosaurus rex. Also in 1988, Paul renamed Alectrosaurus olseni (Gilmore 1933) into Albertosaurus olseni, but this has found no general acceptance. In 1989, Gorgosaurus novojilovi (Maleev 1955) was renamed by Bryn Mader and Robert Bradley as Albertosaurus novojilovi. On two occasions, species based on valid Albertosaurus material were reassigned to a different genus, Deinodon. In 1922, William Diller Matthew renamed A. sarcophagus into Deinodon sarcophagus. In 1939, German paleontologist Oskar Kuhn renamed A. arctunguis into Deinodon arctunguis. Description Albertosaurus was a fairly large bipedal predator, but smaller than Tarbosaurus and Tyrannosaurus rex. Typical Albertosaurus adults measured up to long and weighed between in body mass. Albertosaurus shared a similar body appearance with all other tyrannosaurids, Gorgosaurus in particular. Typical for a theropod, Albertosaurus was bipedal and balanced its large, heavy head and torso with a long, muscular tail. However, tyrannosaurid forelimbs were extremely small for their body size and retained only two functional fingers, the second being longer than the first. The legs were long and ended in a four-toed foot on which the first toe, the hallux, was very short and did not reach the ground. The third toe was longer than the rest. Albertosaurus may have been able to reach walking speeds of 14–21 km/hour (8–13 mi/hour). At least for the younger individuals, a high running speed is plausible. Two skin impressions from Albertosaurus are known and both show scales. One patch is found associated with some gastralic ribs and the impression of a long, unknown bone, indicating that the patch is from the belly. The scales are pebbly and gradually become larger and somewhat hexagonal in shape. Also preserved are two larger feature scales, placed 4.5 cm apart from each other, making Albertosaurus, along with Carnotaurus, the only known theropods with preserved feature scales. Another skin impression is from an unknown part of the body. These scales are small, diamond-shaped, and arranged in rows. Skull and teeth The massive skull of Albertosaurus, which was perched on a muscular, short, S-shaped neck, was about long in the largest adults. Wide openings in the skull, called fenestrae, provided space for muscle attachment sites and sensory organs that reduced its overall weight. Its long jaws contained, both sides combined, 58 or more banana-shaped teeth. Larger tyrannosaurids possessed fewer teeth, but Gorgosaurus had 62. Unlike most theropods, Albertosaurus and other tyrannosaurids were heterodont, with teeth of different forms depending on their position in the mouth. The premaxillary teeth at the tip of the upper jaw, four per side, were much smaller than the rest, more closely packed, and D-shaped in cross section. Like with Tyrannosaurus rex, the maxillary (cheek) teeth of Albertosaurus were adapted in general form to resist lateral forces exerted by a struggling prey animal. The bite force of Albertosaurus was less formidable, however, with the maximum force, by the back teeth, reaching 3,413 Newtons. Above the eyes were short bony crests that may have been brightly coloured in life and possibly used, by males in particular, in courtship to attract a mate. In 2001, William Abler observed that Albertosaurus tooth serrations resemble a crack in the tooth ending in a round void called an ampulla. Tyrannosaurid teeth were used as holdfasts for pulling flesh off a body, so when a tyrannosaur pulled back on a piece of meat, the tension could cause a purely crack-like serration to spread through the tooth. However, the presence of the ampulla distributed these forces over a larger surface area and lessened the risk of damage to the tooth under strain. The presence of incisions ending in voids has parallels in human engineering. Guitar makers use incisions ending in voids to, as Abler describes, "impart alternating regions of flexibility and rigidity" to wood that they work on. The use of a drill to create an "ampulla" of sorts and prevent the propagation of cracks through material is also used to protect aircraft surfaces. Abler demonstrated that a plexiglass bar with incisions called "kerfs" and drilled holes was more than 25% stronger than one with only regularly placed incisions. Unlike tyrannosaurs, more ancient predators, like phytosaurs and Dimetrodon, had no adaptations to prevent the crack-like serrations of their teeth from spreading when subjected to the forces of feeding. Classification and systematics Albertosaurus is a member of the theropod family Tyrannosauridae, specifically the subfamily Albertosaurinae. Its closest relative is the slightly older Gorgosaurus libratus (sometimes called Albertosaurus libratus; see below). These two species are the only described albertosaurines, but other undescribed species may exist. Thomas Holtz found Appalachiosaurus to be an albertosaurine in 2004, but his more recent unpublished work places it as a basal eotyrannosaurian just outside of Tyrannosauridae, in agreement with other authors. The other major subfamily of tyrannosaurids is Tyrannosaurinae, which includes members like Daspletosaurus, Tarbosaurus, and Tyrannosaurus. Compared with the more robust tyrannosaurines, albertosaurines had slender builds, with proportionately smaller skulls and longer bones of the lower legs (tibia) and feet (metatarsals and phalanges). Below is the cladogram of Tyrannosauridae based on the phylogenetic analysis conducted by Loewen et al. in 2013. Palaeobiology Growth pattern Most age categories of Albertosaurus are represented in the fossil record. Using bone histology, the age of an individual animal at the time of death can often be determined, allowing growth rates to be estimated and compared with other species. The youngest known Albertosaurus is a two-year-old discovered in the Dry Island bonebed, which would have weighed about 50 kilograms (110 lb) and measured slightly more than long. The specimen from the same quarry is 28 years old, the oldest and largest one known. When specimens of intermediate age and size are plotted on a graph, an S-shaped growth curve results, with the most rapid growth occurring in a four-year period ending around the sixteenth year of life, a pattern also seen in other tyrannosaurids. The growth rate during this phase was per year, based on an adult weighing 1.3 tonnes. Other studies have suggested higher adult weights, which would affect the magnitude of the growth rate, but not the overall pattern. Tyrannosaurids similar in size to Albertosaurus had similar growth rates, although the much larger Tyrannosaurus rex grew at almost five times this rate ( per year) at its peak. The end of the rapid growth phase suggests the onset of sexual maturity in Albertosaurus, although growth continued at a slower rate throughout the animals' lives. Sexual maturation while still actively growing appears to be a shared trait among small and large dinosaurs, as well as in large mammals like humans and elephants. This pattern of relatively early sexual maturation differs strikingly from the pattern in birds, which delay their sexual maturity until after they have finished growing. During growth, thickening of the tooth morphology changed so much that, had the association of young and adult skeletons on the Dry Island bonebed not proven that they belonged to the same taxon, the teeth of juveniles would likely have been identified by statistical analysis as those of a different species. Life history Most known Albertosaurus individuals were aged 14 years or older at the time of death. Juvenile animals are rarely fossilized for several reasons, mainly preservation bias, where the smaller bones of younger animals were less likely to be preserved by fossilization than the larger bones of adults, and collection bias, where smaller fossils are less likely to be noticed by collectors in the field. Young Albertosaurus are relatively large for juvenile animals, but their remains are still rare in the fossil record when compared to adults. It has been suggested that this phenomenon is a consequence of life history, rather than bias, and that fossils of juvenile Albertosaurus are rare because they simply did not die as often as adults did. A hypothesis of Albertosaurus life history postulates that hatchlings died in large numbers, but have not been preserved in the fossil record because of their small size and fragile construction. After just two years, juveniles were larger than any other predator in the region, aside from adult Albertosaurus, and more fleet-footed than most of their prey animals. This resulted in a dramatic decrease in their mortality rate and a corresponding rarity of fossil remains. Mortality rates doubled at age twelve, perhaps the result of the physiological demands of the rapid growth phase, and then doubled again with the onset of sexual maturity between the ages of fourteen and sixteen. This elevated mortality rate continued throughout adulthood, perhaps due to the high physiological demands of procreation, including stress and injuries received during intraspecific competition for mates and resources, and the eventual, ever-increasing effects of senescence. The higher mortality rate in adults may explain their more common preservation. Very large animals were rare because few individuals survived long enough to attain such size. High infant mortality rates, followed by reduced mortality among juveniles and a sudden increase in mortality after sexual maturity, with very few animals reaching maximum size, is a pattern observed in many modern large mammals, including elephants, African buffalo, and rhinoceros. The same pattern is also seen in other tyrannosaurids. The comparison with modern animals and other tyrannosaurids lends support to this life history hypothesis, but bias in the fossil record may still play a large role, especially since more than two-thirds of all Albertosaurus specimens are known from the exact same locality. Pack behaviour The Dry Island bonebed discovered by Barnum Brown and his crew contains the remains of 26 Albertosaurus, the most individuals found in one locality of any large Cretaceous theropod and the second-most of any large theropod dinosaur behind the Allosaurus assemblage at the Cleveland-Lloyd Dinosaur Quarry in Utah. The group seems to be composed of one very old adult, eight adults between 17 and 23 years old, seven sub-adults undergoing their rapid growth phases at between 12 and 16 years old, and six juveniles between the ages of 2 and 11 years old that had not yet reached the growth phase. The near-absence of herbivore remains and the similar state of preservation common to the many individuals at the Albertosaurus bonebed quarry led Currie to conclude that the locality was not a predator trap, such as the La Brea Tar Pits in California, and that all of the preserved animals died at the same time. Currie claims this as evidence of pack behavior. Other scientists are skeptical, observing that the animals may have been driven together by a drought, flood, or other reasons. There is plentiful evidence for gregarious behaviour among herbivorous dinosaurs, including ceratopsians and hadrosaurs. However, only rarely are so many dinosaurian predators found at the same site. Small theropods, like Deinonychus and Coelophysis, have been found in aggregations, as have larger predators, such as Allosaurus and Mapusaurus. There is some evidence of gregarious behaviour in other tyrannosaurids as well, as fragmentary remains of smaller individuals were found alongside "Sue", the Tyrannosaurus mounted in the Field Museum of Natural History in Chicago, and a bonebed in the Two Medicine Formation of Montana contains at least three specimens of Daspletosaurus preserved alongside several hadrosaurs. These findings may corroborate the evidence for social behaviour in Albertosaurus, although some or all of the above localities may represent temporary or unnatural aggregations. Others have speculated that, instead of social groups, at least some of these finds represent Komodo dragon-like mobbing of carcasses, where aggressive competition leads to some of the predators being killed and even cannibalized. Currie has also speculated on the pack-hunting habits of Albertosaurus. The leg proportions of the smaller individuals were comparable to those of ornithomimids, which were probably among the fastest dinosaurs. Younger Albertosaurus were probably equally fleet-footed or at least faster than their prey. Currie hypothesized that the younger members of the pack may have been responsible for driving their prey towards the adults, who were larger and more powerful, but also slower. Juveniles may also have had different lifestyles than adults, filling predator niches between the enormous adults and the smaller contemporaneous theropods, the largest of which were two orders of magnitude smaller than adult Albertosaurus in mass. A similar situation is observed in modern Komodo dragons, with hatchlings beginning life as small insectivores before growing to become the dominant predators on their islands. However, as the preservation of behaviour in the fossil record is exceedingly rare, these ideas cannot readily be tested. In 2010, Currie, though still favouring the hunting pack hypothesis, admitted that the concentration could have been brought about by other causes, such as a slowly rising water level during an extended flood. Palaeopathology In 2009, researchers hypothesized that smooth-edged holes found in the fossil jaws of tyrannosaurid dinosaurs, such as Albertosaurus, were caused by a parasite similar to Trichomonas gallinae, which infects birds. They suggested that tyrannosaurids transmitted the infection by biting each other and that the infection impaired their ability to eat. In 2001, Bruce Rothschild and others published a study examining evidence for stress fractures and tendon avulsions in theropod dinosaurs and the implications for their behavior. They found that only one of the 319 Albertosaurus foot bones checked for stress fractures actually had them and none of the four hand bones did. The scientists found that stress fractures were "significantly" less common in Albertosaurus than in the carnosaur Allosaurus. ROM 807, the holotype of A. arctunguis (now referred to A. sarcophagus), had a deep hole in the iliac blade, although the describer of the species did not recognize this as pathological. The specimen also contains some exostosis on the fourth left metatarsal. In 1970, two of the five Albertosaurus sarcophagus specimens with humeri were reported by Dale Russel as having pathological damage to them. In 2010, the health of the Dry Island Albertosaurus assembly was reported upon. Most specimens showed no sign of disease. On three phalanges of the foot, strange bony spurs that consisted of abnormal ossifications of the tendons, so-called enthesophytes, were present, but their cause is unknown. Two ribs and a belly-rib showed signs of breaking and healing. One adult specimen had a left lower jaw showing a puncture wound and both healed and unhealed bite marks. The low number of abnormalities compares favourably with the health condition of a Majungasaurus population of which it was established, in 2007, that 19% of individuals showed bone pathologies. Palaeoecology Most fossils of Albertosaurus sarcophagus are known from the upper Horseshoe Canyon Formation in Alberta. These younger units of this geologic formation date to the early Maastrichtian age of the Late Cretaceous period, about 70 to 68 million years ago. Immediately below this formation is the Bearpaw Shale, a marine formation representing a section of the Western Interior Seaway. The Inland Sea was receding as the climate cooled and sea levels subsided towards the end of the Cretaceous, thus exposing land that had previously been underwater. It was not a smooth process, however, and the seaway would periodically rise to cover parts of the region throughout Horseshoe Canyon before finally receding altogether in the years after. Due to the changing sea levels, many different environments are represented in the Horseshoe Canyon Formation, including offshore and near-shore marine habitats and coastal habitats, such as lagoons, estuaries, and tidal flats. Numerous coal seams represent ancient peat swamps. Like most of the other vertebrate fossils from the formation, Albertosaurus remains are found in deposits laid down in the deltas and floodplains of large rivers during the later half of Horseshoe Canyon times. The fauna of the Horseshoe Canyon Formation is well-known, as vertebrate fossils, including those of dinosaurs, are very common. Sharks, rays, sturgeons, bowfins, gars, and the gar-like Aspidorhynchus made up the fish fauna. Mammals included multituberculates and the marsupial Didelphodon. The saltwater plesiosaur Leurospondylus has been found in marine sediments in the Horseshoe Canyon, while freshwater environments were populated by turtles, Champsosaurus, and crocodilians like Leidyosuchus and Stangerochampsa. Dinosaurs dominate the fauna, especially hadrosaurs, which make up half of all dinosaurs known. These include the genera Edmontosaurus, Saurolophus, and Hypacrosaurus. Ceratopsians and ornithomimids were also very common, together making up another third of the known fauna. Along with much rarer ankylosaurians and pachycephalosaurs, all of these animals would have been prey for a diverse array of carnivorous theropods, including troodontids, dromaeosaurids, and caenagnathids. Intermingled with the Albertosaurus remains of the Dry Island bonebed, the bones of the small theropod Albertonykus were found. Adult Albertosaurus were the apex predators in their environment, with intermediate niches possibly filled by juvenile Albertosaurus. See also Timeline of tyrannosaur research References External links Late Cretaceous dinosaurs of North America Tyrannosaurids Fossil taxa described in 1905 Taxa named by Henry Fairfield Osborn Maastrichtian life Paleontology in Alberta Maastrichtian genus first appearances Maastrichtian genus extinctions Horseshoe Canyon fauna
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https://en.wikipedia.org/wiki/Assembly%20language
Assembly language
In computer programming, assembly language (alternatively assembler language or symbolic machine code), often referred to simply as assembly and commonly abbreviated as ASM or asm, is any low-level programming language with a very strong correspondence between the instructions in the language and the architecture's machine code instructions. Assembly language usually has one statement per machine instruction (1:1), but constants, comments, assembler directives, symbolic labels of, e.g., memory locations, registers, and macros are generally also supported. The first assembly code in which a language is used to represent machine code instructions is found in Kathleen and Andrew Donald Booth's 1947 work, Coding for A.R.C.. Assembly code is converted into executable machine code by a utility program referred to as an assembler. The term "assembler" is generally attributed to Wilkes, Wheeler and Gill in their 1951 book The Preparation of Programs for an Electronic Digital Computer, who, however, used the term to mean "a program that assembles another program consisting of several sections into a single program". The conversion process is referred to as assembly, as in assembling the source code. The computational step when an assembler is processing a program is called assembly time. Because assembly depends on the machine code instructions, each assembly language is specific to a particular computer architecture. Sometimes there is more than one assembler for the same architecture, and sometimes an assembler is specific to an operating system or to particular operating systems. Most assembly languages do not provide specific syntax for operating system calls, and most assembly languages can be used universally with any operating system, as the language provides access to all the real capabilities of the processor, upon which all system call mechanisms ultimately rest. In contrast to assembly languages, most high-level programming languages are generally portable across multiple architectures but require interpreting or compiling, much more complicated tasks than assembling. In the first decades of computing, it was commonplace for both systems programming and application programming to take place entirely in assembly language. While still irreplaceable for some purposes, the majority of programming is now conducted in higher-level interpreted and compiled languages. In "No Silver Bullet", Fred Brooks summarised the effects of the switch away from assembly language programming: "Surely the most powerful stroke for software productivity, reliability, and simplicity has been the progressive use of high-level languages for programming. Most observers credit that development with at least a factor of five in productivity, and with concomitant gains in reliability, simplicity, and comprehensibility." Today, it is typical to use small amounts of assembly language code within larger systems implemented in a higher-level language, for performance reasons or to interact directly with hardware in ways unsupported by the higher-level language. For instance, just under 2% of version 4.9 of the Linux kernel source code is written in assembly; more than 97% is written in C. Assembly language syntax Assembly language uses a mnemonic to represent, e.g., each low-level machine instruction or opcode, each directive, typically also each architectural register, flag, etc. Some of the mnemonics may be built in and some user defined. Many operations require one or more operands in order to form a complete instruction. Most assemblers permit named constants, registers, and labels for program and memory locations, and can calculate expressions for operands. Thus, programmers are freed from tedious repetitive calculations and assembler programs are much more readable than machine code. Depending on the architecture, these elements may also be combined for specific instructions or addressing modes using offsets or other data as well as fixed addresses. Many assemblers offer additional mechanisms to facilitate program development, to control the assembly process, and to aid debugging. Some are column oriented, with specific fields in specific columns; this was very common for machines using punched cards in the 1950s and early 1960s. Some assemblers have free-form syntax, with fields separated by delimiters, e.g., punctuation, white space. Some assemblers are hybrid, with, e.g., labels, in a specific column and other fields separated by delimiters; this became more common than column oriented syntax in the 1960s. Terminology A macro assembler is an assembler that includes a macroinstruction facility so that (parameterized) assembly language text can be represented by a name, and that name can be used to insert the expanded text into other code. Open code refers to any assembler input outside of a macro definition. A cross assembler (see also cross compiler) is an assembler that is run on a computer or operating system (the host system) of a different type from the system on which the resulting code is to run (the target system). Cross-assembling facilitates the development of programs for systems that do not have the resources to support software development, such as an embedded system or a microcontroller. In such a case, the resulting object code must be transferred to the target system, via read-only memory (ROM, EPROM, etc.), a programmer (when the read-only memory is integrated in the device, as in microcontrollers), or a data link using either an exact bit-by-bit copy of the object code or a text-based representation of that code (such as Intel hex or Motorola S-record). A high-level assembler is a program that provides language abstractions more often associated with high-level languages, such as advanced control structures (IF/THEN/ELSE, DO CASE, etc.) and high-level abstract data types, including structures/records, unions, classes, and sets. A microassembler is a program that helps prepare a microprogram, called firmware, to control the low level operation of a computer. A meta-assembler is "a program that accepts the syntactic and semantic description of an assembly language, and generates an assembler for that language", or that accepts an assembler source file along with such a description and assembles the source file in accordance with that description. "Meta-Symbol" assemblers for the SDS 9 Series and SDS Sigma series of computers are meta-assemblers. Sperry Univac also provided a Meta-Assembler for the UNIVAC 1100/2200 series. inline assembler (or embedded assembler) is assembler code contained within a high-level language program. This is most often used in systems programs which need direct access to the hardware. Key concepts Assembler An assembler program creates object code by translating combinations of mnemonics and syntax for operations and addressing modes into their numerical equivalents. This representation typically includes an operation code ("opcode") as well as other control bits and data. The assembler also calculates constant expressions and resolves symbolic names for memory locations and other entities. The use of symbolic references is a key feature of assemblers, saving tedious calculations and manual address updates after program modifications. Most assemblers also include macro facilities for performing textual substitution – e.g., to generate common short sequences of instructions as inline, instead of called subroutines. Some assemblers may also be able to perform some simple types of instruction set-specific optimizations. One concrete example of this may be the ubiquitous x86 assemblers from various vendors. Called jump-sizing, most of them are able to perform jump-instruction replacements (long jumps replaced by short or relative jumps) in any number of passes, on request. Others may even do simple rearrangement or insertion of instructions, such as some assemblers for RISC architectures that can help optimize a sensible instruction scheduling to exploit the CPU pipeline as efficiently as possible. Assemblers have been available since the 1950s, as the first step above machine language and before high-level programming languages such as Fortran, Algol, COBOL and Lisp. There have also been several classes of translators and semi-automatic code generators with properties similar to both assembly and high-level languages, with Speedcode as perhaps one of the better-known examples. There may be several assemblers with different syntax for a particular CPU or instruction set architecture. For instance, an instruction to add memory data to a register in a x86-family processor might be add eax,[ebx], in original Intel syntax, whereas this would be written addl (%ebx),%eax in the AT&T syntax used by the GNU Assembler. Despite different appearances, different syntactic forms generally generate the same numeric machine code. A single assembler may also have different modes in order to support variations in syntactic forms as well as their exact semantic interpretations (such as FASM-syntax, TASM-syntax, ideal mode, etc., in the special case of x86 assembly programming). Number of passes There are two types of assemblers based on how many passes through the source are needed (how many times the assembler reads the source) to produce the object file. One-pass assemblers process the source code once. For symbols used before they are defined, the assembler will emit "errata" after the eventual definition, telling the linker or the loader to patch the locations where the as yet undefined symbols had been used. Multi-pass assemblers create a table with all symbols and their values in the first passes, then use the table in later passes to generate code. In both cases, the assembler must be able to determine the size of each instruction on the initial passes in order to calculate the addresses of subsequent symbols. This means that if the size of an operation referring to an operand defined later depends on the type or distance of the operand, the assembler will make a pessimistic estimate when first encountering the operation, and if necessary, pad it with one or more "no-operation" instructions in a later pass or the errata. In an assembler with peephole optimization, addresses may be recalculated between passes to allow replacing pessimistic code with code tailored to the exact distance from the target. The original reason for the use of one-pass assemblers was memory size and speed of assembly – often a second pass would require storing the symbol table in memory (to handle forward references), rewinding and rereading the program source on tape, or rereading a deck of cards or punched paper tape. Later computers with much larger memories (especially disc storage), had the space to perform all necessary processing without such re-reading. The advantage of the multi-pass assembler is that the absence of errata makes the linking process (or the program load if the assembler directly produces executable code) faster. Example: in the following code snippet, a one-pass assembler would be able to determine the address of the backward reference BKWD when assembling statement S2, but would not be able to determine the address of the forward reference FWD when assembling the branch statement S1; indeed, FWD may be undefined. A two-pass assembler would determine both addresses in pass 1, so they would be known when generating code in pass 2. B ... EQU * ... EQU * ... B High-level assemblers More sophisticated high-level assemblers provide language abstractions such as: High-level procedure/function declarations and invocations Advanced control structures (IF/THEN/ELSE, SWITCH) High-level abstract data types, including structures/records, unions, classes, and sets Sophisticated macro processing (although available on ordinary assemblers since the late 1950s for, e.g., the IBM 700 series and IBM 7000 series, and since the 1960s for IBM System/360 (S/360), amongst other machines) Object-oriented programming features such as classes, objects, abstraction, polymorphism, and inheritance See Language design below for more details. Assembly language A program written in assembly language consists of a series of mnemonic processor instructions and meta-statements (known variously as declarative operations, directives, pseudo-instructions, pseudo-operations and pseudo-ops), comments and data. Assembly language instructions usually consist of an opcode mnemonic followed by an operand, which might be a list of data, arguments or parameters. Some instructions may be "implied", which means the data upon which the instruction operates is implicitly defined by the instruction itself—such an instruction does not take an operand. The resulting statement is translated by an assembler into machine language instructions that can be loaded into memory and executed. For example, the instruction below tells an x86/IA-32 processor to move an immediate 8-bit value into a register. The binary code for this instruction is 10110 followed by a 3-bit identifier for which register to use. The identifier for the AL register is 000, so the following machine code loads the AL register with the data 01100001. 10110000 01100001 This binary computer code can be made more human-readable by expressing it in hexadecimal as follows. B0 61 Here, B0 means 'Move a copy of the following value into AL, and 61 is a hexadecimal representation of the value 01100001, which is 97 in decimal. Assembly language for the 8086 family provides the mnemonic MOV (an abbreviation of move) for instructions such as this, so the machine code above can be written as follows in assembly language, complete with an explanatory comment if required, after the semicolon. This is much easier to read and to remember. MOV AL, 61h ; Load AL with 97 decimal (61 hex) In some assembly languages (including this one) the same mnemonic, such as MOV, may be used for a family of related instructions for loading, copying and moving data, whether these are immediate values, values in registers, or memory locations pointed to by values in registers or by immediate (a.k.a. direct) addresses. Other assemblers may use separate opcode mnemonics such as L for "move memory to register", ST for "move register to memory", LR for "move register to register", MVI for "move immediate operand to memory", etc. If the same mnemonic is used for different instructions, that means that the mnemonic corresponds to several different binary instruction codes, excluding data (e.g. the 61h in this example), depending on the operands that follow the mnemonic. For example, for the x86/IA-32 CPUs, the Intel assembly language syntax MOV AL, AH represents an instruction that moves the contents of register AH into register AL. The hexadecimal form of this instruction is: 88 E0 The first byte, 88h, identifies a move between a byte-sized register and either another register or memory, and the second byte, E0h, is encoded (with three bit-fields) to specify that both operands are registers, the source is AH, and the destination is AL. In a case like this where the same mnemonic can represent more than one binary instruction, the assembler determines which instruction to generate by examining the operands. In the first example, the operand 61h is a valid hexadecimal numeric constant and is not a valid register name, so only the B0 instruction can be applicable. In the second example, the operand AH is a valid register name and not a valid numeric constant (hexadecimal, decimal, octal, or binary), so only the 88 instruction can be applicable. Assembly languages are always designed so that this sort of lack of ambiguity is universally enforced by their syntax. For example, in the Intel x86 assembly language, a hexadecimal constant must start with a numeral digit, so that the hexadecimal number 'A' (equal to decimal ten) would be written as 0Ah or 0AH, not AH, specifically so that it cannot appear to be the name of register AH. (The same rule also prevents ambiguity with the names of registers BH, CH, and DH, as well as with any user-defined symbol that ends with the letter H and otherwise contains only characters that are hexadecimal digits, such as the word "BEACH".) Returning to the original example, while the x86 opcode 10110000 (B0) copies an 8-bit value into the AL register, 10110001 (B1) moves it into CL and 10110010 (B2) does so into DL. Assembly language examples for these follow. MOV AL, 1h ; Load AL with immediate value 1 MOV CL, 2h ; Load CL with immediate value 2 MOV DL, 3h ; Load DL with immediate value 3 The syntax of MOV can also be more complex as the following examples show. MOV EAX, [EBX] ; Move the 4 bytes in memory at the address contained in EBX into EAX MOV [ESI+EAX], CL ; Move the contents of CL into the byte at address ESI+EAX MOV DS, DX ; Move the contents of DX into segment register DS In each case, the MOV mnemonic is translated directly into one of the opcodes 88-8C, 8E, A0-A3, B0-BF, C6 or C7 by an assembler, and the programmer normally does not have to know or remember which. Transforming assembly language into machine code is the job of an assembler, and the reverse can at least partially be achieved by a disassembler. Unlike high-level languages, there is a one-to-one correspondence between many simple assembly statements and machine language instructions. However, in some cases, an assembler may provide pseudoinstructions (essentially macros) which expand into several machine language instructions to provide commonly needed functionality. For example, for a machine that lacks a "branch if greater or equal" instruction, an assembler may provide a pseudoinstruction that expands to the machine's "set if less than" and "branch if zero (on the result of the set instruction)". Most full-featured assemblers also provide a rich macro language (discussed below) which is used by vendors and programmers to generate more complex code and data sequences. Since the information about pseudoinstructions and macros defined in the assembler environment is not present in the object program, a disassembler cannot reconstruct the macro and pseudoinstruction invocations but can only disassemble the actual machine instructions that the assembler generated from those abstract assembly-language entities. Likewise, since comments in the assembly language source file are ignored by the assembler and have no effect on the object code it generates, a disassembler is always completely unable to recover source comments. Each computer architecture has its own machine language. Computers differ in the number and type of operations they support, in the different sizes and numbers of registers, and in the representations of data in storage. While most general-purpose computers are able to carry out essentially the same functionality, the ways they do so differ; the corresponding assembly languages reflect these differences. Multiple sets of mnemonics or assembly-language syntax may exist for a single instruction set, typically instantiated in different assembler programs. In these cases, the most popular one is usually that supplied by the CPU manufacturer and used in its documentation. Two examples of CPUs that have two different sets of mnemonics are the Intel 8080 family and the Intel 8086/8088. Because Intel claimed copyright on its assembly language mnemonics (on each page of their documentation published in the 1970s and early 1980s, at least), some companies that independently produced CPUs compatible with Intel instruction sets invented their own mnemonics. The Zilog Z80 CPU, an enhancement of the Intel 8080A, supports all the 8080A instructions plus many more; Zilog invented an entirely new assembly language, not only for the new instructions but also for all of the 8080A instructions. For example, where Intel uses the mnemonics MOV, MVI, LDA, STA, LXI, LDAX, STAX, LHLD, and SHLD for various data transfer instructions, the Z80 assembly language uses the mnemonic LD for all of them. A similar case is the NEC V20 and V30 CPUs, enhanced copies of the Intel 8086 and 8088, respectively. Like Zilog with the Z80, NEC invented new mnemonics for all of the 8086 and 8088 instructions, to avoid accusations of infringement of Intel's copyright. (It is questionable whether such copyrights can be valid, and later CPU companies such as AMD and Cyrix republished Intel's x86/IA-32 instruction mnemonics exactly with neither permission nor legal penalty.) It is doubtful whether in practice many people who programmed the V20 and V30 actually wrote in NEC's assembly language rather than Intel's; since any two assembly languages for the same instruction set architecture are isomorphic (somewhat like English and Pig Latin), there is no requirement to use a manufacturer's own published assembly language with that manufacturer's products. Language design Basic elements There is a large degree of diversity in the way the authors of assemblers categorize statements and in the nomenclature that they use. In particular, some describe anything other than a machine mnemonic or extended mnemonic as a pseudo-operation (pseudo-op). A typical assembly language consists of 3 types of instruction statements that are used to define program operations: Opcode mnemonics Data definitions Assembly directives Opcode mnemonics and extended mnemonics Instructions (statements) in assembly language are generally very simple, unlike those in high-level languages. Generally, a mnemonic is a symbolic name for a single executable machine language instruction (an opcode), and there is at least one opcode mnemonic defined for each machine language instruction. Each instruction typically consists of an operation or opcode plus zero or more operands. Most instructions refer to a single value or a pair of values. Operands can be immediate (value coded in the instruction itself), registers specified in the instruction or implied, or the addresses of data located elsewhere in storage. This is determined by the underlying processor architecture: the assembler merely reflects how this architecture works. Extended mnemonics are often used to specify a combination of an opcode with a specific operand, e.g., the System/360 assemblers use as an extended mnemonic for with a mask of 15 and ("NO OPeration" – do nothing for one step) for with a mask of 0. Extended mnemonics are often used to support specialized uses of instructions, often for purposes not obvious from the instruction name. For example, many CPU's do not have an explicit NOP instruction, but do have instructions that can be used for the purpose. In 8086 CPUs the instruction is used for , with being a pseudo-opcode to encode the instruction . Some disassemblers recognize this and will decode the instruction as . Similarly, IBM assemblers for System/360 and System/370 use the extended mnemonics and for and with zero masks. For the SPARC architecture, these are known as synthetic instructions. Some assemblers also support simple built-in macro-instructions that generate two or more machine instructions. For instance, with some Z80 assemblers the instruction is recognized to generate followed by . These are sometimes known as pseudo-opcodes. Mnemonics are arbitrary symbols; in 1985 the IEEE published Standard 694 for a uniform set of mnemonics to be used by all assemblers. The standard has since been withdrawn. Data directives There are instructions used to define data elements to hold data and variables. They define the type of data, the length and the alignment of data. These instructions can also define whether the data is available to outside programs (programs assembled separately) or only to the program in which the data section is defined. Some assemblers classify these as pseudo-ops. Assembly directives Assembly directives, also called pseudo-opcodes, pseudo-operations or pseudo-ops, are commands given to an assembler "directing it to perform operations other than assembling instructions". Directives affect how the assembler operates and "may affect the object code, the symbol table, the listing file, and the values of internal assembler parameters". Sometimes the term pseudo-opcode is reserved for directives that generate object code, such as those that generate data. The names of pseudo-ops often start with a dot to distinguish them from machine instructions. Pseudo-ops can make the assembly of the program dependent on parameters input by a programmer, so that one program can be assembled in different ways, perhaps for different applications. Or, a pseudo-op can be used to manipulate presentation of a program to make it easier to read and maintain. Another common use of pseudo-ops is to reserve storage areas for run-time data and optionally initialize their contents to known values. Symbolic assemblers let programmers associate arbitrary names (labels or symbols) with memory locations and various constants. Usually, every constant and variable is given a name so instructions can reference those locations by name, thus promoting self-documenting code. In executable code, the name of each subroutine is associated with its entry point, so any calls to a subroutine can use its name. Inside subroutines, GOTO destinations are given labels. Some assemblers support local symbols which are often lexically distinct from normal symbols (e.g., the use of "10$" as a GOTO destination). Some assemblers, such as NASM, provide flexible symbol management, letting programmers manage different namespaces, automatically calculate offsets within data structures, and assign labels that refer to literal values or the result of simple computations performed by the assembler. Labels can also be used to initialize constants and variables with relocatable addresses. Assembly languages, like most other computer languages, allow comments to be added to program source code that will be ignored during assembly. Judicious commenting is essential in assembly language programs, as the meaning and purpose of a sequence of binary machine instructions can be difficult to determine. The "raw" (uncommented) assembly language generated by compilers or disassemblers is quite difficult to read when changes must be made. Macros Many assemblers support predefined macros, and others support programmer-defined (and repeatedly re-definable) macros involving sequences of text lines in which variables and constants are embedded. The macro definition is most commonly a mixture of assembler statements, e.g., directives, symbolic machine instructions, and templates for assembler statements. This sequence of text lines may include opcodes or directives. Once a macro has been defined its name may be used in place of a mnemonic. When the assembler processes such a statement, it replaces the statement with the text lines associated with that macro, then processes them as if they existed in the source code file (including, in some assemblers, expansion of any macros existing in the replacement text). Macros in this sense date to IBM autocoders of the 1950s. Macro assemblers typically have directives to, e.g., define macros, define variables, set variables to the result of an arithmetic, logical or string expression, iterate, conditionally generate code. Some of those directives may be restricted to use within a macro definition, e.g., MEXIT in HLASM, while others may be permitted within open code (outside macro definitions), e.g., AIF and COPY in HLASM. In assembly language, the term "macro" represents a more comprehensive concept than it does in some other contexts, such as the pre-processor in the C programming language, where its #define directive typically is used to create short single line macros. Assembler macro instructions, like macros in PL/I and some other languages, can be lengthy "programs" by themselves, executed by interpretation by the assembler during assembly. Since macros can have 'short' names but expand to several or indeed many lines of code, they can be used to make assembly language programs appear to be far shorter, requiring fewer lines of source code, as with higher level languages. They can also be used to add higher levels of structure to assembly programs, optionally introduce embedded debugging code via parameters and other similar features. Macro assemblers often allow macros to take parameters. Some assemblers include quite sophisticated macro languages, incorporating such high-level language elements as optional parameters, symbolic variables, conditionals, string manipulation, and arithmetic operations, all usable during the execution of a given macro, and allowing macros to save context or exchange information. Thus a macro might generate numerous assembly language instructions or data definitions, based on the macro arguments. This could be used to generate record-style data structures or "unrolled" loops, for example, or could generate entire algorithms based on complex parameters. For instance, a "sort" macro could accept the specification of a complex sort key and generate code crafted for that specific key, not needing the run-time tests that would be required for a general procedure interpreting the specification. An organization using assembly language that has been heavily extended using such a macro suite can be considered to be working in a higher-level language since such programmers are not working with a computer's lowest-level conceptual elements. Underlining this point, macros were used to implement an early virtual machine in SNOBOL4 (1967), which was written in the SNOBOL Implementation Language (SIL), an assembly language for a virtual machine. The target machine would translate this to its native code using a macro assembler. This allowed a high degree of portability for the time. Macros were used to customize large scale software systems for specific customers in the mainframe era and were also used by customer personnel to satisfy their employers' needs by making specific versions of manufacturer operating systems. This was done, for example, by systems programmers working with IBM's Conversational Monitor System / Virtual Machine (VM/CMS) and with IBM's "real time transaction processing" add-ons, Customer Information Control System CICS, and ACP/TPF, the airline/financial system that began in the 1970s and still runs many large computer reservation systems (CRS) and credit card systems today. It is also possible to use solely the macro processing abilities of an assembler to generate code written in completely different languages, for example, to generate a version of a program in COBOL using a pure macro assembler program containing lines of COBOL code inside assembly time operators instructing the assembler to generate arbitrary code. IBM OS/360 uses macros to perform system generation. The user specifies options by coding a series of assembler macros. Assembling these macros generates a job stream to build the system, including job control language and utility control statements. This is because, as was realized in the 1960s, the concept of "macro processing" is independent of the concept of "assembly", the former being in modern terms more word processing, text processing, than generating object code. The concept of macro processing appeared, and appears, in the C programming language, which supports "preprocessor instructions" to set variables, and make conditional tests on their values. Unlike certain previous macro processors inside assemblers, the C preprocessor is not Turing-complete because it lacks the ability to either loop or "go to", the latter allowing programs to loop. Despite the power of macro processing, it fell into disuse in many high level languages (major exceptions being C, C++ and PL/I) while remaining a perennial for assemblers. Macro parameter substitution is strictly by name: at macro processing time, the value of a parameter is textually substituted for its name. The most famous class of bugs resulting was the use of a parameter that itself was an expression and not a simple name when the macro writer expected a name. In the macro: foo: macro a load a*b the intention was that the caller would provide the name of a variable, and the "global" variable or constant b would be used to multiply "a". If foo is called with the parameter a-c, the macro expansion of load a-c*b occurs. To avoid any possible ambiguity, users of macro processors can parenthesize formal parameters inside macro definitions, or callers can parenthesize the input parameters. Support for structured programming Packages of macros have been written providing structured programming elements to encode execution flow. The earliest example of this approach was in the Concept-14 macro set, originally proposed by Harlan Mills (March 1970), and implemented by Marvin Kessler at IBM's Federal Systems Division, which provided IF/ELSE/ENDIF and similar control flow blocks for OS/360 assembler programs. This was a way to reduce or eliminate the use of GOTO operations in assembly code, one of the main factors causing spaghetti code in assembly language. This approach was widely accepted in the early 1980s (the latter days of large-scale assembly language use). IBM's High Level Assembler Toolkit includes such a macro package. A curious design was A-Natural, a "stream-oriented" assembler for 8080/Z80, processors from Whitesmiths Ltd. (developers of the Unix-like Idris operating system, and what was reported to be the first commercial C compiler). The language was classified as an assembler because it worked with raw machine elements such as opcodes, registers, and memory references; but it incorporated an expression syntax to indicate execution order. Parentheses and other special symbols, along with block-oriented structured programming constructs, controlled the sequence of the generated instructions. A-natural was built as the object language of a C compiler, rather than for hand-coding, but its logical syntax won some fans. There has been little apparent demand for more sophisticated assemblers since the decline of large-scale assembly language development. In spite of that, they are still being developed and applied in cases where resource constraints or peculiarities in the target system's architecture prevent the effective use of higher-level languages. Assemblers with a strong macro engine allow structured programming via macros, such as the switch macro provided with the Masm32 package (this code is a complete program): include \masm32\include\masm32rt.inc ; use the Masm32 library .code demomain: REPEAT 20 switch rv(nrandom, 9) ; generate a number between 0 and 8 mov ecx, 7 case 0 print "case 0" case ecx ; in contrast to most other programming languages, print "case 7" ; the Masm32 switch allows "variable cases" case 1 .. 3 .if eax==1 print "case 1" .elseif eax==2 print "case 2" .else print "cases 1 to 3: other" .endif case 4, 6, 8 print "cases 4, 6 or 8" default mov ebx, 19 ; print 20 stars .Repeat print "*" dec ebx .Until Sign? ; loop until the sign flag is set endsw print chr$(13, 10) ENDM exit end demomain Use of assembly language Historical perspective Assembly languages were not available at the time when the stored-program computer was introduced. Kathleen Booth "is credited with inventing assembly language" based on theoretical work she began in 1947, while working on the ARC2 at Birkbeck, University of London following consultation by Andrew Booth (later her husband) with mathematician John von Neumann and physicist Herman Goldstine at the Institute for Advanced Study. In late 1948, the Electronic Delay Storage Automatic Calculator (EDSAC) had an assembler (named "initial orders") integrated into its bootstrap program. It used one-letter mnemonics developed by David Wheeler, who is credited by the IEEE Computer Society as the creator of the first "assembler". Reports on the EDSAC introduced the term "assembly" for the process of combining fields into an instruction word. SOAP (Symbolic Optimal Assembly Program) was an assembly language for the IBM 650 computer written by Stan Poley in 1955. Assembly languages eliminate much of the error-prone, tedious, and time-consuming first-generation programming needed with the earliest computers, freeing programmers from tedium such as remembering numeric codes and calculating addresses. They were once widely used for all sorts of programming. However, by the late 1950s, their use had largely been supplanted by higher-level languages, in the search for improved programming productivity. Today, assembly language is still used for direct hardware manipulation, access to specialized processor instructions, or to address critical performance issues. Typical uses are device drivers, low-level embedded systems, and real-time systems (see ). Numerous programs have been written entirely in assembly language. The Burroughs MCP (1961) was the first computer for which an operating system was not developed entirely in assembly language; it was written in Executive Systems Problem Oriented Language (ESPOL), an Algol dialect. Many commercial applications were written in assembly language as well, including a large amount of the IBM mainframe software written by large corporations. COBOL, FORTRAN and some PL/I eventually displaced much of this work, although a number of large organizations retained assembly-language application infrastructures well into the 1990s. Assembly language has long been the primary development language for 8-bit home computers such Atari 8-bit family, Apple II, MSX, ZX Spectrum, and Commodore 64. Interpreted BASIC dialects on these systems offer insufficient execution speed and insufficient facilities to take full advantage of the available hardware. These systems have severe resource constraints, idiosyncratic memory and display architectures, and provide limited system services. There are also few high-level language compilers suitable for microcomputer use. Similarly, assembly language is the default choice for 8-bit consoles such as the Atari 2600 and Nintendo Entertainment System. Key software for IBM PC compatibles was written in assembly language, such as MS-DOS, Turbo Pascal, and the Lotus 1-2-3 spreadsheet. As computer speed grew exponentially, assembly language became a tool for speeding up parts of programs, such as the rendering of Doom, rather than a dominant development language. In the 1990s, assembly language was used to get performance out of systems such as the Sega Saturn and as the primary language for arcade hardware based on the TMS34010 integrated CPU/GPU such as Mortal Kombat and NBA Jam. Current usage There has been debate over the usefulness and performance of assembly language relative to high-level languages. Although assembly language has specific niche uses where it is important (see below), there are other tools for optimization. , the TIOBE index of programming language popularity ranks assembly language at 11, ahead of Visual Basic, for example. Assembler can be used to optimize for speed or optimize for size. In the case of speed optimization, modern optimizing compilers are claimed to render high-level languages into code that can run as fast as hand-written assembly, despite the counter-examples that can be found. The complexity of modern processors and memory sub-systems makes effective optimization increasingly difficult for compilers, as well as for assembly programmers. Moreover, increasing processor performance has meant that most CPUs sit idle most of the time, with delays caused by predictable bottlenecks such as cache misses, I/O operations and paging. This has made raw code execution speed a non-issue for many programmers. There are some situations in which developers might choose to use assembly language: Writing code for systems with that have limited high-level language options such as the Atari 2600, Commodore 64, and graphing calculators. Programs for these computers of the 1970s and 1980s are often written in the context of demoscene or retrogaming subcultures. Code that must interact directly with the hardware, for example in device drivers and interrupt handlers. In an embedded processor or DSP, high-repetition interrupts require the shortest number of cycles per interrupt, such as an interrupt that occurs 1000 or 10000 times a second. Programs that need to use processor-specific instructions not implemented in a compiler. A common example is the bitwise rotation instruction at the core of many encryption algorithms, as well as querying the parity of a byte or the 4-bit carry of an addition. A stand-alone executable of compact size is required that must execute without recourse to the run-time components or libraries associated with a high-level language. Examples have included firmware for telephones, automobile fuel and ignition systems, air-conditioning control systems, security systems, and sensors. Programs with performance-sensitive inner loops, where assembly language provides optimization opportunities that are difficult to achieve in a high-level language. For example, linear algebra with BLAS or discrete cosine transformation (e.g. SIMD assembly version from x264). Programs that create vectorized functions for programs in higher-level languages such as C. In the higher-level language this is sometimes aided by compiler intrinsic functions which map directly to SIMD mnemonics, but nevertheless result in a one-to-one assembly conversion specific for the given vector processor. Real-time programs such as simulations, flight navigation systems, and medical equipment. For example, in a fly-by-wire system, telemetry must be interpreted and acted upon within strict time constraints. Such systems must eliminate sources of unpredictable delays, which may be created by (some) interpreted languages, automatic garbage collection, paging operations, or preemptive multitasking. However, some higher-level languages incorporate run-time components and operating system interfaces that can introduce such delays. Choosing assembly or lower-level languages for such systems gives programmers greater visibility and control over processing details. Cryptographic algorithms that must always take strictly the same time to execute, preventing timing attacks. Video encoders and decoders such as rav1e (an encoder for AV1) and dav1d (the reference decoder for AV1) contain assembly to leverage AVX2 and ARM Neon instructions when available. Modify and extend legacy code written for IBM mainframe computers. Situations where complete control over the environment is required, in extremely high-security situations where nothing can be taken for granted. Computer viruses, bootloaders, certain device drivers, or other items very close to the hardware or low-level operating system. Instruction set simulators for monitoring, tracing and debugging where additional overhead is kept to a minimum. Situations where no high-level language exists, on a new or specialized processor for which no cross compiler is available. Reverse engineering and modifying program files such as: existing binaries that may or may not have originally been written in a high-level language, for example when trying to recreate programs for which source code is not available or has been lost, or cracking copy protection of proprietary software. Video games (also termed ROM hacking), which is possible via several methods. The most widely employed method is altering program code at the assembly language level. Assembly language is still taught in most computer science and electronic engineering programs. Although few programmers today regularly work with assembly language as a tool, the underlying concepts remain important. Such fundamental topics as binary arithmetic, memory allocation, stack processing, character set encoding, interrupt processing, and compiler design would be hard to study in detail without a grasp of how a computer operates at the hardware level. Since a computer's behavior is fundamentally defined by its instruction set, the logical way to learn such concepts is to study an assembly language. Most modern computers have similar instruction sets. Therefore, studying a single assembly language is sufficient to learn: I) the basic concepts; II) to recognize situations where the use of assembly language might be appropriate; and III) to see how efficient executable code can be created from high-level languages. Typical applications Assembly language is typically used in a system's boot code, the low-level code that initializes and tests the system hardware prior to booting the operating system and is often stored in ROM. (BIOS on IBM-compatible PC systems and CP/M is an example.) Assembly language is often used for low-level code, for instance for operating system kernels, which cannot rely on the availability of pre-existing system calls and must indeed implement them for the particular processor architecture on which the system will be running. Some compilers translate high-level languages into assembly first before fully compiling, allowing the assembly code to be viewed for debugging and optimization purposes. Some compilers for relatively low-level languages, such as Pascal or C, allow the programmer to embed assembly language directly in the source code (so called inline assembly). Programs using such facilities can then construct abstractions using different assembly language on each hardware platform. The system's portable code can then use these processor-specific components through a uniform interface. Assembly language is useful in reverse engineering. Many programs are distributed only in machine code form which is straightforward to translate into assembly language by a disassembler, but more difficult to translate into a higher-level language through a decompiler. Tools such as the Interactive Disassembler make extensive use of disassembly for such a purpose. This technique is used by hackers to crack commercial software, and competitors to produce software with similar results from competing companies. Assembly language is used to enhance speed of execution, especially in early personal computers with limited processing power and RAM. Assemblers can be used to generate blocks of data, with no high-level language overhead, from formatted and commented source code, to be used by other code. See also Compiler Comparison of assemblers Disassembler Hexadecimal Instruction set architecture Little man computer – an educational computer model with a base-10 assembly language Nibble Typed assembly language Notes References Further reading (2+xiv+270+6 pages) ("An online book full of helpful ASM info, tutorials and code examples" by the ASM Community, archived at the internet archive.) 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https://en.wikipedia.org/wiki/Ambrose
Ambrose
Ambrose of Milan (; 4 April 397), venerated as Saint Ambrose, was a theologian and statesman who served as Bishop of Milan from 374 to 397. He expressed himself prominently as a public figure, fiercely promoting Roman Christianity against Arianism and paganism. He left a substantial collection of writings, of which the best known include the ethical commentary De officiis ministrorum (377–391), and the exegetical (386–390). His preachings, his actions and his literary works, in addition to his innovative musical hymnography, made him one of the most influential ecclesiastical figures of the 4th century. Ambrose was serving as the Roman governor of Aemilia-Liguria in Milan when he was unexpectedly made Bishop of Milan in 374 by popular acclamation. As bishop, he took a firm position against Arianism and attempted to mediate the conflict between the emperors Theodosius I and Magnus Maximus. Tradition credits Ambrose with developing an antiphonal chant, known as Ambrosian chant, and for composing the "Te Deum" hymn, though modern scholars now reject both of these attributions. Ambrose's authorship on at least four hymns, including the well-known "Veni redemptor gentium", is secure; they form the core of the Ambrosian hymns, which includes others that are sometimes attributed to him. He also had notable influence on Augustine of Hippo (354–430), whom he helped convert to Christianity. Western Christianity identified Ambrose as one of its four traditional Doctors of the Church. He is considered a saint by the Catholic Church, Eastern Orthodox Church, Anglican Communion, and various Lutheran denominations, and venerated as the patron saint of Milan and beekeepers. Background and career Legends about Ambrose had spread through the empire long before his biography was written, making it difficult for modern historians to understand his true character and fairly place his behavior within the context of antiquity. Most agree he was the personification of his era. This would make Ambrose a genuinely spiritual man who spoke up and defended his faith against opponents, an aristocrat who retained many of the attitudes and practices of a Roman governor, and also an ascetic who served the poor. Early life Ambrose was born into a Roman Christian family in the year 339. Ambrose himself wrote that he was 53 years old in his letter number 49, which has been dated to 392. He began life in Augusta Trevorum (modern Trier) the capital of the Roman province of Gallia Belgica in what was then northeastern Gaul and is now in the Rhineland-Palatinate in Germany. Scholars disagree on who exactly his father was. His father is sometimes identified with Aurelius Ambrosius, a praetorian prefect of Gaul; but some scholars identify his father as an official named Uranius who received an imperial constitution dated 3 February 339 (addressed in a brief extract from one of the three emperors ruling in 339, Constantine II, Constantius II, or Constans, in the Codex Theodosianus, book XI.5). What does seem certain is that Ambrose was born in Trier and his father was either the praetorian prefect or part of his administration. A legend about Ambrose as an infant recounts that a swarm of bees settled on his face while he lay in his cradle, leaving behind a drop of honey. His father is said to have considered this a sign of his future eloquence and honeyed tongue. Bees and beehives often appear in the saint's symbology. Ambrose' mother was a woman of intellect and piety. It was probable that she was a member of the Roman family Aurelii Symmachi, which would make Ambrose a cousin of the orator Quintus Aurelius Symmachus. The family had produced one martyr (the virgin Soteris) in its history. Ambrose was the youngest of three children. His siblings were Satyrus, the subject of Ambrose's De excessu fratris Satyri, and Marcellina, who made a profession of virginity sometime between 352 and 355; Pope Liberius himself conferred the veil upon her. Both Ambrose's siblings also became venerated as saints. Some time early in the life of Ambrose, his father died. At an unknown later date, his mother fled Trier with her three children, and the family moved to Rome. There Ambrose studied literature, law, and rhetoric. He then followed in his father's footsteps and entered public service. Praetorian Prefect Sextus Claudius Petronius Probus first gave him a place as a judicial councillor, and then in about 372 made him governor of the province of Liguria and Emilia, with headquarters at Milan. Bishop of Milan In 374 the bishop of Milan, Auxentius, an Arian, died, and the Arians challenged the succession. Ambrose went to the church where the election was to take place to prevent an uproar which seemed probable in this crisis. His address was interrupted by a call, "Ambrose, bishop!", which was taken up by the whole assembly. Ambrose, though known to be Nicene Christian in belief, was considered acceptable to Arians due to the charity he had shown concerning their beliefs. At first he energetically refused the office of bishop, for which he felt he was in no way prepared: Ambrose was a relatively new Christian who was not yet baptized nor formally trained in theology. Ambrose fled to a colleague's home, seeking to hide. Upon receiving a letter from the Emperor Gratian praising the appropriateness of Rome appointing individuals worthy of holy positions, Ambrose's host gave him up. Within a week, he was baptized, ordained and duly consecrated as the new bishop of Milan. This was the first time in the West that a member of the upper class of high officials had accepted the office of bishop. As bishop, he immediately adopted an ascetic lifestyle, apportioned his money to the poor, donating all of his land, making only provision for his sister Marcellina. This raised his standing even further; it was his popularity with the people that gave him considerable political leverage throughout his career. Upon the unexpected appointment of Ambrose to the episcopate, his brother Satyrus resigned a prefecture in order to move to Milan, where he took over managing the diocese's temporal affairs. Arianism Arius (died 336) was a Christian priest who asserted (around the year 300) that God the Father must have created the Son, making the Son a lesser being who was not eternal and of a different "essence" than God the Father. This Christology, though contrary to tradition, quickly spread through Egypt and Libya and other Roman provinces. Bishops engaged in "wordy warfare", and the people divided into parties, sometimes demonstrating in the streets in support of one side or the other. Arianism appealed to many high-level leaders and clergy in both the Western and Eastern empires. Although the western Emperor Gratian () supported orthodoxy, his younger half brother Valentinian II, who became his colleague in the empire in 375, adhered to the Arian creed. Ambrose sought to refute Arian propositions theologically, but Ambrose did not sway the young prince's position. In the East, Emperor Theodosius I () likewise professed the Nicene creed; but there were many adherents of Arianism throughout his dominions, especially among the higher clergy. In this state of religious ferment, two leaders of the Arians, bishops Palladius of Ratiaria and Secundianus of Singidunum, confident of numbers, prevailed upon Gratian to call a general council from all parts of the empire. This request appeared so equitable that Gratian complied without hesitation. However, Ambrose feared the consequences and prevailed upon the emperor to have the matter determined by a council of the Western bishops. Accordingly, a synod composed of thirty-two bishops was held at Aquileia in the year 381. Ambrose was elected president and Palladius, being called upon to defend his opinions, declined. A vote was then taken and Palladius and his associate Secundianus were deposed from their episcopal offices. Ambrose struggled with Arianism for over half of his term in the episcopate. Ecclesiastical unity was important to the church, but it was no less important to the state, and as a Roman, Ambrose felt strongly about that. Judaism was more attractive for those seeking conversion than previous scholars have realized, and pagans were still in the majority. Conflict over heresies loomed large in an age of religious ferment comparable to the Reformation of the fourteenth and fifteenth centuries. Orthodox Christianity was determining how to define itself as it faced multiple challenges on both a theological and a practical level, and Ambrose exercised crucial influence at a crucial time. Imperial relations Ambrose had good relations and varying levels of influence with the Roman emperors Gratian, Valentinian II and Theodosius I, but exactly how much influence, what kind of influence, and in what ways, when, has been debated in the scholarship of the late twentieth and early twenty-first centuries. Gratian It has long been convention to see Gratian and Ambrose as having a personal friendship, putting Ambrose in the dominant role of spiritual guide, but modern scholars now find this view hard to support from the sources. The ancient Christian historian Sozomen () is the only ancient source that shows Ambrose and Gratian together in any personal interaction. In that interaction, Sozomen relates that, in the last year of Gratian's reign, Ambrose crashed Gratian's private hunting-party in order to appeal on behalf of a pagan senator sentenced to die. After years of acquaintance, this indicates that Ambrose could not take for granted that Gratian would see him, so instead, Ambrose had to resort to such maneuverings to make his appeal. Gratian was personally devout long before meeting Ambrose. Modern scholarship indicates Gratian's religious policies do not evidence capitulation to Ambrose more than they evidence Gratian's own views. Gratian's devotion did lead Ambrose to write a large number of books and letters of theology and spiritual commentary dedicated to the emperor. The sheer volume of these writings and the effusive praise they contain has led many historians to conclude that Gratian was dominated by Ambrose, and it was that dominance that produced Gratian's anti-pagan actions. McLynn asserts that effusive praises were common in everyone's correspondence with the crown. He adds that Gratian's actions were determined by the constraints of the system as much as "by his own initiatives or Ambrose's influence". McLynn asserts that the largest influence on Gratian's policy was the profound change in political circumstances produced by the Battle of Adrianople in 378. Gratian had become involved in fighting the Goths the previous year and had been on his way to the Balkans when his uncle and the "cream of the eastern army" were destroyed at Adrianople. Gratian withdrew to Sirmium and set up his court there. Several rival groups, including the Arians, sought to secure benefits from the government at Sirmium. In an Arian attempt to undermine Ambrose, whom Gratian had not yet met, Gratian was "warned" that Ambrose' faith was suspect. Gratian took steps to investigate by writing to Ambrose and asking him to explain his faith. Ambrose and Gratian first met, after this, in 379 during a visit to Milan. The bishop made a good impression on Gratian and his court, which was pervasively Christian and aristocratic – much like Ambrose himself. The emperor returned to Milan in 380 to find that Ambrose had complied with his request for a statement of his faith – in two volumes – known as De Fide: a statement of orthodoxy and of Ambrose' political theology, as well as a polemic against the Arian heresy – intended for public discussion. The emperor had not asked to be instructed by Ambrose, and in De Fide Ambrose states this clearly. Nor was he asked to refute the Arians. He was asked to justify his own position, but in the end, he did all three. It seems that by 382 Ambrose had replaced Ausonius to become a major influence in Gratian's court. Ambrose had not yet become the "conscience" of kings he would in the later 380s, but he did speak out against reinstating the Altar of Victory. In 382, Gratian was the first to divert public financial subsidies that had previously supported Rome's cults. Before that year, contributions in support of the ancient customs had continued unchallenged by the state. Valentinian II The childless Gratian had treated his younger brother Valentinian II like a son. Ambrose, on the other hand, had incurred the lasting enmity of Valentinian II's mother, the Empress Justina, in the winter of 379 by helping to appoint a Nicene bishop in Sirmium. Not long after this, Valentinian II, his mother, and the court left Sirmium; Sirmium had come under Theodosius' control, so they went to Milan which was ruled by Gratian. In 383 Gratian was assassinated at Lyon, in Gaul (France) by Magnus Maximus. Valentinian was twelve years old, and the assassination left his mother, Justina, in a position of something akin to a regent. In 385 (or 386) the emperor Valentinian II and his mother Justina, along with a considerable number of clergy, the laity, and the military, professed Arianism. Conflict between Ambrose and Justina soon followed. The Arians demanded that Valentinian allocate to them two churches in Milan: one in the city (the Basilica of the Apostles), the other in the suburbs (St Victor's). Ambrose refused to surrender the churches. He answered by saying that "What belongs to God, is outside the emperor's power." In this, Ambrose called on an ancient Roman principle: a temple set apart to a god became the property of that god. Ambrose now applied this ancient legal principle to the Christian churches, seeing the bishop, as a divine representative, as guardian of his god's property. Subsequently, while Ambrose was performing the Liturgy of the Hours in the basilica, the prefect of the city came to persuade him to give it up to the Arians. Ambrose again refused. Certain deans (officers of the court) were sent to take possession of the basilica by hanging upon it imperial escutcheons. Instead, soldiers from the ranks the emperor had placed around the basilica began pouring into the church, assuring Ambrose of their fidelity. The escutcheons outside the church were removed, and legend says the children tore them to shreds. Ambrose refused to surrender the basilica, and sent sharp answers back to his emperor: "If you demand my person, I am ready to submit: carry me to prison or to death, I will not resist; but I will never betray the church of Christ. I will not call upon the people to succour me; I will die at the foot of the altar rather than desert it. The tumult of the people I will not encourage: but God alone can appease it." By Thursday, the emperor gave in, bitterly responding: "Soon, if Ambrose gives the orders, you will be sending me to him in chains." In 386, Justina and Valentinian II received the Arian bishop Auxentius the younger, and Ambrose was again ordered to hand over a church in Milan for Arian usage. Ambrose and his congregation barricaded themselves inside the church, and again the imperial order was rescinded. There was an attempted kidnapping, and another attempt to arrest him and to force him to leave the city. Several accusations were made, but unlike in the case of John Chrysostom, no formal charges were brought. The emperor certainly had the power to do so, and probably did not solely because of Ambrose' popularity with the people and what they might do. When Magnus Maximus usurped power in Gaul (383) and was considering a descent upon Italy, Valentinian sent Ambrose to dissuade him, and the embassy was successful (384). A second, later embassy was unsuccessful. Magnus Maximus entered Italy (386-387) and Milan was taken. Justina and her son fled, but Ambrose remained, and had the plate of the church melted for the relief of the poor. Theodosius While Ambrose was writing De Fide, Theodosius published his own statement of faith in 381 in an edict establishing Nicene Catholic Christianity as the only legitimate version of the Christian faith. There is unanimity amongst scholars that this represents the emperor's own beliefs. The aftermath of the death (378) of Valens (Emperor in the East from 364 to 378) had left many questions for the church unresolved, and Theodosius' edict can be seen as an effort to begin addressing those questions. Theodosius' natural generosity was tempered by his pressing need to establish himself and to publicly assert his personal piety. On 28 February 380, Theodosius issued the Edict of Thessalonica, a decree addressed to the city of Constantinople, determining that only Christians who did not support Arian views were catholic and could have their places of worship officially recognized as "churches". The Edict opposed Arianism, and attempted to establish unity in Christianity and to suppress heresy. German ancient historian writes that the Edict of Thessalonica was neither anti-pagan nor antisemitic; it did not declare Christianity to be the official religion of the empire; and it gave no advantage to Christians over other faiths. Liebeschuetz and Hill indicate that it was not until after 388, during Theodosius' stay in Milan following the defeat of Maximus in 388, that Theodosius and Ambrose first met. After the Massacre of Thessalonica in 390, Theodosius made an act of public penance at Ambrose's behest. Ambrose was away from court during the events at Thessalonica, but after being informed of them, he wrote Theodosius a letter. In that still existing letter, Ambrose presses for a semi-public demonstration of penitence from the emperor, telling him that, as his bishop, he will not give Theodosius communion until it is done. Wolf Liebeschuetz says "Theodosius duly complied and came to church without his imperial robes, until Christmas, when Ambrose openly admitted him to communion". Formerly, some scholars credited Ambrose with having an undue influence over the Emperor Theodosius I, from this period forward, prompting him toward major anti-pagan legislation beginning in February of 391. However, this interpretation has been heavily disputed since the late-twentieth century. McLynn argues that Theodosius's anti-pagan legislation was too limited in scope for it to be of interest to the bishop. The fabled encounter at the door of the cathedral in Milan, with Ambrose as the mitred prelate braced, blocking Theodosius from entering, which has sometimes been seen as evidence of Ambrose' dominance over Theodosius, has been debunked by modern historians as "a pious fiction". There was no encounter at the church door. The story is a product of the imagination of Theodoret, a historian of the fifth century who wrote of the events of 390 "using his own ideology to fill the gaps in the historical record". The twenty-first century view is that Ambrose was "not a power behind the throne". The two men did not meet each other frequently, and documents that reveal the relationship between the two are less about personal friendship than they are about negotiations between two formidable leaders of the powerful institutions they represent: the Roman State and the Italian Church. Cameron says there is no evidence that Ambrose was a significant influence on the emperor. For centuries after his death, Theodosius was regarded as a champion of Christian orthodoxy who decisively stamped out paganism. This view was recorded by Theodoret, who is recognized as an unreliable historian, in the century following their deaths. Theodosius's predecessors Constantine (), Constantius (), and Valens had all been semi-Arians. Therefore, it fell to the orthodox Theodosius to receive from Christian literary tradition most of the credit for the final triumph of Christianity. Modern scholars see this as an interpretation of history by orthodox Christian writers more than as a representation of actual history. The view of a pious Theodosius submitting meekly to the authority of the church, represented by Ambrose, is part of the myth that evolved within a generation of their deaths. Later years and death In April 393 Arbogast (magister militum of the West) and his puppet Emperor Eugenius marched into Italy to consolidate their position in regard to Theodosius I and his son, Honorius, whom Theodosius had appointed Augustus to govern the western portion of the empire. Arbogast and Eugenius courted Ambrose's support by very obliging letters; but before they arrived at Milan, he had retired to Bologna, where he assisted at the translation of the relics of Saints Vitalis and Agricola. From there he went to Florence, where he remained until Eugenius withdrew from Milan to meet Theodosius in the Battle of the Frigidus in early September 394. Soon after acquiring the undisputed possession of the Roman Empire, Theodosius died at Milan in 395, and Ambrose gave the eulogy. Two years later (4 April 397) Ambrose also died. He was succeeded as bishop of Milan by Simplician. Ambrose's body may still be viewed in the church of Saint Ambrogio in Milan, where it has been continuously venerated – along with the bodies identified in his time as being those of Saints Gervase and Protase. Ambrose is remembered in the calendar of the Roman Rite of the Catholic Church on 7 December, and is also honored in the Church of England and in the Episcopal Church on 7 December. Character In 1960, Neil B. McLynn wrote a complex study of Ambrose that focused on his politics and intended to "demonstrate that Ambrose viewed community as a means to acquire personal political power". Subsequent studies of how Ambrose handled his episcopal responsibilities, his Nicene theology and his dealings with the Arians in his episcopate, his pastoral care, his commitment to community, and his personal asceticism, have mitigated this view. All of Ambrose' writings are works of advocacy of his religion, and even his political views and actions were closely related to his religion. He was rarely, if ever, concerned about simply recording what had happened; he did not write to reveal his inner thoughts and struggles; he wrote to advocate for his God. Boniface Ramsey writes that it is difficult "not to posit a deep spirituality in a man" who wrote on the mystical meanings of the Song of Songs and wrote many extraordinary hymns. In spite of an abiding spirituality, Ambrose had a generally straightforward manner, and a practical rather than a speculative tendency in his thinking. De Officiis is a utilitarian guide for his clergy in their daily ministry in the Milanese church rather than "an intellectual tour de force". Christian faith in the third century developed the monastic life-style which subsequently spread into the rest of Roman society in a general practice of virginity, voluntary poverty and self-denial for religious reasons. This life-style was embraced by many new converts, including Ambrose, even though they did not become actual monks. The bishops of this era had heavy administrative responsibilities, and Ambrose was also sometimes occupied with imperial affairs, but he still fulfilled his primary responsibility to care for the well-being of his flock. He preached and celebrated the Eucharist multiple times a week, sometimes daily, dealt directly with the needs of the poor, as well as widows and orphans, "virgins" (nuns), and his own clergy. He replied to letters personally, practiced hospitality, and made himself available to the people. Ambrose had the ability to maintain good relationships with all kinds of people. Local church practices varied quite a bit from place to place at this time, and as the bishop, Ambrose could have required that everyone adapt to his way of doing things. It was his place to keep the churches as united as possible in both ritual and belief. Instead, he respected local customs, adapting himself to whatever practices prevailed, instructing his mother to do the same. As bishop, Ambrose undertook many different labors in an effort to unite people and "provide some stability during a period of religious, political, military, and social upheavals and transformations". Brown says Ambrose "had the makings of a faction fighter". While he got along well with most people, Ambrose was not averse to conflict and even opposed emperors with a fearlessness born of self-confidence and a clear conscience and not from any belief he would not suffer for his decisions. Having begun his life as a Roman aristocrat and a governor, it is clear that Ambrose retained the attitude and practice of Roman governance even after becoming a bishop. His acts and writings show he was quite clear about the limits of imperial power over the church's internal affairs including doctrine, moral teaching, and governance. He wrote to Valentinian: "In matters of faith bishops are the judges of Christian emperors, not emperors of bishops." (Epistle 21.4). He also famously told to the Arian bishop chosen by the emperor, "The emperor is in the church, not over the church." (Sermon Against Auxentius, 36). Ambrose's acts and writings "created a sort of model which was to remain valid in the Latin West for the relations of the Church and the Christian State. Both powers stood in a basically positive relationship to each other, but the innermost sphere of the Church's life--faith, the moral order, ecclesiastical discipline--remained withdrawn from the State's influence." Ambrose was also well aware of the limits of his power. At the height of his career as a venerable, respected and well loved bishop in 396, imperial agents marched into his church, pushing past him and his clergy who had crowded the altar to protect a political suspect from arrest, and dragged the man from the church in front of Ambrose who could do nothing to stop it. "When it came to the central functions of the Roman state, even the vivid Ambrose was a lightweight". Attitude towards Jews The most notorious example of Ambrose's anti-Jewish animus occurred in 388, when Emperor Theodosius I was informed that a crowd of Christians had retaliated against the local Jewish community by destroying the synagogue at Callinicum on the Euphrates. The synagogue most likely existed within the fortified town to service the soldiers serving there, and Theodosius ordered that the offenders be punished, and that the synagogue be rebuilt at the expense of the bishop. Ambrose wrote to the emperor arguing against this, basing his argument on two assertions: first, if the bishop obeyed the order, it would be a betrayal of his faith. Second, if the bishop instead refused to obey the order, he would become a martyr and create a scandal for the emperor. Ambrose, referring to a prior incident where Magnus Maximus issued an edict censuring Christians in Rome for burning down a Jewish synagogue, warned Theodosius that the people in turn exclaimed "the emperor has become a Jew", implying Theodosius would receive the same lack of support from the people. Theodosius rescinded the order concerning the bishop. That was not enough for Ambrose, and when Theodosius next visited Milan, Ambrose confronted him directly in an effort to get the emperor to drop the entire case. McLynn argues that Ambrose failed to win the emperor's sympathy and was mostly excluded from his counsels thereafter. The Callinicum affair was not an isolated incident. Generally speaking, Ambrose presents a strong anti-Jewish polemic. While McLynn says this makes Ambrose look like a bully and a bigot to modern eyes, scholars also agree Ambrose' attitudes toward the Jews cannot be fairly summarized in one sentence, as not all of Ambrose' attitudes toward Jews were negative. Ambrose makes extensive and appreciative use of the works of Philo of Alexandria – a Jew – in Ambrose' own writings, treating Philo as one of the "faithful interpreters of the Scriptures". Philo was an educated man of some standing and a prolific writer during the era of Second Temple Judaism. Forty–three of his treatises have been preserved, and these by Christians, rather than Jews. Philo became foundational in forming the Christian literary view on the six days of creation through Basil's Hexaemeron. Eusebius, the Cappadocian Fathers, and Didymus the Blind appropriated material from Philo as well, but none did so more than Ambrose. As a result of this extensive referencing, Philo was accepted into the Christian tradition as an honorary Church Father. "In fact, one Byzantine catena even refers to him as 'Bishop Philo'. This high regard for Philo even led to a number of legends of his conversion to Christianity, although this assertion stands on very dubious evidence". Ambrose also used Josephus, Maccabees, and other Jewish sources for his writings. He praises some individual Jews. Ambrose tended to write negatively of all non-Nicenes as if they were all one category. This served a rhetorical purpose in his writing and should be considered accordingly. Attitude towards pagans Modern scholarship indicates paganism was a lesser concern than heresy for Christians in the fourth and fifth centuries, which was the case for Ambrose, but it was still a concern. Writings of this period were commonly hostile and often contemptuous toward a paganism Christianity saw as already defeated in Heaven. The great Christian writers of the third to fifth centuries attempted to discredit continuation in these "defeated practices" by searching pagan writings, "particularly those of Varro, for everything that could be regarded by Christian standards as repulsive and irreligious." Ambrose' work reflects this triumphalism.{{efn|These Christian sources have had great influence on perceptions of this period by creating an impression of overt and continuous conflict that has been assumed on an empire-wide scale, while archaeological evidence indicates that, outside of violent rhetoric, the decline of paganism away from the imperial court was relatively non-confrontational.{{sfnm|Trombley|2001|1loc=Vol I|1pp=166-168|Trombley|2001|2loc=Vol II|2pp=335-336}}}} Throughout his time in the episcopate, Ambrose was active in his opposition to any state sponsorship of pagan cults. When Gratian ordered the Altar of Victory to be removed, it roused the aristocracy of Rome to send a delegation to the emperor to appeal the decision, but Pope Damasus I got the Christian senators to petition against it, and Ambrose blocked the delegates from getting an audience with the emperor. Under Valentinian II, an effort was made to restore the Altar of Victory to its ancient station in the hall of the Roman Senate and to again provide support for the seven Vestal Virgins. The pagan party was led by the refined senator Quintus Aurelius Symmachus, who used all his prodigious skill and artistry to create a marvelous document full of the maiestas populi Romani. Hans Lietzmann writes that "Pagans and Christians alike were stirred by the solemn earnestness of an admonition which called all men of goodwill to the aid of a glorious history, to render all worthy honor to a world that was fading away". Then Ambrose wrote Valentinian II a letter asserting that the emperor was a soldier of God, not simply a personal believer but one bound by his position to serve the faith; under no circumstances could he agree to something that would promote the worship of idols. Ambrose held up the example of Valentinian's brother, Gratian, reminding Valentinian that the commandment of God must take precedence. The bishop's intervention led to the failure of Symmachus' appeal. In 389, Ambrose intervened against a pagan senatorial delegation who wished to see the emperor Theodosius I. Although Theodosius refused their requests, he was irritated at the bishop's presumption and refused to see him for several days. Later, Ambrose wrote a letter to the emperor Eugenius complaining that some gifts the latter had bestowed on pagan senators could be used for funding pagan cults. Theology Ambrose joins Augustine, Jerome, and Gregory the Great as one of the Latin Doctors of the Church. Theologians compare him with Hilary, who they claim fell short of Ambrose's administrative excellence but demonstrated greater theological ability. He succeeded as a theologian despite his juridical training and his comparatively late handling of biblical and doctrinal subjects. Ambrose's intense episcopal consciousness furthered the growing doctrine of the Church and its sacerdotal ministry, while the prevalent asceticism of the day, continuing the Stoic and Ciceronian training of his youth, enabled him to promulgate a lofty standard of Christian ethics. Thus we have the De officiis ministrorum, De viduis, De virginitate and De paenitentia. Ambrose displayed a kind of liturgical flexibility that kept in mind that liturgy was a tool to serve people in worshiping God, and ought not to become a rigid entity that is invariable from place to place. His advice to Augustine of Hippo on this point was to follow local liturgical custom. "When I am at Rome, I fast on a Saturday; when I am at Milan, I do not. Follow the custom of the church where you are." Thus Ambrose refused to be drawn into a false conflict over which particular local church had the "right" liturgical form where there was no substantial problem. His advice has remained in the English language as the saying, "When in Rome, do as the Romans do." One interpretation of Ambrose's writings is that he was a Christian universalist. It has been noted that Ambrose's theology was significantly influenced by that of Origen and Didymus the Blind, two other early Christian universalists. One quotation cited in favor of this belief is: One could interpret this passage as being another example of the mainstream Christian belief in a general resurrection (that both those in Heaven and in Hell undergo a bodily resurrection), or an allusion to purgatory (that some destined for Heaven must first undergo a phase of purification). Several other works by Ambrose clearly teach the mainstream view of salvation. For example: "The Jews feared to believe in manhood taken up into God, and therefore have lost the grace of redemption, because they reject that on which salvation depends." Giving to the poor In De Officiis, the most influential of his surviving works, and one of the most important texts of patristic literature, he reveals his views connecting justice and generosity by asserting these practices are of mutual benefit to the participants. Ambrose draws heavily on Cicero and the biblical book of Genesis for this concept of mutual inter-dependence in society. In the bishop's view, it is concern for one another's interests that binds society together. Ambrose asserts that avarice leads to a breakdown in this mutuality, therefore avarice leads to a breakdown in society itself. In the late 380s, the bishop took the lead in opposing the greed of the elite landowners in Milan by starting a series of pointed sermons directed at his wealthy constituents on the need for the rich to care for the poor. Some scholars have suggested Ambrose' endeavors to lead his people as both a Roman and a Christian caused him to strive for what a modern context would describe as a type of communism or socialism. He was not just interested in the church but was also interested in the condition of contemporary Italian society. Ambrose considered the poor not a distinct group of outsiders, but a part of a united people to be stood with in solidarity. Giving to the poor was not to be considered an act of generosity towards the fringes of society but a repayment of resources that God had originally bestowed on everyone equally and that the rich had usurped. He defines justice as providing for the poor whom he describes as our "brothers and sisters" because they "share our common humanity". Mariology The theological treatises of Ambrose of Milan would come to influence Popes Damasus, Siricius and Leo XIII. Central to Ambrose is the virginity of Mary and her role as Mother of God. The virgin birth is worthy of God. Which human birth would have been more worthy of God, than the one in which the Immaculate Son of God maintained the purity of his immaculate origin while becoming human? We confess that Christ the Lord was born from a virgin, and therefore we reject the natural order of things. Because she conceived not from a man but from the Holy Spirit. Christ is not divided but one. If we adore him as the Son of God, we do not deny his birth from the virgin. ... But nobody shall extend this to Mary. Mary was the temple of God but not God in the temple. Therefore, only the one who was in the temple can be worshiped. Yes, truly blessed for having surpassed the priest (Zechariah). While the priest denied, the Virgin rectified the error. No wonder that the Lord, wishing to rescue the world, began his work with Mary. Thus she, through whom salvation was being prepared for all people, would be the first to receive the promised fruit of salvation. Ambrose viewed celibacy as superior to marriage and saw Mary as the model of virginity. Augustine Ambrose studied theology with Simplician, a presbyter of Rome. Using his excellent knowledge of Greek, which was then rare in the West, Ambrose studied the Old Testament and Greek authors like Philo, Origen, Athanasius, and Basil of Caesarea, with whom he was also exchanging letters. Ambrose became a famous rhetorician whom Augustine came to hear speak. Augustine wrote in his Confessions that Faustus, the Manichean rhetorician, was a more impressive speaker, but the content of Ambrose's sermons began to affect Augustine's faith. Augustine sought guidance from Ambrose, and again records in his Confessions that Ambrose was too busy to answer his questions. In a passage of Augustine's Confessions in which Augustine wonders why he could not share his burden with Ambrose, he comments: "Ambrose himself I esteemed a happy man, as the world counted happiness, because great personages held him in honor. Only his celibacy appeared to me a painful burden." Simplician regularly met with Augustine, however, and Augustine writes of Simplician's "fatherly affection" for him. It was Simplician who introduced Augustine to Christian Neoplatonism. It is commonly understood in the Christian Tradition that Ambrose baptized Augustine. In this same passage of Augustine's Confessions is an anecdote which bears on the history of reading: This is a celebrated passage in modern scholarly discussion. The practice of reading to oneself without vocalizing the text was less common in antiquity than it has since become. In a culture that set a high value on oratory and public performances of all kinds, in which the production of books was very labor-intensive, the majority of the population was illiterate, and where those with the leisure to enjoy literary works also had slaves to read for them, written texts were more likely to be seen as scripts for recitation than as vehicles of silent reflection. However, there is also evidence that silent reading did occur in antiquity and that it was not generally regarded as unusual. Music Ambrose's writings extend past literature and into music, where he was an important innovator in early Christian hymnography. His contributions include the "successful invention of Christian Latin hymnody", while the hymnologist Guido Maria Dreves designated him to be "The Father of church hymnody". He was not the first to write Latin hymns; the Bishop Hilary of Poitiers had done so a few decades before. However, the hymns of Hilary are thought to have been largely inaccessible because of their complexity and length. Only fragments of hymns from Hilary's Liber hymnorum exist, making those of Ambrose the earliest extant complete Latin hymns. The assembling of Ambrose's surviving oeuvre remains controversial; the almost immediate popularity of his style quickly prompted imitations, some which may even date from his lifetime. There are four hymns for which Ambrose's authorship is universally accepted, as they are attributed to him by Augustine: "Aeterne rerum conditor" "Deus creator omnium" "Iam surgit hora tertia" "Veni redemptor gentium" (also known as "Intende qui regis Israel") Each of these hymns has eight four-line stanzas and is written in strict iambic tetrameter (that is 4 × 2 syllables, each iamb being two syllables). Marked by dignified simplicity, they served as a fruitful model for later times. Scholars such as the theologian Brian P. Dunkle have argued for the authenticity of as many as thirteen other hymns, while the musicologist James McKinnon contends that further attributions could include "perhaps some ten others". Ambrose is traditionally credited but not actually known to have composed any of the repertory of Ambrosian chant also known simply as "antiphonal chant", a method of chanting where one side of the choir alternately responds to the other. However, Ambrosian chant was named in his honor due to his contributions to the music of the Church. With Augustine, Ambrose was traditionally credited with composing the hymn "Te Deum". Since the hymnologist Guido Maria Dreves in 1893, however, scholars have dismissed this attribution. Writings Source: All works are originally in Latin. Following each is where it may be found in a standard compilation of Ambrose's writings. His first work was probably De paradiso (377–378). Most have approximate dates, and works such as De Helia et ieiunio (377–391), Expositio evangelii secundum Lucam (377–389) and De officiis ministrorum (377–391) have been given a wide variety of datings by scholars. His best known work is probably De officiis ministrorum (377–391), while the (386–390) and De obitu Theodosii (395) are among his most noted works. In matters of exegesis he is, like Hilary, an Alexandrian. In dogma he follows Basil of Caesarea and other Greek authors, but nevertheless gives a distinctly Western cast to the speculations of which he treats. This is particularly manifest in the weightier emphasis which he lays upon human sin and divine grace, and in the place which he assigns to faith in the individual Christian life. There has been debate on the attribution of some writings: for example De mysteriis is usually attributed to Ambrose, while the related De sacramentis is written in a different style with some silent disagreements, so there is less consensus over its author. Exegesis (; ; ) (; ; ) (; ; ) (; ) (; ) (; ; ) (; ; ) (; ; ) (; ; ) (; ; ) (; ; ) (; ) () (; ) (; ; ) (; ) (; ) (; ) () (; ; ) Moral and ascetical commentary () () () () () Dogmatic writings (; ) (; ; ) (; ; ) ; ) (; ; ) (; ) () (fragmented; ) Sermons (; ; ) (; ; ) (; ; ) () Others 91 letters Ambrosiaster or the "pseudo-Ambrose" is a brief commentary on Paul's Epistles, which was long attributed to Ambrose. Editions The history of the editions of the works of St. Ambrose is a long one. Erasmus edited them in four tomes at Basle (1527). A valuable Roman edition was brought out in 1580, in five volumes, the result of many years' labour; it was begun by Sixtus V, while yet the monk Felice Peretti. Prefixed to it is the life of St. Ambrose composed by Baronius for his Annales Ecclesiastici. The excellent Maurist edition of du Frische and Le Nourry appeared at Paris (1686–90) in two folio volumes; it was twice reprinted at Venice (1748–51, and 1781–82). The latest edition of the writings of St. Ambrose is that of Paolo Angelo Ballerini (Milan, 1878) in six folio volumes. Standard editions Based on the Maurist edition published in Paris by Jacques Du Frische and Denis-Nicolas Le Nourry. Based on the Maurist edition published in Paris by Jacques Du Frische and Denis-Nicolas Le Nourry. Latin Hexameron, De paradiso, De Cain, De Noe, De Abraham, De Isaac, De bono mortis – ed. C. Schenkl 1896, Vol. 32/1 (In Latin) De Iacob, De Ioseph, De patriarchis, De fuga saeculi, De interpellatione Iob et David, De apologia prophetae David, De Helia, De Nabuthae, De Tobia – ed. C. Schenkl 1897, Vol. 32/2 Expositio evangelii secundum Lucam – ed. C. Schenkl 1902, Vol. 32/4 Expositio de psalmo CXVIII – ed. M. Petschenig 1913, Vol. 62; editio altera supplementis aucta – cur. M. Zelzer 1999 Explanatio super psalmos XII – ed. M. Petschenig 1919, Vol. 64; editio altera supplementis aucta – cur. M. Zelzer 1999 Explanatio symboli, De sacramentis, De mysteriis, De paenitentia, De excessu fratris Satyri, De obitu Valentiniani, De obitu Theodosii – ed. Otto Faller 1955, Vol. 73 De fide ad Gratianum Augustum – ed. Otto Faller 1962, Vol. 78 De spiritu sancto, De incarnationis dominicae sacramento – ed. Otto Faller 1964, Vol. 79 Epistulae et acta – ed. Otto Faller (Vol. 82/1: lib. 1–6, 1968); Otto Faller, M. Zelzer ( Vol. 82/2: lib. 7–9, 1982); M. Zelzer ( Vol. 82/3: lib. 10, epp. extra collectionem. gesta concilii Aquileiensis, 1990); Indices et addenda – comp. M. Zelzer, 1996, Vol. 82/4 English H. Wace and P. Schaff, eds, A Select Library of Nicene and Post–Nicene Fathers of the Christian Church, 2nd ser., x [Contains translations of De Officiis (under the title De Officiis Ministrorum), De Spiritu Sancto (On the Holy Spirit), De excessu fratris Satyri (On the Decease of His Brother Satyrus), Exposition of the Christian Faith, De mysteriis (Concerning Mysteries), De paenitentia (Concerning Repentance), De virginibus (Concerning Virgins), De viduis (Concerning Widows), and a selection of letters] St. Ambrose "On the mysteries" and the treatise on the sacraments by an unknown author, translated by T Thompson, (London: SPCK, 1919) [translations of De sacramentis and De mysteriis; rev edn published 1950] S. Ambrosii De Nabuthae: a commentary, translated by Martin McGuire, (Washington, DC: The Catholic University of America, 1927) [translation of On Naboth] S. Ambrosii De Helia et ieiunio: a commentary, with an introduction and translation, Sister Mary Joseph Aloysius Buck, (Washington, DC: The Catholic University of America, 1929) [translation of On Elijah and Fasting] S. Ambrosii De Tobia: a commentary, with an introduction and translation, Lois Miles Zucker, (Washington, DC: The Catholic University of America, 1933) [translation of On Tobit] Funeral orations, translated by LP McCauley et al., Fathers of the Church vol 22, (New York: Fathers of the Church, Inc., 1953) [by Gregory of Nazianzus and Ambrose], Letters, translated by Mary Melchior Beyenka, Fathers of the Church, vol 26, (Washington, DC: Catholic University of America, 1954) [Translation of letters 1–91] Saint Ambrose on the sacraments, edited by Henry Chadwick, Studies in Eucharistic faith and practice 5, (London: AR Mowbray, 1960) Hexameron, Paradise, and Cain and Abel, translated by John J Savage, Fathers of the Church, vol 42, (New York: Fathers of the Church, 1961) [contains translations of Hexameron, De paradise, and De Cain et Abel] Saint Ambrose: theological and dogmatic works, translated by Roy J. Deferrari, Fathers of the church vol 44, (Washington: Catholic University of American Press, 1963) [Contains translations of The mysteries, (De mysteriis) The holy spirit, (De Spiritu Sancto), The sacrament of the incarnation of Our Lord, (De incarnationis Dominicae sacramento), and The sacraments] Seven exegetical works, translated by Michael McHugh, Fathers of the Church, vol 65, (Washington: Catholic University of America Press, 1972) [Contains translations of Isaac, or the soul, (De Isaac vel anima), Death as a good, (De bono mortis), Jacob and the happy life, (De Iacob et vita beata), Joseph, (De Ioseph), The patriarchs, (De patriarchis), Flight from the world, (De fuga saeculi), The prayer of Job and David, (De interpellatione Iob et David).] Homilies of Saint Ambrose on Psalm 118, translated by Íde Ní Riain, (Dublin: Halcyon Press, 1998) [translation of part of Explanatio psalmorum] Ambrosian hymns, translated by Charles Kraszewski, (Lehman, PA: Libella Veritatis, 1999) Commentary of Saint Ambrose on twelve psalms, translated by Íde M. Ní Riain, (Dublin: Halcyon Press, 2000) [translations of Explanatio psalmorum on Psalms 1, 35–40, 43, 45, 47–49] On Abraham, translated by Theodosia Tomkinson, (Etna, CA: Center for Traditionalist Orthodox Studies, 2000) [translation of De Abraham] De officiis, edited with an introduction, translation, and commentary by Ivor J Davidson, 2 vols, (Oxford: OUP, 2001) [contains both Latin and English text] Commentary of Saint Ambrose on the Gospel according to Saint Luke, translated by Íde M. Ní Riain, (Dublin: Halcyon, 2001) [translation of Expositio evangelii secundum Lucam] Ambrose of Milan: political letters and speeches, translated with an introduction and notes by JHWG Liebschuetz, (Liverpool: Liverpool University Press, 2005) [contains Book Ten of Ambrose's Letters, including the oration on the death of Theodosius I; Letters outside the Collection (Epistulae extra collectionem); Letter 30 to Magnus Maximus; The oration on the death of Valentinian II (De obitu Valentiniani).] Several of Ambrose's works have recently been published in the bilingual Latin-German Fontes Christiani series (currently edited by Brepols). See also Ambrosian hymnography Ambrosian Liturgy and Rite Saint Ambrose Basilica, Milan Church Fathers St. Ambrose Cathedral, Linares Saint Ambrose University, Davenport, Iowa Ambrose University College, Calgary, Alberta References Notes Citations Works cited Further reading External links Christian Classics Ethereal Library, Works of Ambrose of Milan Hymni Ambrosii (Latin) EarlyChurch.org.uk Extensive bibliography Ambrose's works: text, concordances and frequency list Ambrose at The Online Library of Liberty'' Opera Omnia Ambrose in Anglo-Saxon England, with Pseudo-Ambrose and Ambrosiaster, Contributions to Sources of Anglo-Saxon Literary Culture, by Dabney Anderson Bankert, Jessica Wegmann, and Charles D. Wright. "Saint Ambrose" at the Christian Iconography website Forum about the "ambrosian rite" "Of St. Ambrose" from the Caxton translation of the Golden Legend Augustine's account of the penitence of Theodosius Works of Santo Ambrósio at the National Library of Portugal Ambrosius 340s births Year of birth unknown 397 deaths 4th-century Italian bishops 4th-century Christian saints 4th-century Christian theologians 4th-century Gallo-Roman people 4th-century writers in Latin 4th-century philosophers 4th-century Romans Bishops of Milan Burials at the Basilica of Sant'Ambrogio Catholic Mariology Catholic philosophers Christian ethicists Christian hymnwriters Church Fathers Doctors of the Church Gallo-Roman saints Hymnographers Insects in religion Letter writers in Latin People from Trier Roman Empire hymnwriters Ancient Roman poets Anglican saints Religion in Lombardy
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https://en.wikipedia.org/wiki/Amber
Amber
Amber is fossilized tree resin that has been appreciated for its color and natural beauty since Neolithic times. Much valued from antiquity to the present as a gemstone, amber is made into a variety of decorative objects. Amber is used in jewelry and has been used as a healing agent in folk medicine. There are five classes of amber, defined on the basis of their chemical constituents. Because it originates as a soft, sticky tree resin, amber sometimes contains animal and plant material as inclusions. Amber occurring in coal seams is also called resinite, and the term ambrite is applied to that found specifically within New Zealand coal seams. Etymology The English word amber derives from Arabic (ultimately from Middle Persian ambar) via Middle Latin ambar and Middle French ambre. The word referred to what is now known as ambergris (ambre gris or "grey amber"), a solid waxy substance derived from the sperm whale. The word, in its sense of "ambergris," was adopted in Middle English in the 14th century. In the Romance languages, the sense of the word was extended to Baltic amber (fossil resin) from as early as the late 13th century. At first called white or yellow amber (ambre jaune), this meaning was adopted in English by the early 15th century. As the use of ambergris waned, this became the main sense of the word. The two substances ("yellow amber" and "grey amber") conceivably became associated or confused because they both were found washed up on beaches. Ambergris is less dense than water and floats, whereas amber is too dense to float, though less dense than stone. The classical names for amber, Latin electrum and Ancient Greek (ēlektron), are connected to a term ἠλέκτωρ (ēlektōr) meaning "beaming Sun". According to myth, when Phaëton son of Helios (the Sun) was killed, his mourning sisters became poplar trees, and their tears became elektron, amber. The word elektron gave rise to the words electric, electricity, and their relatives because of amber's ability to bear a charge of static electricity. Pliny the Elder says that the German name of amber was glæsum, "for which reason the Romans, when Germanicus commanded the fleet in those parts, gave to one of these islands the name of Glæsaria, which by the barbarians was known as Austeravia". This is confirmed by the recorded Old High German word glas and by the Old English word glær for "amber" (compare glass). In Middle Low German, amber was known as berne-, barn-, börnstēn (with etymological roots related to "burn" and to "stone"). The Low German term became dominant also in High German by the 18th century, thus modern German Bernstein besides Dutch barnsteen. In the Baltic languages, the Lithuanian term for amber is gintaras and the Latvian dzintars. These words, and the Slavic jantar and Hungarian gyanta ('resin'), are thought to originate from Phoenician jainitar ("sea-resin"). History Theophrastus discussed amber in the 4th century BCE, as did Pytheas (), whose work "On the Ocean" is lost, but was referenced by Pliny, according to whose Natural History: Earlier Pliny says that Pytheas refers to a large island—three days' sail from the Scythian coast and called Balcia by Xenophon of Lampsacus (author of a fanciful travel book in Greek)—as Basilia—a name generally equated with Abalus. Given the presence of amber, the island could have been Heligoland, Zealand, the shores of Gdańsk Bay, the Sambia Peninsula or the Curonian Lagoon, which were historically the richest sources of amber in northern Europe. It is assumed that there were well-established trade routes for amber connecting the Baltic with the Mediterranean (known as the "Amber Road"). Pliny states explicitly that the Germans exported amber to Pannonia, from where the Veneti distributed it onwards. The ancient Italic peoples of southern Italy used to work amber; the National Archaeological Museum of Siritide (Museo Archeologico Nazionale della Siritide) at Policoro in the province of Matera (Basilicata) displays important surviving examples. It has been suggested that amber used in antiquity, as at Mycenae and in the prehistory of the Mediterranean, came from deposits in Sicily. Pliny also cites the opinion of Nicias ( 470–413 BCE), according to whom amber Besides the fanciful explanations according to which amber is "produced by the Sun", Pliny cites opinions that are well aware of its origin in tree resin, citing the native Latin name of succinum (sūcinum, from sucus "juice"). In Book 37, section XI of Natural History, Pliny wrote: He also states that amber is also found in Egypt and India, and he even refers to the electrostatic properties of amber, by saying that "in Syria the women make the whorls of their spindles of this substance, and give it the name of harpax [from ἁρπάζω, "to drag"] from the circumstance that it attracts leaves towards it, chaff, and the light fringe of tissues". Amber has a long history of use in China, with the first written record from 200 BCE. Early in the 19th century, the first reports of amber found in North America came from discoveries in New Jersey along Crosswicks Creek near Trenton, at Camden, and near Woodbury. Composition and formation Amber is heterogeneous in composition, but consists of several resinous more or less soluble in alcohol, ether and chloroform, associated with an insoluble bituminous substance. Amber is a macromolecule by free radical polymerization of several precursors in the labdane family, e.g. communic acid, cummunol, and biformene. These labdanes are diterpenes (C20H32) and trienes, equipping the organic skeleton with three alkene groups for polymerization. As amber matures over the years, more polymerization takes place as well as isomerization reactions, crosslinking and cyclization. Most amber has a hardness between 2.0 and 2.5 on the Mohs scale, a refractive index of 1.5–1.6, a specific gravity between 1.06 and 1.10, and a melting point of 250–300 °C. Heated above , amber decomposes, yielding an oil of amber, and leaves a black residue which is known as "amber colophony", or "amber pitch"; when dissolved in oil of turpentine or in linseed oil this forms "amber varnish" or "amber lac". Molecular polymerization, resulting from high pressures and temperatures produced by overlying sediment, transforms the resin first into copal. Sustained heat and pressure drives off terpenes and results in the formation of amber. For this to happen, the resin must be resistant to decay. Many trees produce resin, but in the majority of cases this deposit is broken down by physical and biological processes. Exposure to sunlight, rain, microorganisms, and extreme temperatures tends to disintegrate the resin. For the resin to survive long enough to become amber, it must be resistant to such forces or be produced under conditions that exclude them. Fossil resins from Europe fall into two categories, the Baltic ambers and another that resembles the Agathis group. Fossil resins from the Americas and Africa are closely related to the modern genus Hymenaea, while Baltic ambers are thought to be fossil resins from plants of the family Sciadopityaceae that once lived in north Europe. The abnormal development of resin in living trees (succinosis) can result in the formation of amber. Impurities are quite often present, especially when the resin has dropped onto the ground, so the material may be useless except for varnish-making. Such impure amber is called firniss. Such inclusion of other substances can cause the amber to have an unexpected color. Pyrites may give a bluish color. Bony amber owes its cloudy opacity to numerous tiny bubbles inside the resin. However, so-called black amber is really a kind of jet. In darkly clouded and even opaque amber, inclusions can be imaged using high-energy, high-contrast, high-resolution X-rays. Extraction and processing Distribution and mining Amber is globally distributed, mainly in rocks of Cretaceous age or younger. Historically, the coast west of Königsberg in Prussia was the world's leading source of amber. The first mentions of amber deposits there date back to the 12th century. Juodkrantė in Lithuania was established in the mid. 19 century as a mining town of amber. About 90% of the world's extractable amber is still located in that area, which was transferred to the Russian Soviet Federative Socialist Republic of the USSR in 1946, becoming the Kaliningrad Oblast. Pieces of amber torn from the seafloor are cast up by the waves and collected by hand, dredging, or diving. Elsewhere, amber is mined, both in open works and underground galleries. Then nodules of blue earth have to be removed and an opaque crust must be cleaned off, which can be done in revolving barrels containing sand and water. Erosion removes this crust from sea-worn amber. Dominican amber is mined through bell pitting, which is dangerous because of the risk of tunnel collapse. An important source of amber is Kachin State in northern Myanmar, which has been a major source of amber in China for at least 1,800 years. Contemporary mining of this deposit has attracted attention for unsafe working conditions and its role in funding internal conflict in the country. Amber from the Rivne Oblast of Ukraine, referred to as Rivne amber, is mined illegally by organised crime groups, who deforest the surrounding areas and pump water into the sediments to extract the amber, causing severe environmental deterioration. Treatment The Vienna amber factories, which use pale amber to manufacture pipes and other smoking tools, turn it on a lathe and polish it with whitening and water or with rotten stone and oil. The final luster is given by polishing with flannel. When gradually heated in an oil bath, amber "becomes soft and flexible. Two pieces of amber may be united by smearing the surfaces with linseed oil, heating them, and then pressing them together while hot. Cloudy amber may be clarified in an oil bath, as the oil fills the numerous pores that cause the turbidity. Small fragments, formerly thrown away or used only for varnish are now used on a large scale in the formation of "ambroid" or "pressed amber". The pieces are carefully heated with exclusion of air and then compressed into a uniform mass by intense hydraulic pressure, the softened amber being forced through holes in a metal plate. The product is extensively used for the production of cheap jewelry and articles for smoking. This pressed amber yields brilliant interference colors in polarized light." Amber has often been imitated by other resins like copal and kauri gum, as well as by celluloid and even glass. Baltic amber is sometimes colored artificially but also called "true amber". Appearance Amber occurs in a range of different colors. As well as the usual yellow-orange-brown that is associated with the color "amber", amber can range from a whitish color through a pale lemon yellow, to brown and almost black. Other uncommon colors include red amber (sometimes known as "cherry amber"), green amber, and even blue amber, which is rare and highly sought after. Yellow amber is a hard fossil resin from evergreen trees, and despite the name it can be translucent, yellow, orange, or brown colored. Known to the Iranians by the Pahlavi compound word kah-ruba (from kah "straw" plus rubay "attract, snatch", referring to its electrical properties), which entered Arabic as kahraba' or kahraba (which later became the Arabic word for electricity, كهرباء kahrabā), it too was called amber in Europe (Old French and Middle English ambre). Found along the southern shore of the Baltic Sea, yellow amber reached the Middle East and western Europe via trade. Its coastal acquisition may have been one reason yellow amber came to be designated by the same term as ambergris. Moreover, like ambergris, the resin could be burned as an incense. The resin's most popular use was, however, for ornamentation—easily cut and polished, it could be transformed into beautiful jewelry. Much of the most highly prized amber is transparent, in contrast to the very common cloudy amber and opaque amber. Opaque amber contains numerous minute bubbles. This kind of amber is known as "bony amber". Although all Dominican amber is fluorescent, the rarest Dominican amber is blue amber. It turns blue in natural sunlight and any other partially or wholly ultraviolet light source. In long-wave UV light it has a very strong reflection, almost white. Only about is found per year, which makes it valuable and expensive. Sometimes amber retains the form of drops and stalactites, just as it exuded from the ducts and receptacles of the injured trees. It is thought that, in addition to exuding onto the surface of the tree, amber resin also originally flowed into hollow cavities or cracks within trees, thereby leading to the development of large lumps of amber of irregular form. Classification Amber can be classified into several forms. Most fundamentally, there are two types of plant resin with the potential for fossilization. Terpenoids, produced by conifers and angiosperms, consist of ring structures formed of isoprene (C5H8) units. Phenolic resins are today only produced by angiosperms, and tend to serve functional uses. The extinct medullosans produced a third type of resin, which is often found as amber within their veins. The composition of resins is highly variable; each species produces a unique blend of chemicals which can be identified by the use of pyrolysis–gas chromatography–mass spectrometry. The overall chemical and structural composition is used to divide ambers into five classes. There is also a separate classification of amber gemstones, according to the way of production. Class I This class is by far the most abundant. It comprises labdatriene carboxylic acids such as communic or ozic acids. It is further split into three sub-classes. Classes Ia and Ib utilize regular labdanoid diterpenes (e.g. communic acid, communol, biformenes), while Ic uses enantio labdanoids (ozic acid, ozol, enantio biformenes). Class Ia includes Succinite (= 'normal' Baltic amber) and Glessite. They have a communic acid base, and they also include much succinic acid. Baltic amber yields on dry distillation succinic acid, the proportion varying from about 3% to 8%, and being greatest in the pale opaque or bony varieties. The aromatic and irritating fumes emitted by burning amber are mainly from this acid. Baltic amber is distinguished by its yield of succinic acid, hence the name succinite. Succinite has a hardness between 2 and 3, which is greater than many other fossil resins. Its specific gravity varies from 1.05 to 1.10. It can be distinguished from other ambers via infrared spectroscopy through a specific carbonyl absorption peak. Infrared spectroscopy can detect the relative age of an amber sample. Succinic acid may not be an original component of amber but rather a degradation product of abietic acid. Class Ib ambers are based on communic acid; however, they lack succinic acid. Class Ic is mainly based on enantio-labdatrienonic acids, such as ozic and zanzibaric acids. Its most familiar representative is Dominican amber,. which is mostly transparent and often contains a higher number of fossil inclusions. This has enabled the detailed reconstruction of the ecosystem of a long-vanished tropical forest. Resin from the extinct species Hymenaea protera is the source of Dominican amber and probably of most amber found in the tropics. It is not "succinite" but "retinite". Class II These ambers are formed from resins with a sesquiterpenoid base, such as cadinene. Class III These ambers are polystyrenes. Class IV Class IV is something of a catch-all: its ambers are not polymerized, but mainly consist of cedrene-based sesquiterpenoids. Class V Class V resins are considered to be produced by a pine or pine relative. They comprise a mixture of diterpinoid resins and n-alkyl compounds. Their main variety is Highgate copalite. Geological record The oldest amber recovered dates to the late Carboniferous period (). Its chemical composition makes it difficult to match the amber to its producers – it is most similar to the resins produced by flowering plants; however, there are no flowering plant fossils known from before the Cretaceous, and they were not common until the Late Cretaceous. Amber becomes abundant long after the Carboniferous, in the Early Cretaceous, , when it is found in association with insects. The oldest amber with arthropod inclusions comes from the Late Triassic (late Carnian 230 Ma) of Italy, where four microscopic (0.2–0.1 mm) mites, Triasacarus, Ampezzoa, Minyacarus and Cheirolepidoptus, and a poorly preserved nematoceran fly were found in millimetre-sized droplets of amber. The oldest amber with significant numbers of arthropod inclusions comes from Lebanon. This amber, referred to as Lebanese amber, is roughly 125–135 million years old, is considered of high scientific value, providing evidence of some of the oldest sampled ecosystems. In Lebanon, more than 450 outcrops of Lower Cretaceous amber were discovered by Dany Azar, a Lebanese paleontologist and entomologist. Among these outcrops, 20 have yielded biological inclusions comprising the oldest representatives of several recent families of terrestrial arthropods. Even older Jurassic amber has been found recently in Lebanon as well. Many remarkable insects and spiders were recently discovered in the amber of Jordan including the oldest zorapterans, clerid beetles, umenocoleid roaches, and achiliid planthoppers. Burmese amber from the Hukawng Valley in northern Myanmar is the only commercially exploited Cretaceous amber. Uranium–lead dating of zircon crystals associated with the deposit have given an estimated depositional age of approximately 99 million years ago. Over 1,300 species have been described from the amber, with over 300 in 2019 alone. Baltic amber is found as irregular nodules in marine glauconitic sand, known as blue earth, occurring in Upper Eocene strata of Sambia in Prussia. It appears to have been partly derived from older Eocene deposits and it occurs also as a derivative phase in later formations, such as glacial drift. Relics of an abundant flora occur as inclusions trapped within the amber while the resin was yet fresh, suggesting relations with the flora of eastern Asia and the southern part of North America. Heinrich Göppert named the common amber-yielding pine of the Baltic forests Pinites succiniter, but as the wood does not seem to differ from that of the existing genus it has been also called Pinus succinifera. It is improbable that the production of amber was limited to a single species; and indeed a large number of conifers belonging to different genera are represented in the amber-flora. Paleontological significance Amber is a unique preservational mode, preserving otherwise unfossilizable parts of organisms; as such it is helpful in the reconstruction of ecosystems as well as organisms; the chemical composition of the resin, however, is of limited utility in reconstructing the phylogenetic affinity of the resin producer. Amber sometimes contains animals or plant matter that became caught in the resin as it was secreted. Insects, spiders and even their webs, annelids, frogs, crustaceans, bacteria and amoebae, marine microfossils, wood, flowers and fruit, hair, feathers and other small organisms have been recovered in Cretaceous ambers (deposited c. ). The preservation of prehistoric organisms in amber forms a key plot point in Michael Crichton's 1990 novel Jurassic Park and the 1993 movie adaptation by Steven Spielberg. In the story, scientists are able to extract the preserved blood of dinosaurs from prehistoric mosquitoes trapped in amber, from which they genetically clone living dinosaurs. Scientifically this is as yet impossible, since no amber with fossilized mosquitoes has ever yielded preserved blood. Amber is, however, conducive to preserving DNA, since it dehydrates and thus stabilizes organisms trapped inside. One projection in 1999 estimated that DNA trapped in amber could last up to 100 million years, far beyond most estimates of around 1 million years in the most ideal conditions, although a later 2013 study was unable to extract DNA from insects trapped in much more recent Holocene copal. In 1938, 12-year-old David Attenborough (brother of Richard who played John Hammond in Jurassic Park) was given a piece of amber containing prehistoric creatures from his adoptive sister; it would be the focus of his 2004 BBC documentary The Amber Time Machine. Use Amber has been used since prehistory (Solutrean) in the manufacture of jewelry and ornaments, and also in folk medicine. Jewelry Amber has been used as jewelry since the Stone Age, from 13,000 years ago. Amber ornaments have been found in Mycenaean tombs and elsewhere across Europe. To this day it is used in the manufacture of smoking and glassblowing mouthpieces. Amber's place in culture and tradition lends it a tourism value; Palanga Amber Museum is dedicated to the fossilized resin. Historical medicinal uses Amber has long been used in folk medicine for its purported healing properties. Amber and extracts were used from the time of Hippocrates in ancient Greece for a wide variety of treatments through the Middle Ages and up until the early twentieth century. Traditional Chinese medicine uses amber to "tranquilize the mind". Amber necklaces are a traditional European remedy for colic or teething pain with purported analgesic properties of succinic acid, although there is no evidence that this is an effective remedy or delivery method. The American Academy of Pediatrics and the FDA have warned strongly against their use, as they present both a choking and a strangulation hazard. Scent of amber and amber perfumery In ancient China, it was customary to burn amber during large festivities. If amber is heated under the right conditions, oil of amber is produced, and in past times this was combined carefully with nitric acid to create "artificial musk" – a resin with a peculiar musky odor. Although when burned, amber does give off a characteristic "pinewood" fragrance, modern products, such as perfume, do not normally use actual amber because fossilized amber produces very little scent. In perfumery, scents referred to as "amber" are often created and patented to emulate the opulent golden warmth of the fossil. The scent of amber was originally derived from emulating the scent of ambergris and/or the plant resin labdanum, but since sperm whales are endangered, the scent of amber is now largely derived from labdanum. The term "amber" is loosely used to describe a scent that is warm, musky, rich and honey-like, and also somewhat earthy. Benzoin is usually part of the recipe. Vanilla and cloves are sometimes used to enhance the aroma. "Amber" perfumes may be created using combinations of labdanum, benzoin resin, copal (a type of tree resin used in incense manufacture), vanilla, Dammara resin and/or synthetic materials. In Arab Muslim tradition, popular scents include amber, jasmine, musk and oud (agarwood). Imitation substances Young resins used as imitations: Kauri resin from Agathis australis trees in New Zealand. The copals (subfossil resins). The African and American (Colombia) copals from Leguminosae trees family (genus Hymenaea). Amber of the Dominican or Mexican type (Class I of fossil resins). Copals from Manilia (Indonesia) and from New Zealand from trees of the genus Agathis (family Araucariaceae) Other fossil resins: burmite in Burma, rumenite in Romania, and simetite in Sicily. Other natural resins — cellulose or chitin, etc. Plastics used as imitations: Stained glass (inorganic material) and other ceramic materials Celluloid Cellulose nitrate (first obtained in 1833) — a product of treatment of cellulose with nitration mixture. Acetylcellulose (not in the use at present) Galalith or "artificial horn" (condensation product of casein and formaldehyde), other trade names: Alladinite, Erinoid, Lactoid. Casein — a conjugated protein forming from the casein precursor – caseinogen. Resolane (phenolic resins or phenoplasts, not in the use at present) Bakelite resine (resol, phenolic resins), product from Africa are known under the misleading name "African amber". Carbamide resins — melamine, formaldehyde and urea-formaldehyde resins. Epoxy novolac (phenolic resins), unofficial name "antique amber", not in the use at present Polyesters (Polish amber imitation) with styrene. For example, unsaturated polyester resins (polymals) are produced by Chemical Industrial Works "Organika" in Sarzyna, Poland; estomal are produced by Laminopol firm. Polybern or sticked amber is artificial resins the curled chips are obtained, whereas in the case of amber – small scraps. "African amber" (polyester, synacryl is then probably other name of the same resine) are produced by Reichhold firm; Styresol trade mark or alkid resin (used in Russia, Reichhold, Inc. patent, 1948. Polyethylene Epoxy resins Polystyrene and polystyrene-like polymers (vinyl polymers). The resins of acrylic type (vinyl polymers), especially polymethyl methacrylate PMMA (trade mark Plexiglass, metaplex). See also Ammolite List of types of amber Petrified wood Pearl Poly(methyl methacrylate) Precious coral References Bibliography External links Farlang many full text historical references on Amber Theophrastus, George Frederick Kunz, and special on Baltic amber. IPS Publications on amber inclusions International Paleoentomological Society: Scientific Articles on amber and its inclusions Webmineral on Amber Physical properties and mineralogical information Mindat Amber Image and locality information on amber NY Times 40 million year old extinct bee in Dominican amber Fossil resins Amorphous solids Traditional medicine
1376
https://en.wikipedia.org/wiki/Army
Army
An army, ground force or land force is an armed force that fights primarily on land. In the broadest sense, it is the land-based military branch, service branch or armed service of a nation or country. It may also include aviation assets by possessing an army aviation component. Within a national military force, the word army may also mean a field army. In some countries, such as France and China, the term "army", especially in its plural form "armies", has the broader meaning of armed forces as a whole, while retaining the colloquial sense of land forces. To differentiate the colloquial army from the formal concept of military force, the term is qualified, for example in France the land force is called , meaning Land Army, and the air and space force is called , meaning Air and Space Army. The naval force, although not using the term "army", is also included in the broad sense of the term "armies" — thus the French Navy is an integral component of the collective French Armies (French Armed Forces) under the Ministry of the Armies. A similar pattern is seen in China, with the People's Liberation Army (PLA) being the overall military, the land force being the PLA Ground Force, and so forth for the PLA Air Force, the PLA Navy, and other branches. By convention, irregular military is understood in contrast to regular armies which grew slowly from personal bodyguards or elite militia. Regular in this case refers to standardized doctrines, uniforms, organizations, etc. Regular military can also refer to full-time status (standing army), versus reserve or part-time personnel. Other distinctions may separate statutory forces (established under laws such as the National Defence Act), from de facto "non-statutory" forces such as some guerrilla and revolutionary armies. Armies may also be expeditionary (designed for overseas or international deployment) or fencible (designed for – or restricted to – homeland defence). Structure Armies are always divided into various specialties, according to the mission, role, and training of individual units, and sometimes individual soldiers within a unit. Some of the groupings common to all armies include the following: Infantry Armoured corps Artillery corps Signal corps Special forces Military police Medical corps History India India's armies were among the first in the world. In the first recorded battle, the Battle of the Ten Kings, a Hindu Aryan king named Sudas defeated an alliance of ten kings and their supportive chieftains. During the Iron Age, the Maurya and Nanda Empires had the largest armies in the world, the peak being approximately over 600,000 Infantry, 30,000 Cavalry, 8,000 War-Chariots and 9,000 War Elephants not including tributary state allies. In the Gupta age, large armies of longbowmen were recruited to fight off invading horse archer armies. Elephants, pikemen and cavalry were other featured troops. China The states of China raised armies for at least 1000 years before the Spring and Autumn Annals. By the Warring States period, the crossbow had been perfected enough to become a military secret, with bronze bolts that could pierce any armor. Thus any political power of a state rested on the armies and their organization. China underwent political consolidation of the states of Han (韓), Wei (魏), Chu (楚), Yan (燕), Zhao (趙) and Qi (齊), until by 221 BCE, Qin Shi Huang (秦始皇帝), the first emperor of the Qin dynasty, attained absolute power. This first emperor of China could command the creation of a Terracotta Army to guard his tomb in the city of Xi'an (西安), as well as a realignment of the Great Wall of China to strengthen his empire against insurrection, invasion and incursion. Sun Tzu's The Art of War remains one of China's Seven Military Classics, even though it is two thousand years old. Since no political figure could exist without an army, measures were taken to ensure only the most capable leaders could control the armies. Civil bureaucracies (士大夫) arose to control the productive power of the states, and their military power. Sparta The Spartan Army was one of the earliest known professional armies. Boys were sent to a barracks at the age of seven or eight to train for becoming a soldier. At the age of thirty, they were released from the barracks and allowed to marry and have a family. After that, men devoted their lives to war until their retirement at the age of 60. The Spartan Army was largely composed of hoplites, equipped with arms and armor nearly identical to each other. Each hoplite bore the Spartan emblem and a scarlet uniform. The main pieces of this armor were a round shield, a spear and a helmet. Ancient Rome The Roman Army had its origins in the citizen army of the Republic, which was staffed by citizens serving mandatory duty for Rome. Conscription remained the main method through which Rome mustered forces until the end of the Republic. The army eventually became a professional organization largely of citizens, who would served continuously for 25 years before being discharged. The Romans were also noted for making use of auxiliary troops, non-Romans who served with the legions and filled roles that the traditional Roman military could not fill effectively, such as light skirmish troops and heavy cavalry. After their service in the army they were made citizens of Rome and then their children were citizens also. They were also given land and money to settle in Rome. In the Late Roman Empire, these auxiliary troops, along with foreign mercenaries, became the core of the Roman Army; moreover, by the time of the Late Roman Empire tribes such as the Visigoths were paid to serve as mercenaries. Medieval Europe In the earliest Middle Ages it was the obligation of every aristocrat to respond to the call to battle with his own equipment, archers, and infantry. This decentralized system was necessary due to the social order of the time, but could lead to motley forces with variable training, equipment and abilities. The more resources the noble had access to, the better his troops would be. Initially, the words "knight" and "noble" were used interchangeably as there was not generally a distinction between them. While the nobility did fight upon horseback, they were also supported by lower class citizens – and mercenaries and criminals – whose only purpose was participating in warfare because, most often than not, they held brief employment during their lord's engagement. As the Middle Ages progressed and feudalism developed in a legitimate social and economic system, knights started to develop into their own class with a minor caveat: they were still in debt to their lord. No longer primarily driven by economic need, the newly established vassal class were, instead, driven by fealty and chivalry. As central governments grew in power, a return to the citizen armies of the classical period also began, as central levies of the peasantry began to be the central recruiting tool. England was one of the most centralized states in the Middle Ages, and the armies that fought in the Hundred Years' War were, predominantly, composed of paid professionals. In theory, every Englishman had an obligation to serve for forty days. Forty days was not long enough for a campaign, especially one on the continent. Thus the scutage was introduced, whereby most Englishmen paid to escape their service and this money was used to create a permanent army. However, almost all high medieval armies in Europe were composed of a great deal of paid core troops, and there was a large mercenary market in Europe from at least the early 12th century. As the Middle Ages progressed in Italy, Italian cities began to rely mostly on mercenaries to do their fighting rather than the militias that had dominated the early and high medieval period in this region. These would be groups of career soldiers who would be paid a set rate. Mercenaries tended to be effective soldiers, especially in combination with standing forces, but in Italy they came to dominate the armies of the city states. This made them considerably less reliable than a standing army. Mercenary-on-mercenary warfare in Italy also led to relatively bloodless campaigns which relied as much on maneuver as on battles. In 1439 the French legislature, known as the Estates General (French: états généraux), passed laws that restricted military recruitment and training to the king alone. There was a new tax to be raised known as the taille that was to provide funding for a new Royal army. The mercenary companies were given a choice of either joining the Royal army as compagnies d'ordonnance on a permanent basis, or being hunted down and destroyed if they refused. France gained a total standing army of around 6,000 men, which was sent out to gradually eliminate the remaining mercenaries who insisted on operating on their own. The new standing army had a more disciplined and professional approach to warfare than its predecessors. The reforms of the 1440s, eventually led to the French victory at Castillon in 1453, and the conclusion of the Hundred Years' War. By 1450 the companies were divided into the field army, known as the grande ordonnance and the garrison force known as the petite ordonnance. Early modern First nation states lacked the funds needed to maintain standing forces, so they tended to hire mercenaries to serve in their armies during wartime. Such mercenaries typically formed at the ends of periods of conflict, when men-at-arms were no longer needed by their respective governments. The veteran soldiers thus looked for other forms of employment, often becoming mercenaries. Free Companies would often specialize in forms of combat that required longer periods of training that was not available in the form of a mobilized militia. As late as the 1650s, most troops were mercenaries. However, after the 17th century, most states invested in better disciplined and more politically reliable permanent troops. For a time mercenaries became important as trainers and administrators, but soon these tasks were also taken by the state. The massive size of these armies required a large supporting force of administrators. The newly centralized states were forced to set up vast organized bureaucracies to manage these armies, which some historians argue is the basis of the modern bureaucratic state. The combination of increased taxes and increased centralization of government functions caused a series of revolts across Europe such as the Fronde in France and the English Civil War. In many countries, the resolution of this conflict was the rise of absolute monarchy. Only in England and the Netherlands did representative government evolve as an alternative. From the late 17th century, states learned how to finance wars through long term low interest loans from national banking institutions. The first state to master this process was the Dutch Republic. This transformation in the armies of Europe had great social impact. The defense of the state now rested on the commoners, not on the aristocrats. However, aristocrats continued to monopolize the officer corps of almost all early modern armies, including their high command. Moreover, popular revolts almost always failed unless they had the support and patronage of the noble or gentry classes. The new armies, because of their vast expense, were also dependent on taxation and the commercial classes who also began to demand a greater role in society. The great commercial powers of the Dutch and English matched much larger states in military might. As any man could be quickly trained in the use of a musket, it became far easier to form massive armies. The inaccuracy of the weapons necessitated large groups of massed soldiers. This led to a rapid swelling of the size of armies. For the first time huge masses of the population could enter combat, rather than just the highly skilled professionals. It has been argued that the drawing of men from across the nation into an organized corps helped breed national unity and patriotism, and during this period the modern notion of the nation state was born. However, this would only become apparent after the French Revolutionary Wars. At this time, the levée en masse and conscription would become the defining paradigm of modern warfare. Before then, however, most national armies were in fact composed of many nationalities. In Spain armies were recruited from all the Spanish European territories including Spain, Italy, Wallonia (Walloon Guards) and Germany. The French recruited some soldiers from Germany, Switzerland as well as from Piedmont. Britain recruited Hessian and Hanovrian troops until the late 18th century. Irish Catholics made careers for themselves in the armies of many Catholic European states. Prior to the English Civil War in England, the monarch maintained a personal bodyguard of Yeomen of the Guard and the Honourable Corps of Gentlemen at Arms, or "gentlemen pensioners", and a few locally raised companies to garrison important places such as Berwick on Tweed or Portsmouth (or Calais before it was recaptured by France in 1558). Troops for foreign expeditions were raised upon an ad hoc basis. Noblemen and professional regular soldiers were commissioned by the monarch to supply troops, raising their quotas by indenture from a variety of sources. On January 26, 1661 Charles II issued the Royal Warrant that created the genesis of what would become the British Army, although the Scottish and English Armies would remain two separate organizations until the unification of England and Scotland in 1707. The small force was represented by only a few regiments. After the American Revolutionary War the Continental Army was quickly disbanded as part of the Americans' distrust of standing armies, and irregular state militias became the sole ground army of the United States, with the exception of one battery of artillery guarding West Point's arsenal. Then First American Regiment was established in 1784. However, because of continuing conflict with Native Americans, it was soon realized that it was necessary to field a trained standing army. The first of these, the Legion of the United States, was established in 1791. Until 1733 the common soldiers of Prussian Army consisted largely of peasantry recruited or impressed from Brandenburg–Prussia, leading many to flee to neighboring countries. To halt this trend, Frederick William I divided Prussia into regimental cantons. Every youth was required to serve as a soldier in these recruitment districts for three months each year; this met agrarian needs and added extra troops to bolster the regular ranks. Russian tsars before Peter I of Russia maintained professional hereditary musketeer corps (streltsy in Russian) that were highly unreliable and undisciplined. In times of war the armed forces were augmented by peasants. Peter I introduced a modern regular army built on German model, but with a new aspect: officers not necessarily from nobility, as talented commoners were given promotions that eventually included a noble title at the attainment of an officer's rank. Conscription of peasants and townspeople was based on quota system, per settlement. Initially it was based on the number of households, later it was based on the population numbers. The term of service in the 18th century was for life. In 1793 it was reduced to 25 years. In 1834 it was reduced to 20 years plus 5 years in reserve and in 1855 to 12 years plus 3 years of reserve. The first Ottoman standing army were Janissaries. They replaced forces that mostly comprised tribal warriors (ghazis) whose loyalty and morale could not always be trusted. The first Janissary units were formed from prisoners of war and slaves, probably as a result of the sultan taking his traditional one-fifth share of his army's booty in kind rather than cash. From the 1380s onwards, their ranks were filled under the devşirme system, where feudal dues were paid by service to the sultan. The "recruits" were mostly Christian youths, reminiscent of mamluks. China organized the Manchu people into the Eight Banner system in the early 17th century. Defected Ming armies formed the Green Standard Army. These troops enlisted voluntarily and for long terms of service. Late modern Conscription allowed the French Republic to form the Grande Armée, what Napoleon Bonaparte called "the nation in arms", which successfully battled European professional armies. Conscription, particularly when the conscripts are being sent to foreign wars that do not directly affect the security of the nation, has historically been highly politically contentious in democracies. In developed nations, the increasing emphasis on technological firepower and better-trained fighting forces, make mass conscription unlikely in the foreseeable future. Russia, as well as many other nations, retains mainly a conscript army. There is also a very rare citizen army as used in Switzerland (see Military of Switzerland). Field army A particular army can be named or numbered to distinguish it from military land forces in general. For example, the First United States Army and the Army of Northern Virginia. In the British Army it is normal to spell out the ordinal number of an army (e.g. First Army), whereas lower formations use figures (e.g. 1st Division). Armies (as well as army groups and theaters) are large formations which vary significantly between armed forces in size, composition, and scope of responsibility. In the Soviet Red Army and the Soviet Air Force, "Armies" could vary in size, but were subordinate to an Army Group-sized "front" in wartime. In peacetime, a Soviet army was usually subordinate to a military district. Viktor Suvorov's Inside the Soviet Army describes how Cold War era Soviet military districts were actually composed of a front headquarters and a military district headquarters co-located for administration and deception ('maskirovika') reasons. Formations In many countries, especially in Europe or North America, armies are often subdivided as follows: See also Lists of armies List of armies by country List of army units called Guards List of numbered armies List of countries by number of military and paramilitary personnel Military organization Paramilitary References External links Types of military forces
1384
https://en.wikipedia.org/wiki/Amos%20Bronson%20Alcott
Amos Bronson Alcott
Amos Bronson Alcott (; November 29, 1799 – March 4, 1888) was an American teacher, writer, philosopher, and reformer. As an educator, Alcott pioneered new ways of interacting with young students, focusing on a conversational style, and avoided traditional punishment. He hoped to perfect the human spirit and, to that end, advocated a plant-based diet. He was also an abolitionist and an advocate for women's rights. Born in Wolcott, Connecticut, in 1799, Alcott had only minimal formal schooling before attempting a career as a traveling salesman. Worried that the itinerant life might have a negative impact on his soul, he turned to teaching. His innovative methods, however, were controversial, and he rarely stayed in one place very long. His most well-known teaching position was at the Temple School in Boston. His experience there was turned into two books: Records of a School and Conversations with Children on the Gospels. Alcott became friends with Ralph Waldo Emerson and became a major figure in transcendentalism. His writings on behalf of that movement, however, are heavily criticized for being incoherent. Based on his ideas for human perfection, Alcott founded Fruitlands, a transcendentalist experiment in community living. The project failed after seven months. Alcott and his family struggled financially for most of his life. Nevertheless, he continued focusing on educational projects and opened a new school at the end of his life in 1879. He died in 1888. Alcott married Abby May in 1830, and they had four surviving children, all daughters. Their second was Louisa May, who fictionalized her experience with the family in her novel Little Women in 1868. Life and work Early life A native New Englander, Amos Bronson Alcott was born in Wolcott, Connecticut (then recently renamed from "Farmingbury") on November 29, 1799. His parents were Joseph Chatfield Alcott and Anna Bronson Alcott. The family home was in an area known as Spindle Hill, and his father, Joseph Alcox, traced his ancestry to colonial-era settlers in eastern Massachusetts. The family originally spelled their name "Alcock", later changed to "Alcocke" then "Alcox". Amos Bronson, the oldest of eight children, later changed the spelling to "Alcott" and dropped his first name. At age six, young Bronson began his formal education in a one-room schoolhouse in the center of town but learned how to read at home with the help of his mother. The school taught only reading, writing, and spelling, and he left this school at the age of 10. At age 13, his uncle, Reverend Tillotson Bronson, invited Alcott into his home in Cheshire, Connecticut, to be educated and prepared for college. Bronson gave it up after only a month and was self-educated from then on. He was not particularly social and his only close friend was his neighbor and second cousin William Alcott, with whom he shared books and ideas. Bronson Alcott later reflected on his childhood at Spindle Hill: "It kept me pure ... I dwelt amidst the hills ... God spoke to me while I walked the fields." Starting at age 15, he worked for clockmaker Seth Thomas in the nearby town of Plymouth. At age 17, Alcott passed the exam for a teaching certificate but had trouble finding work as a teacher. Instead, he left home and became a traveling salesman in the American South, peddling books and merchandise. He hoped the job would earn him enough money to support his parents, "to make their cares, and burdens less ... and get them free from debt", though he soon spent most of his earnings on a new suit. At first, he thought it an acceptable occupation but soon worried about his spiritual well-being. In March 1823, Alcott wrote to his brother: "Peddling is a hard place to serve God, but a capital one to serve Mammon." Near the end of his life, he fictionalized this experience in his book, New Connecticut, originally circulated only among friends before its publication in 1881. Early career and marriage By the summer of 1823, Alcott returned to Connecticut in debt to his father, who had bailed him out after his last two unsuccessful sales trips. He took a job as a schoolteacher in Cheshire with the help of his Uncle Tillotson. He quickly set about reforming the school. He added backs to the benches on which students sat, improved lighting and heating, de-emphasized rote learning, and provided individual slates to each student—paid for by himself. Alcott had been influenced by educational philosophy of the Swiss pedagogue Johann Heinrich Pestalozzi and even renamed his school "The Cheshire Pestalozzi School". His style attracted the attention of Samuel Joseph May, who introduced Alcott to his sister Abby May. She called him, "an intelligent, philosophic, modest man" and found his views on education "very attractive". Locals in Cheshire were less supportive and became suspicious of his methods. Many students left and were enrolled in the local common school or a recently reopened private school for boys. On November 6, 1827, Alcott started teaching in Bristol, Connecticut, still using the same methods he used in Cheshire, but opposition from the community surfaced quickly; he was unemployed by March 1828. He moved to Boston on April 24, 1828, and was immediately impressed, referring to the city as a place "where the light of the sun of righteousness has risen". He opened the Salem Street Infant School two months later on June 23. Abby May applied as his teaching assistant; instead, the couple were engaged, without consent of the family. They were married at King's Chapel on May 22, 1830; he was 30 years old and she was 29. Her brother conducted the ceremony and a modest reception followed at her father's house. After their marriage the Alcotts moved to 12 Franklin Street in Boston, a boarding house run by a Mrs. Newall. Around this time, Alcott also first expressed his public disdain for slavery. In November 1830, he and William Lloyd Garrison founded what he later called a "preliminary Anti-Slavery Society", though he differed from Garrison as a nonresistant. Alcott became a member of the Boston Vigilance Committee. Attendance at Alcott's school was falling when a wealthy Quaker named Reuben Haines III proposed that he and educator William Russell start a new school in Pennsylvania, associated with the Germantown Academy. Alcott accepted and he and his newly pregnant wife set forth on December 14. The school was established in Germantown and the Alcotts were offered a rent-free home by Haines. Alcott and Russell were initially concerned that the area would not be conducive to their progressive approach to education and considered establishing the school in nearby Philadelphia instead. Unsuccessful, they went back to Germantown, though the rent-free home was no longer available and the Alcotts instead had to rent rooms in a boarding-house. It was there that their first child, a daughter they named Anna Bronson Alcott, was born on March 16, 1831, after 36 hours of labor. By the fall of that year, their benefactor Haines died suddenly and the Alcotts again suffered financial difficulty. "We hardly earn the bread", wrote Abby May to her brother, "[and] the butter we have to think about." The couple's only son was born on April 6, 1839, but lived only a few minutes. The mother recorded: "Gave birth to a fine boy full grown perfectly formed but not living". It was in Germantown that the couple's second daughter was born. Louisa May Alcott was born on her father's birthday, November 29, 1832, at a half-hour past midnight. Bronson described her as "a very fine healthful child, much more so than Anna was at birth". The Germantown school, however, was faltering; soon only eight pupils remained. Their benefactor Haines died before Louisa's birth. He had helped recruit students and even paid tuition for some of them. As Abby wrote, his death "has prostrated all our hopes here". On April 10, 1833, the family moved to Philadelphia, where Alcott ran a day school. As usual, Alcott's methods were controversial; a former student later referred to him as "the most eccentric man who ever took on himself to train and form the youthful mind". Alcott began to believe Boston was the best place for his ideas to flourish. He contacted theologian William Ellery Channing for support. Channing approved of Alcott's methods and promised to help find students to enroll, including his daughter Mary. Channing also secured aid from Justice Lemuel Shaw and Boston mayor Josiah Quincy Jr. Experimental educator On September 22, 1834, Alcott opened a school of about 30 students, mostly from wealthy families. It was named the Temple School because classes were held at the Masonic Temple on Tremont Street in Boston. His assistant was Elizabeth Palmer Peabody, later replaced by Margaret Fuller. Mary Peabody Mann served as a French instructor for a time. The school was briefly famous, and then infamous, because of Alcott's method of "discarding text-books and teaching by conversation", his questioning attitude toward the Bible, and his reception of "a colored girl" into his classes. Before 1830, primary and secondary teaching of writing consisted of rote drills in grammar, spelling, vocabulary, penmanship and transcription of adult texts. In that decade, however, progressive reformers such as Alcott, influenced by Pestalozzi, Friedrich Fröbel, and Johann Friedrich Herbart, began to advocate compositions based on students' own experiences. These reformers opposed beginning instruction with rules and preferred to have students learn to write by expressing their personal understanding of the events of their lives. Alcott sought to develop instruction on the basis of self-analysis, with an emphasis on conversation and questioning rather than lecturing and drill. A similar interest in instructive conversation was shared by Abby May who, describing her idea of a family "post office" set up to curb potential domestic tension, said "I thought it would afford a daily opportunity for the children, indeed all of us, to interchange thought and sentiment". Alongside writing and reading, Alcott gave lessons in "spiritual culture", which included interpretation of the Gospels, and advocated object teaching in writing instruction. He even went so far as to decorate his schoolroom with visual elements he thought would inspire learning: paintings, books, comfortable furniture, and busts or portraits of Plato, Socrates, Jesus, and William Ellery Channing. During this time, the Alcotts had another child. Born on June 24, 1835, she was named Elizabeth Peabody Alcott in honor of the teaching assistant at the Temple School. By age three, however, her mother changed her name to Elizabeth Sewall Alcott, after her own mother, perhaps because of the recent rupture between Bronson Alcott and Elizabeth Palmer Peabody. In July 1835, Peabody published her account as an assistant to the Temple School as Record of a School: Exemplifying the General Principles of Spiritual Culture. While working on a second book, Alcott and Peabody had a falling out and Conversations with Children on the Gospels was prepared with help from Peabody's sister Sophia, published at the end of December 1836. Alcott's methods were not well received; many found his conversations on the Gospels close to blasphemous. For example, he asked students to question if Biblical miracles were literal and suggested that all people are part of God. In the Boston Daily Advertiser, Nathan Hale criticized Alcott's "flippant and off hand conversation" about serious topics from the Virgin birth of Jesus to circumcision. Joseph T. Buckingham called Alcott "either insane or half-witted" and "an ignorant and presuming charlatan". The book did not sell well; a Boston lawyer bought 750 copies to use as waste paper. The Temple School was widely denounced in the press. Reverend James Freeman Clarke was one of Alcott's few supporters and defended him against the harsh response from Boston periodicals. Alcott was rejected by most public opinion and, by the summer of 1837, he had only 11 students left and no assistant after Margaret Fuller moved to Providence, Rhode Island. The controversy had caused many parents to remove their children and, as the school closed, Alcott became increasingly financially desperate. Remaining steadfast to his pedagogy, a forerunner of progressive and democratic schooling, he alienated parents in a later "parlor school" by admitting an African American child to the class, whom he then refused to expel in the face of protests. Transcendentalist Beginning in 1836, Alcott's membership in the Transcendental Club put him in the company of such as Ralph Waldo Emerson, Orestes Brownson and Theodore Parker. He became a member at the club's second meeting and hosted its third. A biographer of Emerson described the group as "the occasional meetings of a changing body of liberal thinkers, agreeing in nothing but their liberality". Frederic Henry Hedge wrote similarly that "[t]here was no club in the strict sense ... only occasional meetings of like-minded men and women". Alcott preferred the term "Symposium" for their group. In late April 1840, Alcott moved to the town of Concord urged by Emerson. He rented a home for $50 a year within walking distance of Emerson's house. He named it Dove Cottage. A supporter of his philosophies, Emerson offered to help Alcott with his writing. This proved a difficult task. For example, after several revisions of the essay "Psyche" (Alcott's account of how he educated his daughters), Emerson deemed it unpublishable. Alcott also wrote a series patterned after the work of German writer Johann Wolfgang von Goethe which was published in the Transcendentalists' journal, The Dial. Emerson had written to Margaret Fuller, then editor, that Alcott's so-called "Orphic Sayings" might "pass muster & even pass for just & great", but they were widely mocked as silly and unintelligible. Fuller herself disliked them, but did not want to hurt Alcott's feelings. The following example appeared in the first issue: With financial support from Emerson, and leaving his family in the care of his brother Junius, Alcott departed Concord for a visit to England on May 8, 1842. There he met admirers Charles Lane and Henry C. Wright, supporters of Alcott House, an experimental school outside London based on Alcott's Temple School methods. The two men followed Alcott back to the United States and, in an early communitarian experiment, Lane and his son moved in with the Alcotts. Persuaded in part by Lane's abolitionist views, Alcott took a stand against President Tyler's plan to annex Texas as a slave territory and refused to pay his poll tax. Abby May wrote in her journal on January 17, 1843, "A day of some excitement, as Mr. Alcott refused to pay his town tax ... After waiting some time to be committed [to jail], he was told it was paid by a friend. Thus we were spared the affliction of his absence and the triumph of suffering for his principles." The incident inspired Henry David Thoreau, whose similar protest against the $1.50 poll tax led to a night in jail and his essay "Civil Disobedience". Fruitlands Lane and Alcott collaborated on a major expansion of their educational theories into a Utopian society. Alcott, however, was still in debt and could not purchase the land needed for their planned community. In a letter, Lane wrote, "I do not see anyone to act the money part but myself." In May 1843, he purchased a farm in Harvard, Massachusetts. Up front, he paid $1,500 of the total $1,800 value of the property; the rest was meant to be paid by the Alcotts over a two-year period. They moved to the farm on June 1 and optimistically named it "Fruitlands" despite only ten old apple trees on the property. In July, Alcott announced their plans in The Dial: "We have made an arrangement with the proprietor of an estate of about a hundred acres, which liberates this tract from human ownership". Their goal was to regain Eden, to find the formula for agriculture, diet, and reproduction that would provide the perfect way for the individual to live "in harmony with nature, the animal world, his fellows, himself, [and] his creator". In order to achieve this, they removed themselves from the economy as much as possible and lived independently, styling themselves a "consociate family". Unlike a similar project named Brook Farm, the participants at Fruitlands avoided interaction with other local communities. At first scorning animal labor as exploitative, they found human spadework insufficient to their needs and eventually allowed some cattle to be "enslaved". They banned coffee, tea, alcoholic drinks, milk, and warm bathwater. As Alcott had published earlier, "Our wine is water, — flesh, bread; — drugs, fruits." One member, Samuel Bower, "gave the community the reputation of refusing to eat potatoes because instead of aspiring toward the sky they grew downward in the earth", For clothing, they prohibited leather, because animals were killed for it, as well as cotton, silk, and wool, because they were products of slave labor. Alcott had high expectations, but was often away, attempting to recruit more members when the community most needed him. The experimental community was never successful, partly because most of the land was not arable. Alcott lamented, "None of us were prepared to actualize practically the ideal life of which we dreamed. So we fell apart". Its founders were often away as well; in the middle of harvesting, they left for a lecture tour through Providence, Rhode Island, New York City, and New Haven, Connecticut. In its seven months, only 13 people joined, included the Alcotts and Lanes. Other than Abby May and her daughters, only one other woman joined, Ann Page. One rumor is that Page was asked to leave after eating a fish tail with a neighbor. Lane believed Alcott had misled him into thinking enough people would join the enterprise and developed a strong dislike for the nuclear family. He quit the project and moved to a nearby Shaker family with his son. After Lane's departure, Alcott fell into a depression and could not speak or eat for three days. Abby May thought Lane purposely sabotaged her family. She wrote to her brother, "All Mr. Lane's efforts have been to disunite us. But Mr. Alcott's ... paternal instincts were too strong for him." When the final payment on the farm was owed, Sam May refused to cover his brother-in-law's debts, as he often did, possibly at Abby May's suggestion. The experiment failed, the Alcotts had to leave Fruitlands. The members of the Alcott family were not happy with their Fruitlands experience. At one point, Abby May threatened that she and their daughters would move elsewhere, leaving Bronson behind. Louisa May Alcott, who was ten years old at the time, later wrote of the experience in Transcendental Wild Oats (1873): "The band of brothers began by spading garden and field; but a few days of it lessened their ardor amazingly." Return to Concord In January 1844, Alcott moved his family to Still River, a village within Harvard but, on March 1, 1845, the family returned to Concord to live in a home they named "The Hillside" (later renamed "The Wayside" by Nathaniel Hawthorne). Both Emerson and Sam May assisted in securing the home for the Alcotts. While living in the home, Louisa began writing in earnest and was given her own room. She later said her years at the home "were the happiest years" of her life; many of the incidents in her novel Little Women (1868) are based on this period. Alcott renovated the property, moving a barn and painting the home a rusty olive color, as well as tending to over six acres of land. On May 23, 1845, Abby May was granted a sum from her father's estate which was put into a trust fund, granting minor financial security. That summer, Bronson Alcott let Henry David Thoreau borrow his ax to prepare his home at Walden Pond. The Alcotts hosted a steady stream of visitors at The Hillside, including fugitive slaves, which they hosted in secret as a station of the Underground Railroad. Alcott's opposition to slavery also fueled his opposition to the Mexican–American War which began in 1846. He considered the war a blatant attempt to extend slavery and asked if the country was made up of "a people bent on conquest, on getting the golden treasures of Mexico into our hands, and of subjugating foreign peoples?" In 1848, Abby May insisted they leave Concord, which she called "cold, heartless, brainless, soulless". The Alcott family put The Hillside up for rent and moved to Boston. There, next door to Peabody's book store on West Street, Bronson Alcott hosted a series based on the "Conversations" model by Margaret Fuller called "A Course on the Conversations on Man—his History, Resources, and Expectations". Participants, both men and women, were charged three dollars to attend or five dollars for all seven lectures. In March 1853, Alcott was invited to teach fifteen students at Harvard Divinity School in an extracurricular, non-credit course. Alcott and his family moved back to Concord after 1857, where he and his family lived in the Orchard House until 1877. In 1860, Alcott was named superintendent of Concord Schools. Civil War years and beyond Alcott voted in a presidential election for the first time in 1860. In his journal for November 6, 1860, he wrote: "At Town House, and cast my vote for Lincoln and the Republican candidates generally—the first vote I ever cast for a President and State officers." Alcott was an abolitionist and a friend of the more radical William Lloyd Garrison. He had attended a rally led by Wendell Phillips on behalf of 17-year-old Thomas Sims, a fugitive slave on trial in Boston. Alcott was one of several who attempted to storm the courthouse; when gunshots were heard, he was the only one who stood his ground, though the effort was unsuccessful. He had also stood his ground in a protest against the trial of Anthony Burns. A group had broken down the door of the Boston courthouse but guards beat them back. Alcott stood forward and asked the leader of the group, Thomas Wentworth Higginson, "Why are we not within?" He then walked calmly into the courthouse, was threatened with a gun, and turned back, "but without hastening a step", according to Higginson. In 1862, Louisa moved to Washington, D.C. to volunteer as a nurse. On January 14, 1863, the Alcotts received a telegram that Louisa was sick; Bronson immediately went to bring her home, briefly meeting Abraham Lincoln while there. Louisa turned her experience into the book Hospital Sketches. Her father wrote of it, "I see nothing in the way of a good appreciation of Louisa's merits as a woman and a writer." Henry David Thoreau died on May 6, 1862, likely from an illness he caught from Alcott two years earlier. At Emerson's request, Alcott helped arrange Thoreau's funeral, which was held at First Parish Sanctuary in Concord, despite Thoreau having disavowed membership in the church when he was in his early twenties. Emerson wrote a eulogy, and Alcott helped plan the preparations. Only two years later, neighbor Nathaniel Hawthorne died as well. Alcott served as a pallbearer along with Louis Agassiz, James T. Fields, Oliver Wendell Holmes Sr., Henry Wadsworth Longfellow, and others. With Hawthorne's death, Alcott worried that few of the Concord notables remained. He recorded in his journal: "Fair figures one by one are fading from sight." The next year, Lincoln was assassinated, which Alcott called "appalling news". In 1868, Alcott met with publisher Thomas Niles, an admirer of Hospital Sketches. Alcott asked Niles if he would publish a book of short stories by his daughter; instead, he suggested she write a book about girls. Louisa May was not interested initially but agreed to try. "They want a book of 200 pages or more", Alcott told his daughter. The result was Little Women, published later that year. The book, which fictionalized the Alcott family during the girls' coming-of-age years, recast the father figure as a chaplain, away from home at the front in the Civil War. Alcott spoke, as opportunity arose, before the "lyceums" then common in various parts of the United States, or addressed groups of hearers as they invited him. These "conversations" as he called them, were more or less informal talks on a great range of topics, spiritual, aesthetic and practical, in which he emphasized the ideas of the school of American Transcendentalists led by Emerson, who was always his supporter and discreet admirer. He often discussed Platonic philosophy, the illumination of the mind and soul by direct communion with Spirit; upon the spiritual and poetic monitions of external nature; and upon the benefit to man of a serene mood and a simple way of life. Final years Alcott's published books, all from late in his life, include Tablets (1868), Concord Days (1872), New Connecticut (1881), and Sonnets and Canzonets (1882). Louisa May attended to her father's needs in his final years. She purchased a house for her sister Anna which had been the last home of Henry David Thoreau, now known as the Thoreau-Alcott House. Louisa and her parents moved in with Anna as well. After the death of his wife Abby May on November 25, 1877, Alcott never returned to Orchard House, too heartbroken to live there. He and Louisa May collaborated on a memoir and went over her papers, letters, and journals. "My heart bleeds with the memories of those days", he wrote, "and even long years, of cheerless anxiety and hopeless dependence." Louisa noted her father had become "restless with his anchor gone". They gave up on the memoir project and Louisa burned many of her mother's papers. On January 19, 1879, Alcott and Franklin Benjamin Sanborn wrote a prospectus for a new school which they distributed to potentially interested people throughout the country. The result was the Concord School of Philosophy and Literature, which held its first session in 1879 in Alcott's study in the Orchard House. In 1880 the school moved to the Hillside Chapel, a building next to the house, where he held conversations and, over the course of successive summers, as he entered his eighties, invited others to give lectures on themes in philosophy, religion and letters. The school, considered one of the first formal adult education centers in America, was also attended by foreign scholars. It continued for nine years. In April 1882, Alcott's friend and benefactor Ralph Waldo Emerson was sick and bedridden. After visiting him, Alcott wrote, "Concord will be shorn of its human splendor when he withdraws behind the cloud." Emerson died the next day. Alcott himself moved out of Concord for his final years, settling at 10 Louisburg Square in Boston beginning in 1885. As he was bedridden at the end of his life, Alcott's daughter Louisa May came to visit him at Louisburg on March 1, 1888. He said to her, "I am going up. Come with me." She responded, "I wish I could." He died three days later on March 4; Louisa May died only two days after her father. Beliefs Alcott was fundamentally and philosophically opposed to corporal punishment as a means of disciplining his students. Instead, beginning at the Temple School, he would appoint a daily student superintendent. When that student observed an infraction, he or she reported it to the rest of the class and, as a whole, they deliberated on punishment. At times, Alcott offered his own hand for an offending student to strike, saying that any failing was the teacher's responsibility. The shame and guilt this method induced, he believed, was far superior to the fear instilled by corporal punishment; when he used physical "correction" he required that the students be unanimously in support of its application, even including the student to be punished. The most detailed discussion of his theories on education is in an essay, "Observations on the Principles and Methods of Infant Instruction". Alcott believed that early education must draw out "unpremeditated thoughts and feelings of the child" and emphasized that infancy should primarily focus on enjoyment. He noted that learning was not about the acquisition of facts but the development of a reflective state of mind. Alcott's ideas as an educator were controversial. Writer Harriet Martineau, for example, wrote dubiously that, "the master presupposes his little pupils possessed of all truth; and that his business is to bring it out into expression". Even so, his ideas helped to found one of the first adult education centers in America, and provided the foundation for future generations of liberal education. Many of Alcott's educational principles are still used in classrooms today, including "teach by encouragement", art education, music education, acting exercises, learning through experience, risk-taking in the classroom, tolerance in schools, physical education/recess, and early childhood education. The teachings of William Ellery Channing a few years earlier had also laid the groundwork for the work of most of the Concord Transcendentalists. The Concord School of Philosophy, which closed following Alcott's death in 1888, was reopened almost 90 years later in the 1970s. It has continued functioning with a Summer Conversational Series in its original building at Orchard House, now run by the Louisa May Alcott Memorial Association. While many of Alcott's ideas continue to be perceived as being on the liberal/radical edge, they are still common themes in society, including vegetarian/veganism, sustainable living, and temperance/self-control. Alcott described his sustenance as a "Pythagorean diet": Meat, eggs, butter, cheese, and milk were excluded and drinking was confined to well water. Alcott believed that diet held the key to human perfection and connected physical well-being to mental improvement. He further viewed a perfection of nature to the spirit and, in a sense, predicted modern environmentalism by condemning pollution and encouraging humankind's role in sustaining ecology. Criticism Alcott's philosophical teachings have been criticized as inconsistent, hazy or abrupt. He formulated no system of philosophy, and shows the influence of Plato, German mysticism, and Immanuel Kant as filtered through the writings of Samuel Taylor Coleridge. Margaret Fuller referred to Alcott as "a philosopher of the balmy times of ancient Greece—a man whom the worldlings of Boston hold in as much horror as the worldlings of Athens held Socrates." In his later years, Alcott related a story from his boyhood: during a total solar eclipse, he threw rocks at the sky until he fell and dislocated his shoulder. He reflected that the event was a prophecy that he would be "tilting at the sun and always catching the fall". Like Emerson, Alcott was always optimistic, idealistic, and individualistic in thinking. Writer James Russell Lowell referred to Alcott in his poem "Studies for Two Heads" as "an angel with clipped wings". Even so, Emerson noted that Alcott's brilliant conversational ability did not translate into good writing. "When he sits down to write," Emerson wrote, "all his genius leaves him; he gives you the shells and throws away the kernel of his thought." His "Orphic Sayings", published in The Dial, became famous for their hilarity as dense, pretentious, and meaningless. In New York, for example, The Knickerbocker published a parody titled "Gastric Sayings" in November 1840. A writer for the Boston Post referred to Alcott's "Orphic Sayings" as "a train of fifteen railroad cars with one passenger". Modern critics often fault Alcott for not being able to financially support his family. Alcott himself worried about his own prospects as a young man, once writing to his mother that he was "still at my old trade—hoping." Alcott held his principles above his and his family's well-being. Shortly before his marriage, for example, his future father-in-law Colonel Joseph May helped him find a job teaching at a school in Boston run by the Society of Free Enquirers, followers of Robert Owen, for a lucrative $1,000 to $1,200 annual salary. He refused it because he did not agree with their beliefs, writing, "I shall have nothing to do with them." From the other perspective, the Alcotts created an environment which produced two famous daughters in different fields in a time when women were not commonly encouraged to have independent careers. Works Observations on the Principles and Methods of Infant Instruction (1830) The Doctrine and Discipline of Human Culture (1836) Conversations with Children on the Gospels (Volume I, 1836) Conversations with Children on the Gospels (Volume II, 1837) Tablets (1868) Concord Days (1872) Table-Talk (1877) New Connecticut: An Autobiographical Poem (1887; first edition privately printed in 1882) Sonnets and Canzonets (1882) Ralph Waldo Emerson, Philosopher and Seer: An Estimate of His Character and Genius in Prose and Verse (1882) The Journals of Bronson Alcott (1966) References Notes Sources External links Amos Bronson Alcott Network Alcott biography on American Transcendentalism Web Alcott at Perspectives in American Literature Bronson Alcott: A glimpse at our vegetarian heritage, by Karen Iacobbo Guide to Books from the library of Amos Bronson Alcott at Houghton Library, Harvard University Guide to Amos Bronson Alcott papers at Houghton Library, Harvard University 1799 births 1888 deaths 19th-century American educators 19th-century American philosophers Alcott family Abolitionists from Boston American people of English descent Philosophers from Connecticut Philosophers from Massachusetts Schoolteachers from Massachusetts American tax resisters American veganism activists American women's rights activists Feminist philosophers Founders of utopian communities Male feminists Massachusetts Republicans Members of the Transcendental Club People from Concord, Massachusetts People from Harvard, Massachusetts People from Wolcott, Connecticut Sonneteers Tea critics Underground Railroad people
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https://en.wikipedia.org/wiki/Alabaster
Alabaster
Alabaster is a mineral and a soft rock used for carvings and as a source of plaster powder. Archaeologists, geologists, and the stone industry have different definitions and usages for the word alabaster. In archaeology, the term alabaster is a category of objects and artefacts made from the varieties of two different minerals: (i) the fine-grained, massive type of gypsum, and (ii) the fine-grained, banded type of calcite. In geology, gypsum is a type of alabaster that chemically is a hydrous sulfate of calcium, whereas calcite is a carbonate of calcium. As types of alabaster, gypsum and calcite have similar properties, such as light color, translucence, and soft stones that can be carved and sculpted; thus the historical use and application of alabaster for the production of carved, decorative artefacts and objets d’art. Calcite alabaster also is known as: onyx-marble, Egyptian alabaster, and Oriental alabaster, which terms usually describe either a compact, banded travertine stone or a stalagmitic limestone colored with swirling bands of cream and brown. In general, ancient alabaster is calcite in the wider Middle East, including Egypt and Mesopotamia, while it is gypsum in medieval Europe. Modern alabaster is most likely calcite but may be either. Both are easy to work and slightly soluble in water. They have been used for making a variety of indoor artwork and carving, as they will not survive long outdoors. The two kinds are readily distinguished by their different hardnesses: gypsum alabaster (Mohs hardness 1.5 to 2) is so soft that a fingernail scratches it, while calcite (Mohs hardness 3) cannot be scratched in this way but yields to a knife. Moreover, calcite alabaster, being a carbonate, effervesces when treated with hydrochloric acid, while gypsum alabaster remains almost unaffected. Etymology The English word "alabaster" was borrowed from Old French , in turn derived from Latin , and that from Greek () or (). The Greek words denoted a vase of alabaster. The name may be derived further from ancient Egyptian , which refers to vessels of the Egyptian goddess Bast. She was represented as a lioness and frequently depicted as such in figures placed atop these alabaster vessels. Ancient Roman authors Pliny the Elder and Ptolemy wrote that the stone used for ointment jars called alabastra came from a region of Egypt known as Alabastron or Alabastrites. Properties and usability The purest alabaster is a snow-white material of fine uniform grain, but it often is associated with an oxide of iron, which produces brown clouding and veining in the stone. The coarser varieties of gypsum alabaster are converted by calcination into plaster of Paris, and are sometimes known as "plaster stone". The softness of alabaster enables it to be carved readily into elaborate forms, but its solubility in water renders it unsuitable for outdoor work. If alabaster with a smooth, polished surface is washed with dishwashing liquid, it will become rough, dull and whiter, losing most of its translucency and lustre. The finer kinds of alabaster are employed largely as an ornamental stone, especially for ecclesiastical decoration and for the rails of staircases and halls. Modern processing Working techniques Alabaster is mined and then sold in blocks to alabaster workshops. There they are cut to the needed size ("squaring"), and then are processed in different techniques: turned on a lathe for round shapes, carved into three-dimensional sculptures, chiselled to produce low relief figures or decoration; and then given an elaborate finish that reveals its transparency, colour, and texture. Marble imitation In order to diminish the translucency of the alabaster and to produce an opacity suggestive of true marble, the statues are immersed in a bath of water and heated gradually—nearly to the boiling point—an operation requiring great care, because if the temperature is not regulated carefully, the stone acquires a dead-white, chalky appearance. The effect of heating appears to be a partial dehydration of the gypsum. If properly treated, it very closely resembles true marble and is known as "marmo di Castellina". Dyeing Alabaster is a porous stone and can be "dyed" into any colour or shade, a technique used for centuries. For this the stone needs to be fully immersed in various pigmentary solutions and heated to a specific temperature. The technique can be used to disguise alabaster. In this way a very misleading imitation of coral that is called "alabaster coral" is produced. Types, occurrence, history Typically only one type is sculpted in any particular cultural environment, but sometimes both have been worked to make similar pieces in the same place and time. This was the case with small flasks of the alabastron type made in Cyprus from the Bronze Age into the Classical period. Window panels When cut in thin sheets, alabaster is translucent enough to be used for small windows. It was used for this purpose in Byzantine churches and later in medieval ones, especially in Italy. Large sheets of Aragonese gypsum alabaster are used extensively in the contemporary Cathedral of Our Lady of the Angels, which was dedicated in 2002 by the Los Angeles, California, Archdiocese. The cathedral incorporates special cooling to prevent the panes from overheating and turning opaque. The ancients used the calcite type, while the modern Los Angeles cathedral is using gypsum alabaster. There are also multiple examples of alabaster windows in ordinary village churches and monasteries in northern Spain. Calcite alabaster Calcite alabaster, harder than the gypsum variety, was the kind primarily used in ancient Egypt and the wider Middle East (but not Assyrian palace reliefs), and is also used in modern times. It is found as either a stalagmitic deposit from the floor and walls of limestone caverns, or as a kind of travertine, similarly deposited in springs of calcareous water. Its deposition in successive layers gives rise to the banded appearance that the marble often shows on cross-section, from which its name is derived: onyx-marble or alabaster-onyx, or sometimes simply (and wrongly) as onyx. Egypt and the Middle East Egyptian alabaster has been worked extensively near Suez and Assiut. This stone variety is the "alabaster" of the ancient Egyptians and Bible and is often termed Oriental alabaster, since the early examples came from the Far East. The Greek name alabastrites is said to be derived from the town of Alabastron in Egypt, where the stone was quarried. The locality probably owed its name to the mineral; the origin of the mineral name is obscure (though see above). The "Oriental" alabaster was highly esteemed for making small perfume bottles or ointment vases called alabastra; the vessel name has been suggested as a possible source of the mineral name. In Egypt, craftsmen used alabaster for canopic jars and various other sacred and sepulchral objects. The sarcophagus of Seti I, found in his tomb near Thebes, is on display in Sir John Soane's Museum, London; it is carved in a single block of translucent calcite alabaster from Alabastron. Algerian onyx-marble has been quarried largely in the province of Oran. Calcite alabaster was quarried in ancient Israel in the cave known today as the Twins Cave near Beit Shemesh. Herod used this alabaster for baths in his palaces. North America In Mexico, there are famous deposits of a delicate green variety at La Pedrara, in the district of Tecali, near Puebla. Onyx-marble occurs also in the district of Tehuacán and at several localities in the US including California, Arizona, Utah, Colorado and Virginia. Gypsum alabaster Gypsum alabaster is the softer of the two varieties, the other being calcite alabaster. It was used primarily in medieval Europe, and is also used in modern times. Ancient and Classical Near East "Mosul marble" is a kind of gypsum alabaster found in the north of modern Iraq, which was used for the Assyrian palace reliefs of the 9th to 7th centuries BC; these are the largest type of alabaster sculptures to have been regularly made. The relief is very low and the carving detailed, but large rooms were lined with continuous compositions on slabs around high. The Lion Hunt of Ashurbanipal and military Lachish reliefs, both 7th century and in the British Museum, are some of the best known. Gypsum alabaster was widely used for small sculpture for indoor use in the ancient world, especially in ancient Egypt and Mesopotamia. Fine detail could be obtained in a material with an attractive finish without iron or steel tools. Alabaster was used for vessels dedicated for use in the cult of the deity Bast in the culture of the ancient Egyptians, and thousands of gypsum alabaster artifacts dating to the late 4th millennium BC also have been found in Tell Brak (present day Nagar), in Syria. In Mesopotamia, gypsum alabaster was the material of choice for figures of deities and devotees in temples, as in a figure believed to represent the deity Abu dating to the first half of the 3rd millennium BC and currently kept in New York. Aragon, Spain Much of the world's alabaster extraction is performed in the centre of the Ebro Valley in Aragon, Spain, which has the world's largest known exploitable deposits. According to a brochure published by the Aragon government, alabaster has elsewhere either been depleted, or its extraction is so difficult that it has almost been abandoned or is carried out at a very high cost. There are two separate sites in Aragon, both are located in Tertiary basins. The most important site is the Fuentes-Azaila area, in the Tertiary Ebro Basin. The other is the Calatayud-Teruel Basin, which divides the Iberian Range in two main sectors (NW and SE). The abundance of Aragonese alabaster was crucial for its use in architecture, sculpture and decoration. There is no record of likely use by pre-Roman cultures, so perhaps the first ones to use alabaster in Aragon were the Romans, who produced vessels from alabaster following the Greek and Egyptian models. It seems that since the reconstruction of the Roman Wall in Zaragoza in the 3rd century AD with alabaster, the use of this material became common in building for centuries. Muslim Saraqusta (today, Zaragoza) was also called "Medina Albaida", the White City, due to the appearance of its alabaster walls and palaces, which stood out among gardens, groves and orchards by the Ebro and Huerva Rivers. The oldest remains in the Aljafería Palace, together with other interesting elements like capitals, reliefs and inscriptions, were made using alabaster, but it was during the artistic and economic blossoming of the Renaissance that Aragonese alabaster reached its golden age. In the 16th century sculptors in Aragon chose alabaster for their best works. They were adept at exploiting its lighting qualities and generally speaking the finished art pieces retained their natural color. Volterra (Tuscany) In Europe, the centre of the alabaster trade today is Florence, Italy. Tuscan alabaster occurs in nodular masses embedded in limestone, interstratified with marls of Miocene and Pliocene age. The mineral is worked largely by means of underground galleries, in the district of Volterra. Several varieties are recognized—veined, spotted, clouded, agatiform, and others. The finest kind, obtained principally from Castellina, is sent to Florence for figure-sculpture, while the common kinds are carved locally, into vases, lights, and various ornamental objects. These items are objects of extensive trade, especially in Florence, Pisa, and Livorno. In the 3rd century BC the Etruscans used the alabaster of Tuscany from the area of modern-day Volterra to produce funeral urns, possibly taught by Greek artists. During the Middle Ages the craft of alabaster was almost completely forgotten. A revival started in the mid-16th century, and until the beginning of the 17th century alabaster work was strictly artistic and did not expand to form a large industry. In the 17th and 18th centuries production of artistic, high-quality Renaissance-style artifacts stopped altogether, being replaced by less sophisticated, cheaper items better suited for large-scale production and commerce. The new industry prospered, but the reduced need of skilled craftsmen left only few still working. The 19th century brought a boom to the industry, largely due to the "traveling artisans" who went and offered their wares to the palaces of Europe, as well as to America and the East. In the 19th century new processing technology was also introduced, allowing for the production of custom-made, unique pieces, as well as the combination of alabaster with other materials. Apart from the newly developed craft, artistic work became again possible, chiefly by Volterran sculptor Albino Funaioli. After a short slump, the industry was revived again by the sale of mass-produced mannerist Expressionist sculptures, and was further enhanced in the 1920s by a new branch creating ceiling and wall lamps in the Art Deco style and culminating in the participation at the 1925 International Exposition of Modern Industrial and Decorative Arts from Paris. Important names from the evolution of alabaster use after World War II are Volterran Umberto Borgna, the "first alabaster designer", and later on the architect and industrial designer Angelo Mangiarotti. England and Wales Gypsum alabaster is a common mineral, which occurs in England in the Keuper marls of the Midlands, especially at Chellaston in Derbyshire, at Fauld in Staffordshire, and near Newark in Nottinghamshire. Deposits at all of these localities have been worked extensively. In the 14th and 15th centuries its carving into small statues and sets of relief panels for altarpieces was a valuable local industry in Nottingham, as well as a major English export. These were usually painted, or partly painted. It was also used for the effigies, often life size, on tomb monuments, as the typical recumbent position suited the material's lack of strength, and it was cheaper and easier to work than good marble. After the English Reformation the making of altarpiece sets was discontinued, but funerary monument work in reliefs and statues continued. Besides examples of these carvings still in Britain (especially at the Nottingham Castle Museum, British Museum, and Victoria and Albert Museum), trade in mineral alabaster (rather than just the antiques trade) has scattered examples in the material that may be found as far afield as the Musée de Cluny, Spain, and Scandinavia. Alabaster also is found, although in smaller quantity, at Watchet in Somerset, near Penarth in Glamorganshire, and elsewhere. In Cumbria it occurs largely in the New Red rocks, but at a lower geological horizon. The alabaster of Nottinghamshire and Derbyshire is found in thick nodular beds or "floors" in spheroidal masses known as "balls" or "bowls" and in smaller lenticular masses termed "cakes". At Chellaston, where the local alabaster is known as "Patrick", it has been worked into ornaments under the name of "Derbyshire spar"―a term more properly applied to fluorspar. Black alabaster Black alabaster is a rare anhydrite form of the gypsum-based mineral. This black form is found in only three veins in the world, one each in United States, Italy, and China. Alabaster Caverns State Park, near Freedom, Oklahoma, is home to a natural gypsum cave in which much of the gypsum is in the form of alabaster. There are several types of alabaster found at the site, including pink, white, and the rare black alabaster. Gallery Ancient and Classical Near East European Middle Ages Modern See also Mineralogy – mineral consisting of calcium carbonate (); archaeologists and stone trade professionals, unlike mineralogists, call one variety of calcite "alabaster" – mineral composed of calcium sulfate dihydrate (); alabaster is one of its varieties – a mineral closely related to gypsum – the main inorganic compound () of gypsum – translucent sheets of marble or alabaster used during the Early Middle Ages for windows instead of glass Window and roof panels Chronological list of examples: – 5th century, Ravenna – 6th century, Ravenna – mainly 13th–14th century, Valencia, Spain; the lantern of the octagonal crossing tower – 14th-century, Orvieto, Umbria, central Italy – 17th century, Rome; alabaster window by Bernini (1598–1680) used to create a "spotlight" – 1924, Jerusalem, architect: Antonio Barluzzi. Windows fitted with dyed alabaster panels. – 1924, Mount Tabor, architect: Antonio Barluzzi. Alabaster roofing was attempted. References Further reading Harrell J.A. (1990), "Misuse of the term 'alabaster' in Egyptology", Göttinger Miszellen, 119, pp. 37–42. Mackintosh-Smith T. (1999), "Moonglow from Underground". Aramco World May–June 1999. External links More about alabaster and travertine, brief guide explaining the confusing, different use of the same terms by geologists, archaeologists and the stone trade. Oxford University Museum of Natural History, 2012 Alabaster Craftmanship in Volterra Calcium minerals Carbonate minerals Sulfate minerals Minerals Stone (material) Sculpture materials Bastet
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https://en.wikipedia.org/wiki/Amazing%20Grace
Amazing Grace
"Amazing Grace" is a Christian hymn published in 1779 with words written in 1772 by English Anglican clergyman and poet John Newton (1725–1807). It is an immensely popular hymn, particularly in the United States, where it is used for both religious and secular purposes. Newton wrote the words from personal experience; he grew up without any particular religious conviction, but his life's path was formed by a variety of twists and coincidences that were often put into motion by others' reactions to what they took as his recalcitrant insubordination. He was pressed into service with the Royal Navy, and after leaving the service, he became involved in the Atlantic slave trade. In 1748, a violent storm battered his vessel off the coast of County Donegal, Ireland, so severely that he called out to God for mercy. While this moment marked his spiritual conversion, he continued slave trading until 1754 or 1755, when he ended his seafaring altogether. Newton began studying Christian theology and later became an abolitionist. Ordained in the Church of England in 1764, Newton became the curate of Olney, Buckinghamshire, where he began to write hymns with poet William Cowper. "Amazing Grace" was written to illustrate a sermon on New Year's Day of 1773. It is unknown if there was any music accompanying the verses; it may have been chanted by the congregation. It debuted in print in 1779 in Newton's and Cowper's Olney Hymns, but settled into relative obscurity in England. In the United States, "Amazing Grace" became a popular song used by Baptist and Methodist preachers as part of their evangelizing, especially in the American South, during the Second Great Awakening of the early 19th century. It has been associated with more than 20 melodies. In 1835, American composer William Walker set it to the tune known as "New Britain" in a shape note format; this is the version most frequently sung today. With the message that forgiveness and redemption are possible regardless of sins committed and that the soul can be delivered from despair through the mercy of God, "Amazing Grace" is one of the most recognisable songs in the English-speaking world. American historian Gilbert Chase writes that it is "without a doubt the most famous of all the folk hymns" and Jonathan Aitken, a Newton biographer, estimates that the song is performed about 10 million times annually. It has had particular influence in folk music, and has become an emblematic black spiritual. Its universal message has been a significant factor in its crossover into secular music. "Amazing Grace" became newly popular during the 1960s revival of American folk music, and it has been recorded thousands of times during and since the 20th century. John Newton's conversion According to the Dictionary of American Hymnology, "Amazing Grace" is John Newton's spiritual autobiography in verse. In 1725, Newton was born in Wapping, a district in London near the Thames. His father was a shipping merchant who was brought up as a Catholic but had Protestant sympathies, and his mother was a devout Independent, unaffiliated with the Anglican Church. She had intended Newton to become a clergyman, but she died of tuberculosis when he was six years old. For the next few years, while his father was at sea Newton was raised by his emotionally distant stepmother. He was also sent to boarding school, where he was mistreated. At the age of eleven, he joined his father on a ship as an apprentice; his seagoing career would be marked by headstrong disobedience. As a youth, Newton began a pattern of coming very close to death, examining his relationship with God, then relapsing into bad habits. As a sailor, he denounced his faith after being influenced by a shipmate who discussed with him Characteristicks of Men, Manners, Opinions, Times, a book by the Third Earl of Shaftesbury. In a series of letters Newton later wrote, "Like an unwary sailor who quits his port just before a rising storm, I renounced the hopes and comforts of the Gospel at the very time when every other comfort was about to fail me." His disobedience caused him to be pressed into the Royal Navy, and he took advantage of opportunities to overstay his leave. He deserted the navy to visit Mary "Polly" Catlett, a family friend with whom he had fallen in love. After enduring humiliation for deserting, he was traded as crew to a slave ship. He began a career in slave trading. Newton often openly mocked the captain by creating obscene poems and songs about him, which became so popular that the crew began to join in. His disagreements with several colleagues resulted in his being starved almost to death, imprisoned while at sea, and chained like the slaves they carried. He was himself enslaved by the Sherbro and forced to work on a plantation in Sierra Leone near the Sherbro River. After several months he came to think of Sierra Leone as his home, but his father intervened after Newton sent him a letter describing his circumstances, and crew from another ship happened to find him. Newton claimed the only reason he left Sierra Leone was because of Polly. While aboard the ship Greyhound, Newton gained notoriety as being one of the most profane men the captain had ever met. In a culture where sailors habitually swore, Newton was admonished several times for not only using the worst words the captain had ever heard, but creating new ones to exceed the limits of verbal debauchery. In March 1748, while the Greyhound was in the North Atlantic, a violent storm came upon the ship that was so rough it swept overboard a crew member who was standing where Newton had been moments before. After hours of the crew emptying water from the ship and expecting to be capsized, Newton and another mate tied themselves to the ship's pump to keep from being washed overboard, working for several hours. After proposing the measure to the captain, Newton had turned and said, "If this will not do, then Lord have mercy upon us!" Newton rested briefly before returning to the deck to steer for the next eleven hours. During his time at the wheel, he pondered his divine challenge. About two weeks later, the battered ship and starving crew landed in Lough Swilly, Ireland. For several weeks before the storm, Newton had been reading The Christian's Pattern, a summary of the 15th-century The Imitation of Christ by Thomas à Kempis. The memory of his own "Lord have mercy upon us!" uttered during a moment of desperation in the storm did not leave him; he began to ask if he was worthy of God's mercy or in any way redeemable. Not only had he neglected his faith but directly opposed it, mocking others who showed theirs, deriding and denouncing God as a myth. He came to believe that God had sent him a profound message and had begun to work through him. Newton's conversion was not immediate, but he contacted Polly's family and announced his intention to marry her. Her parents were hesitant as he was known to be unreliable and impetuous. They knew he was profane too but allowed him to write to Polly, and he set to begin to submit to authority for her sake. He sought a place on a slave ship bound for Africa, and Newton and his crewmates participated in most of the same activities he had written about before; the only immorality from which he was able to free himself was profanity. After a severe illness his resolve was renewed, yet he retained the same attitude towards slavery as was held by his contemporaries. Newton continued in the slave trade through several voyages where he sailed the coasts of Africa, now as a captain, and procured slaves being offered for sale in larger ports, transporting them to North America. In between voyages, he married Polly in 1750, and he found it more difficult to leave her at the beginning of each trip. After three shipping voyages in the slave trade, Newton was promised a position as ship's captain with cargo unrelated to slavery. But at the age of thirty, he collapsed and never sailed again. Olney curate Working as a customs agent in Liverpool starting in 1756, Newton began to teach himself Latin, Greek, and theology. He and Polly immersed themselves in the church community, and Newton's passion was so impressive that his friends suggested he become a priest in the Church of England. He was turned down by John Gilbert, Archbishop of York, in 1758, ostensibly for having no university degree, although the more likely reasons were his leanings toward evangelism and tendency to socialise with Methodists. Newton continued his devotions, and after being encouraged by a friend, he wrote about his experiences in the slave trade and his conversion. William Legge, 2nd Earl of Dartmouth, impressed with his story, sponsored Newton for ordination by John Green, Bishop of Lincoln, and offered him the curacy of Olney, Buckinghamshire, in 1764. Olney Hymns Olney was a village of about 2,500 residents whose main industry was making lace by hand. The people were mostly illiterate and many of them were poor. Newton's preaching was unique in that he shared many of his own experiences from the pulpit; many clergy preached from a distance, not admitting any intimacy with temptation or sin. He was involved in his parishioners' lives and was much loved, although his writing and delivery were sometimes unpolished. But his devotion and conviction were apparent and forceful, and he often said his mission was to "break a hard heart and to heal a broken heart". He struck a friendship with William Cowper, a gifted writer who had failed at a career in law and suffered bouts of insanity, attempting suicide several times. Cowper enjoyed Olney and Newton's company; he was also new to Olney and had gone through a spiritual conversion similar to Newton's. Together, their effect on the local congregation was impressive. In 1768, they found it necessary to start a weekly prayer meeting to meet the needs of an increasing number of parishioners. They also began writing lessons for children. Partly from Cowper's literary influence, and partly because learned vicars were expected to write verses, Newton began to try his hand at hymns, which had become popular through the language, made plain for common people to understand. Several prolific hymn writers were at their most productive in the 18th century, including Isaac Watts whose hymns Newton had grown up hearing and Charles Wesley, with whom Newton was familiar. Wesley's brother John, the eventual founder of the Methodist Church, had encouraged Newton to go into the clergy. Watts was a pioneer in English hymn writing, basing his work after the Psalms. The most prevalent hymns by Watts and others were written in the common meter in 8.6.8.6: the first line is eight syllables and the second is six. Newton and Cowper attempted to present a poem or hymn for each prayer meeting. The lyrics to "Amazing Grace" were written in late 1772 and probably used in a prayer meeting for the first time on 1 January 1773. A collection of the poems Newton and Cowper had written for use in services at Olney was bound and published anonymously in 1779 under the title Olney Hymns. Newton contributed 280 of the 348 texts in Olney Hymns; "1 Chronicles 17:16–17, Faith's Review and Expectation" was the title of the poem with the first line "Amazing grace! (how sweet the sound)". Critical analysis The general impact of Olney Hymns was immediate and it became a widely popular tool for evangelicals in Britain for many years. Scholars appreciated Cowper's poetry somewhat more than Newton's plaintive and plain language, expressing his forceful personality. The most prevalent themes in the verses written by Newton in Olney Hymns are faith in salvation, wonder at God's grace, his love for Jesus, and his cheerful exclamations of the joy he found in his faith. As a reflection of Newton's connection to his parishioners, he wrote many of the hymns in first person, admitting his own experience with sin. Bruce Hindmarsh in Sing Them Over Again To Me: Hymns and Hymnbooks in America considers "Amazing Grace" an excellent example of Newton's testimonial style afforded by the use of this perspective. Several of Newton's hymns were recognised as great work ("Amazing Grace" was not among them), while others seem to have been included to fill in when Cowper was unable to write. Jonathan Aitken calls Newton, specifically referring to "Amazing Grace", an "unashamedly middlebrow lyricist writing for a lowbrow congregation", noting that only twenty-one of the nearly 150 words used in all six verses have more than one syllable. William Phipps in the Anglican Theological Review and author James Basker have interpreted the first stanza of "Amazing Grace" as evidence of Newton's realisation that his participation in the slave trade was his wretchedness, perhaps representing a wider common understanding of Newton's motivations. Newton joined forces with William Wilberforce, the British Member of Parliament who led the Parliamentarian campaign to abolish the slave trade in the British Empire, culminating in the Slave Trade Act 1807. But Newton did not become an ardent and outspoken abolitionist until after he left Olney in the 1780s; he is not known to have connected writing the hymn known as "Amazing Grace" to anti-slavery sentiments. The lyrics in Olney Hymns were arranged by their association to the Biblical verses that would be used by Newton and Cowper in their prayer meetings, and did not address any political objective. For Newton, the beginning of the year was a time to reflect on one's spiritual progress. At the same time he completed a diary which has since been lost that he had begun 17 years before, two years after he quit sailing. The last entry of 1772 was a recounting of how much he had changed since then. The title ascribed to the hymn, "1 Chronicles 17:16–17", refers to David's reaction to the prophet Nathan telling him that God intends to maintain his family line forever. Some Christians interpret this as a prediction that Jesus Christ, as a descendant of David, was promised by God as the salvation for all people. Newton's sermon on that January day in 1773 focused on the necessity to express one's gratitude for God's guidance, that God is involved in the daily lives of Christians though they may not be aware of it, and that patience for deliverance from the daily trials of life is warranted when the glories of eternity await. Newton saw himself a sinner like David who had been chosen, perhaps undeservedly, and was humbled by it. According to Newton, unconverted sinners were "blinded by the god of this world" until "mercy came to us not only undeserved but undesired ... our hearts endeavored to shut him out till he overcame us by the power of his grace." The New Testament served as the basis for many of the lyrics of "Amazing Grace". The first verse, for example, can be traced to the story of the Prodigal Son. In the Gospel of Luke the father says, "For this son of mine was dead and is alive again; he was lost, and is found". The story of Jesus healing a blind man who tells the Pharisees that he can now see is told in the Gospel of John. Newton used the words "I was blind but now I see" and declared "Oh to grace how great a debtor!" in his letters and diary entries as early as 1752. The effect of the lyrical arrangement, according to Bruce Hindmarsh, allows an instant release of energy in the exclamation "Amazing grace!", to be followed by a qualifying reply in "how sweet the sound". In An Annotated Anthology of Hymns, Newton's use of an exclamation at the beginning of his verse is called "crude but effective" in an overall composition that "suggest(s) a forceful, if simple, statement of faith". Grace is recalled three times in the following verse, culminating in Newton's most personal story of his conversion, underscoring the use of his personal testimony with his parishioners. The sermon preached by Newton was his last of those that William Cowper heard in Olney, since Cowper's mental instability returned shortly thereafter. One author suggests Newton may have had his friend in mind, employing the themes of assurance and deliverance from despair for Cowper's benefit. Dissemination More than 60 of Newton and Cowper's hymns were republished in other British hymnals and magazines, but "Amazing Grace" was not, appearing only once in a 1780 hymnal sponsored by the Countess of Huntingdon. Scholar John Julian commented in his 1892 A Dictionary of Hymnology that outside of the United States, the song was unknown and it was "far from being a good example of Newton's finest work". Between 1789 and 1799, four variations of Newton's hymn were published in the US in Baptist, Dutch Reformed, and Congregationalist hymnodies; by 1830 Presbyterians and Methodists also included Newton's verses in their hymnals. Although it had its roots in England, "Amazing Grace" became an integral part of the Christian tapestry in the United States. The greatest influences in the 19th century that propelled "Amazing Grace" to spread across the US and become a staple of religious services in many denominations and regions were the Second Great Awakening and the development of shape note singing communities. A tremendous religious movement swept the US in the early 19th century, marked by the growth and popularity of churches and religious revivals that got their start on the frontier in Kentucky and Tennessee. Unprecedented gatherings of thousands of people attended camp meetings where they came to experience salvation; preaching was fiery and focused on saving the sinner from temptation and backsliding. Religion was stripped of ornament and ceremony, and made as plain and simple as possible; sermons and songs often used repetition to get across to a rural population of poor and mostly uneducated people the necessity of turning away from sin. Witnessing and testifying became an integral component to these meetings, where a congregation member or stranger would rise and recount his turn from a sinful life to one of piety and peace. "Amazing Grace" was one of many hymns that punctuated fervent sermons, although the contemporary style used a refrain, borrowed from other hymns, that employed simplicity and repetition such as: Simultaneously, an unrelated movement of communal singing was established throughout the South and Western states. A format of teaching music to illiterate people appeared in 1800. It used four sounds to symbolise the basic scale: fa-sol-la-fa-sol-la-mi-fa. Each sound was accompanied by a specifically shaped note and thus became known as shape note singing. The method was simple to learn and teach, so schools were established throughout the South and West. Communities would come together for an entire day of singing in a large building where they sat in four distinct areas surrounding an open space, one member directing the group as a whole. Other groups would sing outside, on benches set up in a square. Preachers used shape note hymns to teach people on the frontier and to raise the emotion of camp meetings. Most of the music was Christian, but the purpose of communal singing was not primarily spiritual. Communities either could not afford music accompaniment or rejected it out of a Calvinistic sense of simplicity, so the songs were sung a cappella. "New Britain" tune When originally used in Olney, it is unknown what music, if any, accompanied the verses written by John Newton. Contemporary hymnbooks did not contain music and were simply small books of religious poetry. The first known instance of Newton's lines joined to music was in A Companion to the Countess of Huntingdon's Hymns (London, 1808), where it is set to the tune "Hephzibah" by English composer John Jenkins Husband. Common meter hymns were interchangeable with a variety of tunes; more than twenty musical settings of "Amazing Grace" circulated with varying popularity until 1835, when American composer William Walker assigned Newton's words to a traditional song named "New Britain". This was an amalgamation of two melodies ("Gallaher" and "St. Mary"), first published in the Columbian Harmony by Charles H. Spilman and Benjamin Shaw (Cincinnati, 1829). Spilman and Shaw, both students at Kentucky's Centre College, compiled their tunebook both for public worship and revivals, to satisfy "the wants of the Church in her triumphal march". Most of the tunes had been previously published, but "Gallaher" and "St. Mary" had not. As neither tune is attributed and both show elements of oral transmission, scholars can only speculate that they are possibly of British origin. A manuscript from 1828 by Lucius Chapin, a famous hymn writer of that time, contains a tune very close to "St. Mary", but that does not mean that he wrote it. "Amazing Grace", with the words written by Newton and joined with "New Britain", the melody most currently associated with it, appeared for the first time in Walker's shape note tunebook Southern Harmony in 1847. It was, according to author Steve Turner, a "marriage made in heaven ... The music behind 'amazing' had a sense of awe to it. The music behind 'grace' sounded graceful. There was a rise at the point of confession, as though the author was stepping out into the open and making a bold declaration, but a corresponding fall when admitting his blindness." Walker's collection was enormously popular, selling about 600,000 copies all over the US when the total population was just over 20 million. Another shape note tunebook named The Sacred Harp (1844) by Georgia residents Benjamin Franklin White and Elisha J. King became widely influential and continues to be used. Another verse was first recorded in Harriet Beecher Stowe's immensely influential 1852 anti-slavery novel Uncle Tom's Cabin. Three verses were emblematically sung by Tom in his hour of deepest crisis. He sings the sixth and fifth verses in that order, and Stowe included another verse, not written by Newton, that had been passed down orally in African-American communities for at least 50 years. It was one of between 50 and 70 verses of a song titled "Jerusalem, My Happy Home", which was first published in a 1790 book called A Collection of Sacred Ballads: "Amazing Grace" came to be an emblem of a Christian movement and a symbol of the US itself as the country was involved in a great political experiment, attempting to employ democracy as a means of government. Shape-note singing communities, with all the members sitting around an open center, each song employing a different song leader, illustrated this in practice. Simultaneously, the US began to expand westward into previously unexplored territory that was often wilderness. The "dangers, toils, and snares" of Newton's lyrics had both literal and figurative meanings for Americans. This became poignantly true during the most serious test of American cohesion in the U.S. Civil War (1861–1865). "Amazing Grace", set to "New Britain", was included in two hymnals distributed to soldiers. With death so real and imminent, religious services in the military became commonplace. The hymn was translated into other languages as well: while on the Trail of Tears, the Cherokee sang Christian hymns as a way of coping with the ongoing tragedy, and a version of the song by Samuel Worcester that had been translated into the Cherokee language became very popular. Urban revival Although "Amazing Grace" set to "New Britain" was popular, other versions existed regionally. Primitive Baptists in the Appalachian region often used "New Britain" with other hymns, and sometimes sing the words of "Amazing Grace" to other folk songs, including titles such as "In the Pines", "Pisgah", "Primrose", and "Evan", as all are able to be sung in common meter, of which the majority of their repertoire consists. In the late 19th century, Newton's verses were sung to a tune named "Arlington" as frequently as to "New Britain" for a time. Two musical arrangers named Dwight Moody and Ira Sankey heralded another religious revival in the cities of the US and Europe, giving the song international exposure. Moody's preaching and Sankey's musical gifts were significant; their arrangements were the forerunners of gospel music, and churches all over the US were eager to acquire them. Moody and Sankey began publishing their compositions in 1875, and "Amazing Grace" appeared three times with three different melodies, but they were the first to give it its title; hymns were typically published using the incipits (first line of the lyrics), or the name of the tune such as "New Britain". Publisher Edwin Othello Excell gave the version of "Amazing Grace" set to "New Britain" immense popularity by publishing it in a series of hymnals that were used in urban churches. Excell altered some of Walker's music, making it more contemporary and European, giving "New Britain" some distance from its rural folk-music origins. Excell's version was more palatable for a growing urban middle class and arranged for larger church choirs. Several editions featuring Newton's first three stanzas and the verse previously included by Harriet Beecher Stowe in Uncle Tom's Cabin were published by Excell between 1900 and 1910. His version of "Amazing Grace" became the standard form of the song in American churches. Recorded versions With the advent of recorded music and radio, "Amazing Grace" began to cross over from primarily a gospel standard to secular audiences. The ability to record combined with the marketing of records to specific audiences allowed "Amazing Grace" to take on thousands of different forms in the 20th century. Where Edwin Othello Excell sought to make the singing of "Amazing Grace" uniform throughout thousands of churches, records allowed artists to improvise with the words and music specific to each audience. AllMusic lists over 1,000 recordings – including re-releases and compilations – as of 2019. Its first recording is an a cappella version from 1922 by the Sacred Harp Choir. It was included from 1926 to 1930 in Okeh Records' catalogue, which typically concentrated strongly on blues and jazz. Demand was high for black gospel recordings of the song by H. R. Tomlin and J. M. Gates. A poignant sense of nostalgia accompanied the recordings of several gospel and blues singers in the 1940s and 1950s who used the song to remember their grandparents, traditions, and family roots. It was recorded with musical accompaniment for the first time in 1930 by Fiddlin' John Carson, although to another folk hymn named "At the Cross", not to "New Britain". "Amazing Grace" is emblematic of several kinds of folk music styles, often used as the standard example to illustrate such musical techniques as lining out and call and response, that have been practised in both black and white folk music. Mahalia Jackson's 1947 version received significant radio airplay, and as her popularity grew throughout the 1950s and 1960s, she often sang it at public events such as concerts at Carnegie Hall. Author James Basker states that the song has been employed by African Americans as the "paradigmatic Negro spiritual" because it expresses the joy felt at being delivered from slavery and worldly miseries. Anthony Heilbut, author of The Gospel Sound, states that the "dangers, toils, and snares" of Newton's words are a "universal testimony" of the African American experience. During the civil rights movement and opposition to the Vietnam War, the song took on a political tone. Mahalia Jackson employed "Amazing Grace" for Civil Rights marchers, writing that she used it "to give magical protection a charm to ward off danger, an incantation to the angels of heaven to descend ... I was not sure the magic worked outside the church walls ... in the open air of Mississippi. But I wasn't taking any chances." Folk singer Judy Collins, who knew the song before she could remember learning it, witnessed Fannie Lou Hamer leading marchers in Mississippi in 1964, singing "Amazing Grace". Collins also considered it a talisman of sorts, and saw its equal emotional impact on the marchers, witnesses, and law enforcement who opposed the civil rights demonstrators. According to fellow folk singer Joan Baez, it was one of the most requested songs from her audiences, but she never realised its origin as a hymn; by the time she was singing it in the 1960s she said it had "developed a life of its own". It even made an appearance at the Woodstock Music Festival in 1969 during Arlo Guthrie's performance. Collins decided to record it in the late 1960s amid an atmosphere of counterculture introspection; she was part of an encounter group that ended a contentious meeting by singing "Amazing Grace" as it was the only song to which all the members knew the words. Her producer was present and suggested she include a version of it on her 1970 album Whales & Nightingales. Collins, who had a history of alcohol abuse, claimed that the song was able to "pull her through" to recovery. It was recorded in St. Paul's, the chapel at Columbia University, chosen for the acoustics. She chose an a cappella arrangement that was close to Edwin Othello Excell's, accompanied by a chorus of amateur singers who were friends of hers. Collins connected it to the Vietnam War, to which she objected: "I didn't know what else to do about the war in Vietnam. I had marched, I had voted, I had gone to jail on political actions and worked for the candidates I believed in. The war was still raging. There was nothing left to do, I thought ... but sing 'Amazing Grace'." Gradually and unexpectedly, the song began to be played on the radio, and then be requested. It rose to number 15 on the Billboard Hot 100, remaining on the charts for 15 weeks, as if, she wrote, her fans had been "waiting to embrace it". In the UK, it charted 8 times between 1970 and 1972, peaking at number 5 and spending a total of 75 weeks on popular music charts. Her rendition also reached number 5 in New Zealand and number 12 in Ireland in 1971. In 1972, the Royal Scots Dragoon Guards, the senior Scottish regiment of the British Army, recorded an instrumental version featuring a bagpipe soloist accompanied by a pipe band. The tempo of their arrangement was slowed to allow for the bagpipes, but it was based on Collins's: it began with a bagpipe solo introduction similar to her lone voice, then it was accompanied by the band of bagpipes and horns, whereas in her version she is backed up by a chorus. It became an international hit, spending five weeks at number-one in the UK Singles Chart, topping the RPM national singles chart in Canada for three weeks, and also peaking at number 11 on the Billboard Hot 100 in the US. It is also a controversial instrumental, as it combined pipes with a military band. The Pipe Major of the Royal Scots Dragoon Guards was summoned to Edinburgh Castle and chastised for demeaning the bagpipes. Aretha Franklin and Rod Stewart also recorded "Amazing Grace" around the same time, and both of their renditions were popular. All four versions were marketed to distinct types of audiences, thereby assuring its place as a pop song. Johnny Cash recorded it on his 1975 album Sings Precious Memories, dedicating it to his older brother Jack, who had been killed in a mill accident when they were boys in Dyess, Arkansas. Cash and his family sang it to themselves while they worked in the cotton fields following Jack's death. Cash often included the song when he toured prisons, saying "For the three minutes that song is going on, everybody is free. It just frees the spirit and frees the person." The U.S. Library of Congress has a collection of 3,000 versions of and songs inspired by "Amazing Grace", some of which were first-time recordings by folklorists Alan and John Lomax, a father and son team who in 1932 travelled thousands of miles across the southern states of the US to capture the different regional styles of the song. More contemporary renditions include samples from such popular artists as Sam Cooke and the Soul Stirrers (1963), the Byrds (1970), Elvis Presley (1971), Skeeter Davis (1972), Mighty Clouds of Joy (1972), Amazing Rhythm Aces (1975), Willie Nelson (1976) and the Lemonheads (1992). In American popular culture "Amazing Grace" is an icon in American culture that has been used for a variety of secular purposes and marketing campaigns. It is referenced in the 2006 film Amazing Grace, which highlights Newton's influence on the leading British abolitionist William Wilberforce, in the film biography of Newton, Newton's Grace, and the 2014 film Freedom which tells the story of Newton's composition of the hymn. Since 1954, when an organ instrumental of "New Britain" became a best-seller, "Amazing Grace" has been associated with funerals and memorial services. The hymn has become a song that inspires hope in the wake of tragedy, becoming a sort of "spiritual national anthem" according to authors Mary Rourke and Emily Gwathmey. For example, President Barack Obama recited and later sang the hymn at the memorial service for Clementa Pinckney, who was one of the nine victims of the Charleston church shooting in 2015. Modern interpretations In recent years, the words of the hymn have been changed in some religious publications to downplay a sense of imposed self-loathing by its singers. The second line, "That saved a wretch like me!" has been rewritten as "That saved and strengthened me", "save a soul like me", or "that saved and set me free". Kathleen Norris in her book Amazing Grace: A Vocabulary of Faith characterises this transformation of the original words as "wretched English" making the line that replaces the original "laughably bland". Part of the reason for this change has been the altered interpretations of what wretchedness and grace means. Newton's Calvinistic view of redemption and divine grace formed his perspective that he considered himself a sinner so vile that he was unable to change his life or be redeemed without God's help. Yet his lyrical subtlety, in Steve Turner's opinion, leaves the hymn's meaning open to a variety of Christian and non-Christian interpretations. "Wretch" also represents a period in Newton's life when he saw himself outcast and miserable, as he was when he was enslaved in Sierra Leone; his own arrogance was matched by how far he had fallen in his life. Due to its immense popularity and iconic nature, the meaning behind the words of "Amazing Grace" has become as individual as the singer or listener. Bruce Hindmarsh suggests that the secular popularity of "Amazing Grace" is due to the absence of any mention of God in the lyrics until the fourth verse (by Excell's version, the fourth verse begins "When we've been there ten thousand years"), and that the song represents the ability of humanity to transform itself instead of a transformation taking place at the hands of God. "Grace", however, had a clearer meaning to John Newton, as he used the word to represent God or the power of God. The transformative power of the song was investigated by journalist Bill Moyers in a documentary released in 1990. Moyers was inspired to focus on the song's power after watching a performance at Lincoln Center, where the audience consisted of Christians and non-Christians, and he noticed that it had an equal impact on everybody in attendance, unifying them. James Basker also acknowledged this force when he explained why he chose "Amazing Grace" to represent a collection of anti-slavery poetry: "there is a transformative power that is applicable ... : the transformation of sin and sorrow into grace, of suffering into beauty, of alienation into empathy and connection, of the unspeakable into imaginative literature." Moyers interviewed Collins, Cash, opera singer Jessye Norman, Appalachian folk musician Jean Ritchie and her family, white Sacred Harp singers in Georgia, black Sacred Harp singers in Alabama, and a prison choir at the Texas State Penitentiary at Huntsville. Collins, Cash, and Norman were unable to discern if the power of the song came from the music or the lyrics. Norman, who once notably sang it at the end of a large outdoor rock concert for Nelson Mandela's 70th birthday, stated, "I don't know whether it's the text I don't know whether we're talking about the lyrics when we say that it touches so many people or whether it's that tune that everybody knows." A prisoner interviewed by Moyers explained his literal interpretation of the second verse: "'Twas grace that taught my heart to fear, and grace my fears relieved" by saying that the fear became immediately real to him when he realised he may never get his life in order, compounded by the loneliness and restriction in prison. Gospel singer Marion Williams summed up its effect: "That's a song that gets to everybody". The Dictionary of American Hymnology claims it is included in more than a thousand published hymnals, and recommends its use for "occasions of worship when we need to confess with joy that we are saved by God's grace alone; as a hymn of response to forgiveness of sin or as an assurance of pardon; as a confession of faith or after the sermon". Notes References Citations Sources Aitken, Jonathan (2007). John Newton: From Disgrace to Amazing Grace, Crossway Books. Basker, James (2002). Amazing Grace: An Anthology of Poems About Slavery, 1660–1810, Yale University Press. Benson, Louis (1915). The English Hymn: Its Development and Use in Worship, The Presbyterian Board of Publication, Philadelphia. Bradley, Ian (ed.)(1989). The Book of Hymns, The Overlook Press. Brown, Tony; Kutner, Jon; Warwick, Neil (2000). Complete Book of the British Charts: Singles & Albums, Omnibus. Bruner, Kurt; Ware, Jim (2007). Finding God in the Story of Amazing Grace, Tyndale House Publishers, Inc. Chase, Gilbert (1987). America's Music, From the Pilgrims to the Present, McGraw-Hill. Collins, Judy (1998). Singing Lessons: A Memoir of Love, Loss, Hope, and Healing , Pocket Books. Duvall, Deborah (2000). Tahlequah and the Cherokee Nation, Arcadia Publishing. Julian, John (ed.)(1892). A Dictionary of Hymnology, Charles Scribner's Sons, New York. Martin, Bernard (1950). John Newton: A Biography, William Heineman, Ltd., London. Martin, Bernard and Spurrell, Mark, (eds.)(1962). The Journal of a Slave Trader (John Newton), The Epworth Press, London. Newton, John (1811). Thoughts Upon the African Slave Trade, Samuel Whiting and Co., London. Newton, John (1824). The Works of the Rev. John Newton Late Rector of the United Parishes of St. Mary Woolnoth and St. Mary Woolchurch Haw, London: Volume 1, Nathan Whiting, London. Noll, Mark A.; Blumhofer, Edith L. (eds.) (2006). Sing Them Over Again to Me: Hymns and Hymnbooks in America, University of Alabama Press. Norris, Kathleen (1999). Amazing Grace: A Vocabulary of Faith, Riverhead. Patterson, Beverly Bush (1995). The Sound of the Dove: Singing in Appalachian Primitive Baptist Churches, University of Illinois Press. Porter, Jennifer; McLaren, Darcee (eds.)(1999). Star Trek and Sacred Ground: Explorations of Star Trek, Religion, and American Culture, State University of New York Press, Rourke, Mary; Gwathmey, Emily (1996). Amazing Grace in America: Our Spiritual National Anthem, Angel City Press. Stowe, Harriet Beecher (1899). Uncle Tom's Cabin, or Life Among the Lowly, R. F. Fenno & Company, New York City. Swiderski, Richard (1996). The Metamorphosis of English: Versions of Other Languages, Greenwood Publishing Group. Turner, Steve (2002). Amazing Grace: The Story of America's Most Beloved Song, HarperCollins. Watson, J. R. (ed.)(2002). An Annotated Anthology of Hymns, Oxford University Press. Whitburn, Joel (2003). Joel Whitburn's Top Pop Singles, 1955–2002, Record Research, Inc. External links Amazing Grace at Hymnary.org The Amazing Grace U.S. Library of Congress Amazing Grace collection Cowper & Newton Museum in Olney, England Amazing Grace: Some Early Tunes Anthology of the American Hymn-Tune Repertory Amazing Grace: The story behind the song and its connection to Lough Swilly 1772 songs 18th-century hymns 1970 singles 1971 singles 1972 singles 2007 singles Elvis Presley songs English Christian hymns English patriotic songs Funerary and memorial compositions Gospel songs Hymns by John Newton Irish Singles Chart number-one singles Joan Baez songs Number-one singles in Australia Number-one singles in South Africa Okeh Records singles RPM Top Singles number-one singles UK Singles Chart number-one singles United States National Recording Registry recordings
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https://en.wikipedia.org/wiki/AOL
AOL
AOL (stylized as Aol., formerly a company known as AOL Inc. and originally known as America Online) is an American web portal and online service provider based in New York City. It is a brand marketed by the current incarnation of Yahoo! Inc. The service traces its history to an online service known as PlayNET. PlayNET licensed its software to Quantum Link (Q-Link), that went online in November 1985. A new IBM PC client was launched in 1988, and eventually renamed as America Online in 1989. AOL grew to become the largest online service, displacing established players like CompuServe and The Source. By 1995, AOL had about three million active users. AOL was one of the early pioneers of the Internet in the early-1990s, and the most recognized brand on the web in the United States. It originally provided a dial-up service to millions of Americans, pioneered instant messaging, and in 1993 began adding internet access. In 1998, AOL purchased Netscape for US$4.2 billion. In 2001, at the height of its popularity, it purchased the media conglomerate Time Warner in the largest merger in U.S. history. AOL rapidly shrank thereafter, partly due to the decline of dial-up and rise of broadband. AOL was eventually spun off from Time Warner in 2009, with Tim Armstrong appointed the new CEO. Under his leadership, the company invested in media brands and advertising technologies. On June 23, 2015, AOL was acquired by Verizon Communications for $4.4 billion. On May 3, 2021, Verizon announced it would sell Yahoo and AOL to private equity firm Apollo Global Management for $5 billion. On September 1, 2021, AOL became part of the new Yahoo! Inc. History 1983–1991: early years AOL began in 1983, as a short-lived venture called Control Video Corporation (CVC), founded by William von Meister. Its sole product was an online service called GameLine for the Atari 2600 video game console, after von Meister's idea of buying music on demand was rejected by Warner Bros. Subscribers bought a modem from the company for $49.95 and paid a one-time $15 setup fee. GameLine permitted subscribers to temporarily download games and keep track of high scores, at a cost of $1 per game. The telephone disconnected and the downloaded game would remain in GameLine's Master Module and playable until the user turned off the console or downloaded another game. In January 1983, Steve Case was hired as a marketing consultant for Control Video on the recommendation of his brother, investment banker Dan Case. In May 1983, Jim Kimsey became a manufacturing consultant for Control Video, which was near bankruptcy. Kimsey was brought in by his West Point friend Frank Caufield, an investor in the company. In early 1985, von Meister left the company. On May 24, 1985, Quantum Computer Services, an online services company, was founded by Kimsey from the remnants of Control Video, with Kimsey as chief executive officer, and Marc Seriff as chief technology officer. The technical team consisted of Seriff, Tom Ralston, Ray Heinrich, Steve Trus, Ken Huntsman, Janet Hunter, Dave Brown, Craig Dykstra, Doug Coward, and Mike Ficco. In 1987, Case was promoted again to executive vice-president. Kimsey soon began to groom Case to take over the role of CEO, which he did when Kimsey retired in 1991. Kimsey changed the company's strategy, and in 1985, launched a dedicated online service for Commodore 64 and 128 computers, originally called Quantum Link ("Q-Link" for short). The Quantum Link software was based on software licensed from PlayNet, Inc, (founded in 1983 by Howard Goldberg and Dave Panzl). The service was different from other online services as it used the computing power of the Commodore 64 and the Apple II rather than just a "dumb" terminal. It passed tokens back and forth and provided a fixed price service tailored for home users. In May 1988, Quantum and Apple launched AppleLink Personal Edition for Apple II and Macintosh computers. In August 1988, Quantum launched PC Link, a service for IBM-compatible PCs developed in a joint venture with the Tandy Corporation. After the company parted ways with Apple in October 1989, Quantum changed the service's name to America Online. Case promoted and sold AOL as the online service for people unfamiliar with computers, in contrast to CompuServe, which was well established in the technical community. From the beginning, AOL included online games in its mix of products; many classic and casual games were included in the original PlayNet software system. the company introduced many innovative online interactive titles and games, including: Graphical chat environments Habitat (1986–1988) from LucasArts. The first online interactive fiction series QuantumLink Serial by Tracy Reed (1988). Quantum Space, the first fully automated play-by-mail game (1989–1991). 1991–2006: Internet age, Time Warner merger In February 1991, AOL for DOS was launched using a GeoWorks interface; it was followed a year later by AOL for Windows. This coincided with growth in pay-based online services, like Prodigy, CompuServe, and GEnie. 1991 also saw the introduction of an original Dungeons & Dragons title called Neverwinter Nights from Stormfront Studios; which was one of the first Multiplayer Online Role Playing Games to depict the adventure with graphics instead of text. During the early 1990s, the average subscription lasted for about 25 months and accounted for $350 in total revenue. Advertisements invited modem owners to "Try America Online FREE", promising free software and trial membership. AOL discontinued Q-Link and PC Link in late 1994. In September 1993, AOL added Usenet access to its features. This is commonly referred to as the "Eternal September", as Usenet's cycle of new users was previously dominated by smaller numbers of college and university freshmen gaining access in September and taking a few weeks to acclimate. This also coincided with a new "carpet bombing" marketing campaign by CMO Jan Brandt to distribute as many free trial AOL trial disks as possible through nonconventional distribution partners. At one point, 50% of the CDs produced worldwide had an AOL logo. AOL quickly surpassed GEnie, and by the mid-1990s, it passed Prodigy (which for several years allowed AOL advertising) and CompuServe. In November 1994, AOL purchased Booklink for its web browser, to give its users web access. In 1996, AOL replaced Booklink with a browser based on Internet Explorer, allegedly in exchange for inclusion of AOL in Windows. AOL launched services with the National Education Association, the American Federation of Teachers, National Geographic, the Smithsonian Institution, the Library of Congress, Pearson, Scholastic, ASCD, NSBA, NCTE, Discovery Networks, Turner Education Services (CNN Newsroom), NPR, The Princeton Review, Stanley Kaplan, Barron's, Highlights for Kids, the U.S. Department of Education, and many other education providers. AOL offered the first real-time homework help service (the Teacher Pager—1990; prior to this, AOL provided homework help bulletin boards), the first service by children, for children (Kids Only Online, 1991), the first online service for parents (the Parents Information Network, 1991), the first online courses (1988), the first omnibus service for teachers (the Teachers' Information Network, 1990), the first online exhibit (Library of Congress, 1991), the first parental controls, and many other online education firsts. AOL purchased search engine WebCrawler in 1995, but sold it to Excite the following year; the deal made Excite the sole search and directory service on AOL. After the deal closed in March 1997, AOL launched its own branded search engine, based on Excite, called NetFind. This was renamed to AOL Search in 1999. AOL charged its users an hourly fee until December 1996, when the company changed to a flat monthly rate of $19.95. During this time, AOL connections were flooded with users trying to connect, and many canceled their accounts due to constant busy signals. A commercial was made featuring Steve Case telling people AOL was working day and night to fix the problem. Within three years, AOL's user base grew to 10 million people. In 1995, AOL was headquartered at 8619 Westwood Center Drive in the Tysons Corner CDP in unincorporated Fairfax County, Virginia, near the Town of Vienna. AOL was quickly running out of room in October 1996 for its network at the Fairfax County campus. In mid-1996, AOL moved to 22000 AOL Way in Dulles, unincorporated Loudoun County, Virginia to provide room for future growth. In a five-year landmark agreement with the most popular operating system, AOL was bundled with Windows software. On March 31, 1996, the short-lived eWorld was purchased by AOL. In 1997, about half of all U.S. homes with Internet access had it through AOL. During this time, AOL's content channels, under Jason Seiken, including News, Sports, and Entertainment, experienced their greatest growth as AOL become the dominant online service internationally with more than 34 million subscribers. In November 1998, AOL announced it would acquire Netscape, best known for their web browser, in a major $4.2 billion deal. The deal closed on March 17, 1999. Another large acquisition in December 1999 was that of MapQuest, for $1.1 billion. In January 2000, as new broadband technologies were being rolled out around the New York City metropolitan area and elsewhere across the U.S., AOL and Time Warner announced plans to merge, forming AOL Time Warner, Inc. The terms of the deal called for AOL shareholders to own 55% of the new, combined company. The deal closed on January 11, 2001. The new company was led by executives from AOL, SBI, and Time Warner. Gerald Levin, who had served as CEO of Time Warner, was CEO of the new company. Steve Case served as chairman, J. Michael Kelly (from AOL) was the chief financial officer, Robert W. Pittman (from AOL) and Dick Parsons (from Time Warner) served as co-chief operating officers. In 2002, Jonathan Miller became CEO of AOL. The following year, AOL Time Warner dropped the "AOL" from its name. It was the largest merger in history when completed with the combined value of the companies at $360 billion. This value fell sharply, to as low as $120 billion, as markets repriced AOL's valuation as a pure internet firm more modestly when combined with the traditional media and cable business. This status did not last long, and the company's value rose again within three months. By the end of that year, the tide had turned against "pure" internet companies, with many collapsing under falling stock prices, and even the strongest companies in the field losing up to 75% of their market value. The decline continued though 2001, but even with the losses, AOL was among the internet giants that continued to outperform brick and mortar companies. In 2004, along with the launch of AOL 9.0 Optimized, AOL also made available the option of personalized greetings which would enable the user to hear his or her name while accessing basic functions and mail alerts, or while logging in or out. In 2005, AOL broadcast the Live 8 concert live over the Internet, and thousands of users downloaded clips of the concert over the following months. In late 2005, AOL released AOL Safety & Security Center, a bundle of McAfee Antivirus, CA anti-spyware, and proprietary firewall and phishing protection software. News reports in late 2005 identified companies such as Yahoo!, Microsoft, and Google as candidates for turning AOL into a joint venture. Those plans were abandoned when it was revealed on December 20, 2005, that Google would purchase a 5% share of AOL for $1 billion. 2006–2009: rebranding and decline On April 3, 2006, AOL announced that it would retire the full name America Online. The official name of the service became AOL, and the full name of the Time Warner subdivision became AOL LLC. On June 8, 2006, AOL offered a new program called AOL Active Security Monitor, a diagnostic tool to monitor and rate PC security status, and recommended additional security software from AOL or Download.com. Two months later, AOL released AOL Active Virus Shield, a free product developed by Kaspersky Lab, that did not require an AOL account, only an internet email address. The ISP side of AOL UK was bought by Carphone Warehouse in October 2006 to take advantage of its 100,000 LLU customers, making Carphone Warehouse the largest LLU provider in the UK. In August 2006, AOL announced that it would offer email accounts and software previously available only to its paying customers, provided that users accessed AOL or AOL.com through an access method not owned by AOL (otherwise known as "third party transit", "bring your own access" or "BYOA"). The move was designed to reduce costs associated with the "walled garden" business model by reducing usage of AOL-owned access points and shifting members with high-speed internet access from client-based usage to the more lucrative advertising provider AOL.com. The change from paid to free access was also designed to slow the rate at which members canceled their accounts and defected to Microsoft Hotmail, Yahoo! or other free email providers. The other free services included: AIM (AOL Instant Messenger) AOL Video, which featured professional content and allowed users to upload videos. AOL Local, comprising its CityGuide, Yellow Pages and Local Search services to help users find local information like restaurants, local events, and directory listings. AOL News AOL My eAddress, a custom domain name for email addresses. These email accounts could be accessed in a manner similar to those of other AOL and AIM email accounts. Xdrive, which allowed users to back up files over the Internet. It was acquired by AOL on August 4, 2005, and closed on December 31, 2008. It offered a free 5 GB account (free online file storage) to anyone with an AOL screenname. Xdrive also provided remote backup services and 50 GB of storage for $9.95 per month. Also in August, AOL informed its U.S. customers of an increase in the price of its dial-up access to $25.90. The increase was part of an effort to migrate the service's remaining dial-up users to broadband, as the increased price was the same as that of its monthly DSL access. However, AOL subsequently began offering unlimited dial-up access for $9.95 a month. On November 16, 2006, Randy Falco succeeded Jonathan Miller as CEO. In December 2006, AOL closed its last remaining call center in the United States, "taking the America out of America Online," according to industry pundits. Service centers based in India and the Philippines continue to provide customer support and technical assistance to subscribers. On September 17, 2007, AOL announced the relocation of one of its corporate headquarters from Dulles, Virginia to New York City and the combination of its advertising units into a new subsidiary called Platform A. This action followed several advertising acquisitions, most notably Advertising.com, and highlighted the company's new focus on advertising-driven business models. AOL management stressed that "significant operations" would remain in Dulles, which included the company's access services and modem banks. In October 2007, AOL announced the relocation of its other headquarters from Loudoun County, Virginia to New York City, while continuing to operate its Virginia offices. As part of the move to New York and the restructuring of responsibilities at the Dulles headquarters complex after the Reston move, Falco announced on October 15, 2007, plans to lay off 2,000 employees worldwide by the end of 2007, beginning "immediately." The result was a layoff of approximately 40% of AOL's employees. Most compensation packages associated with the October 2007 layoffs included a minimum of 120 days of severance pay, 60 of which were offered in lieu of the 60-day advance notice requirement by provisions of the 1988 federal WARN Act. By November 2007, AOL's customer base had been reduced to 10.1 million subscribers, slightly more than the number of subscribers of Comcast and AT&T Yahoo!. According to Falco, as of December 2007, the conversion rate of accounts from paid access to free access was more than 80%. On January 3, 2008, AOL announced the closing of its Reston, Virginia data center, which was sold to CRG West. On February 6, Time Warner CEO Jeff Bewkes announced that Time Warner would divide AOL's internet-access and advertising businesses, with the possibility of later selling the internet-access division. On March 13, 2008, AOL purchased the social networking site Bebo for $850 million (£417 million). On July 25, AOL announced that it was shuttering Xdrive, AOL Pictures and BlueString to save on costs and focus on its core advertising business. AOL Pictures was closed on December 31. On October 31, AOL Hometown (a web-hosting service for the websites of AOL customers) and the AOL Journal blog hosting service were eliminated. 2009–2015: As a digital media company On March 12, 2009, Tim Armstrong, formerly with Google, was named chairman and CEO of AOL. On May 28, Time Warner announced that it would position AOL as an independent company after Google's shares ceased at the end of the fiscal year. On November 23, AOL unveiled a new brand identity with the wordmark "Aol." superimposed onto canvases created by commissioned artists. The new identity, designed by Wolff Olins, was integrated with all of AOL's services on December 10, the date upon which AOL traded independently for the first time since the Time Warner merger on the New York Stock Exchange under the symbol AOL. On April 6, 2010, AOL announced plans to shutter or sell Bebo. On June 16, the property was sold to Criterion Capital Partners for an undisclosed amount, believed to be approximately $10 million. In December, AIM eliminated access to AOL chat rooms, noting a marked decline in usage in recent months. Under Armstrong's leadership, AOL followed a new business direction marked by a series of acquisitions. It announced the acquisition of Patch Media, a network of community-specific news and information sites focused on towns and communities. On September 28, 2010, at the San Francisco TechCrunch Disrupt Conference, AOL signed an agreement to acquire TechCrunch. On December 12, 2010, AOL acquired about.me, a personal profile and identity platform, four days after the platform's public launch. On January 31, 2011, AOL announced the acquisition of European video distribution network goviral. In March 2011, AOL acquired HuffPost for $315 million. Shortly after the acquisition was announced, Huffington Post co-founder Arianna Huffington replaced AOL content chief David Eun, assuming the role of president and editor-in-chief of the AOL Huffington Post Media Group. On March 10, AOL announced that it would cut approximately 900 workers following the HuffPost acquisition. On September 14, 2011, AOL formed a strategic ad-selling partnership with two of its largest competitors, Yahoo and Microsoft. The three companies would begin selling inventory on each others' sites. The strategy was designed to help the companies compete with Google and advertising networks. On February 28, 2012, AOL partnered with PBS to launch MAKERS, a digital documentary series focusing on high-achieving women in industries perceived as male-dominated such as war, comedy, space, business, Hollywood and politics. Subjects for MAKERS episodes have included Oprah Winfrey, Hillary Clinton, Sheryl Sandberg, Martha Stewart, Indra Nooyi, Lena Dunham and Ellen DeGeneres. On March 15, 2012, AOL announced the acquisition of Hipster, a mobile photo-sharing app, for an undisclosed amount. On April 9, 2012, AOL announced a deal to sell 800 patents to Microsoft for $1.056 billion. The deal included a perpetual license for AOL to use the patents. In April, AOL took several steps to expand its ability to generate revenue through online video advertising. The company announced that it would offer gross rating point (GRP) guarantee for online video, mirroring the television-ratings system and guaranteeing audience delivery for online-video advertising campaigns bought across its properties. This announcement came just days before the Digital Content NewFront (DCNF) a two-week event held by AOL, Google, Hulu, Microsoft, Vevo and Yahoo to showcase the participating sites' digital video offerings. The DCNF was conducted in advance of the traditional television upfronts in the hope of diverting more advertising money into the digital space. On April 24, the company launched the AOL On network, a single website for its video output. In February 2013, AOL reported its fourth quarter revenue of $599.5 million, its first growth in quarterly revenue in eight years. In August 2013, Armstrong announced that Patch Media would scale back or sell hundreds of its local news sites. Not long afterward, layoffs began, with up to 500 out of 1,100 positions initially impacted. On January 15, 2014, Patch Media was spun off, and majority ownership was held by Hale Global. By the end of 2014, AOL controlled 0.74% of the global advertising market, well behind industry leader Google's 31.4%. On January 23, 2014, AOL acquired Gravity, a software startup that tracked users' online behavior and tailored ads and content based on their interests, for $83 million. The deal, which included approximately 40 Gravity employees and the company's personalization technology, was Armstrong's fourth-largest deal since taking command in 2009. Later that year, AOL acquired Vidible, a company that developed technology to help websites run video content from other publishers, and help video publishers sell their content to these websites. The deal, which was announced December 1, 2014, was reportedly worth roughly $50 million. On July 16, 2014, AOL earned an Emmy nomination for the AOL original series The Future Starts Here in the News and Documentary category. This came days after AOL earned its first Primetime Emmy Award nomination and win for Park Bench with Steve Buscemi in the Outstanding Short Form Variety Series. Created and hosted by Tiffany Shlain, the series focused on humans' relationship with technology and featured episodes such as "The Future of Our Species," "Why We Love Robots" and "A Case for Optimism." 2015–2021: division of Verizon On May 12, 2015, Verizon announced plans to buy AOL for $50 per share in a deal valued at $4.4 billion. The transaction was completed on June 23. Armstrong, who continued to lead the firm following regulatory approval, called the deal the logical next step for AOL. "If you look forward five years, you're going to be in a space where there are going to be massive, global-scale networks, and there's no better partner for us to go forward with than Verizon." he said. "It's really not about selling the company today. It's about setting up for the next five to 10 years." Analyst David Bank said he thought the deal made sense for Verizon. The deal will broaden Verizon's advertising sales platforms and increase its video production ability through websites such as HuffPost, TechCrunch, and Engadget. However, Craig Moffett said it was unlikely the deal would make a big difference to Verizon's bottom line. AOL had about two million dial-up subscribers at the time of the buyout. The announcement caused AOL's stock price to rise 17%, while Verizon's stock price dropped slightly. Shortly before the Verizon purchase, on April 14, 2015, AOL launched ONE by AOL, a digital marketing programmatic platform that unifies buying channels and audience management platforms to track and optimize campaigns over multiple screens. Later that year, on September 15, AOL expanded the product with ONE by AOL: Creative, which is geared towards creative and media agencies to similarly connect marketing and ad distribution efforts. On May 8, 2015, AOL reported its first-quarter revenue of $625.1 million, $483.5 million of which came from advertising and related operations, marking a 7% increase from Q1 2014. Over that year, the AOL Platforms division saw a 21% increase in revenue, but a drop in adjusted OIBDA due to increased investments in the company's video and programmatic platforms. On June 29, 2015, AOL announced a deal with Microsoft to take over the majority of its digital advertising business. Under the pact, as many as 1,200 Microsoft employees involved with the business will be transferred to AOL, and the company will take over the sale of display, video, and mobile ads on various Microsoft platforms in nine countries, including Brazil, Canada, the United States, and the United Kingdom. Additionally, Google Search will be replaced on AOL properties with Bing—which will display advertising sold by Microsoft. Both advertising deals are subject to affiliate marketing revenue sharing. On July 22, 2015, AOL received two News and Documentary Emmy nominations, one for MAKERS in the Outstanding Historical Programming category, and the other for True Trans With Laura Jane Grace, which documented the story of Laura Jane Grace, a transgender musician best known as the founder, lead singer, songwriter and guitarist of the punk rock band Against Me!, and her decision to come out publicly and overall transition experience. On September 3, 2015, AOL agreed to buy Millennial Media for $238 million. On October 23, 2015, AOL completed the acquisition. On October 1, 2015, Go90, a free ad-supported mobile video service aimed at young adult and teen viewers that Verizon owns and AOL oversees and operates launched its content publicly after months of beta testing. The initial launch line-up included content from Comedy Central, HuffPost, Nerdist News, Univision News, Vice, ESPN and MTV. On April 20, 2016, AOL acquired virtual reality studio RYOT to bring immersive 360 degree video and VR content to HuffPost's global audience across desktop, mobile, and apps. In July 2016, Verizon Communications announced its intent to purchase the core internet business of Yahoo!. Verizon merged AOL with Yahoo into a new company called "Oath Inc.", which in January 2019 rebranded itself as Verizon Media. In April 2018, Oath Inc. sold Moviefone to MoviePass Parent Helios and Matheson Analytics. In November 2020 the Huffington Post was sold to BuzzFeed in a stock deal. 2021–present: Apollo Global Management On May 3, 2021, Verizon announced it would sell 90 percent of its Verizon Media division to Apollo Global Management for $5 billion. The division became the second incarnation of Yahoo! Inc. Products and services Content As of September 1, 2021, the following media brands became subsidiary of AOL's parent Yahoo Inc. Engadget Autoblog TechCrunch Built by Girls AOL's content contributors consists of over 20,000 bloggers, including politicians, celebrities, academics, and policy experts, who contribute on a wide range of topics making news. In addition to mobile-optimized web experiences, AOL produces mobile applications for existing AOL properties like Autoblog, Engadget, The Huffington Post, TechCrunch, and products such as Alto, Pip, and Vivv. Advertising AOL has a global portfolio of media brands and advertising services across mobile, desktop, and TV. Services include brand integration and sponsorships through its in-house branded content arm, Partner Studio by AOL, as well as data and programmatic offerings through ad technology stack, ONE by AOL. AOL acquired a number of businesses and technologies help to form ONE by AOL. These acquisitions included AdapTV in 2013 and Convertro, Precision Demand, and Vidible in 2014. ONE by AOL is further broken down into ONE by AOL for Publishers (formerly Vidible, AOL On Network and Be On for Publishers) and ONE by AOL for Advertisers, each of which have several sub-platforms. On September 10, 2018, AOL's parent company Oath consolidated BrightRoll, One by AOL and Yahoo Gemini to 'simplify' adtech service by launching a single advertising proposition dubbed Oath Ad Platforms, now Yahoo! Ad Tech. Membership AOL offers a range of integrated products and properties including communication tools, mobile apps and services and subscription packages. In 2017, before the discontinuation of AIM, "billions of messages" were sent "daily" on it and AOL's other chat services. Dial-up Internet access – While 2.1 million people still used AOL's dial-up service as recently as 2015, only a few thousand were still subscribed as of 2021. AOL Mail – AOL Mail is AOL's proprietary email client. It is fully integrated with AIM and links to news headlines on AOL content sites. AOL Instant Messenger (AIM) – was AOL's proprietary instant-messaging tool. It was released in 1997. It lost market share to competition in the instant messenger market such as Google Chat, Facebook Messenger, and Skype. It also included a video-chat service, AV by AIM. On December 15, 2017, AOL discontinued AIM. AOL Plans – AOL Plans offers three online safety and assistance tools: ID protection, data security and a general online technical assistance service. AOL Desktop AOL Desktop is an internet suite produced by AOL from 2007 that integrates a web browser, a media player and an instant messenger client. Version 10.X was based on AOL OpenRide, it is an upgrade from such. The macOS version is based on WebKit. AOL Desktop version 10.X was different from previous AOL browsers and AOL Desktop versions. Its features are focused on web browsing as well as email. For instance, one does not have to sign into AOL in order to use it as a regular browser. In addition, non-AOL email accounts can be accessed through it. Primary buttons include "MAIL", "IM", and several shortcuts to various web pages. The first two require users to sign in, but the shortcuts to web pages can be used without authentication. AOL Desktop version 10.X was late marked as unsupported in favor of supporting the AOL Desktop 9.X versions. Version 9.8 was released, replacing the Internet Explorer components of the internet browser with CEF (Chromium Embedded Framework) to give users an improved web browsing experience closer to that of Chrome. Version 11 of AOL Desktop, was a total rewrite but maintained a similar user interface to the previous 9.8.X series of releases. In 2017, a new paid version called AOL Desktop Gold was released, available for $4.99 per month after trial. It replaced the previous free version. After the shutdown of AIM in 2017, AOL's original chat rooms continued to be accessible through AOL Desktop Gold, and some rooms remained active during peak hours. That chat system was shut down on December 15, 2020. In addition to AOL Desktop, the company also offered a browser toolbar Mozilla plug-in, AOL Toolbar, for several web browsers that provided quick access to AOL services. The toolbar was available from 2007 until 2018. Criticism In its earlier incarnation as a "walled garden" community and service provider, AOL received criticism for its community policies, terms of service, and customer service. Prior to 2006, AOL was known for its direct mailing of CD-ROMs and 3.5-inch floppy disks containing its software. The disks were distributed in large numbers; at one point, half of the CDs manufactured worldwide had AOL logos on them. The marketing tactic was criticized for its environmental cost, and AOL CDs were recognized as PC Worlds most annoying tech product. Community leaders AOL used a system of volunteers to moderate its chat rooms, forums and user communities. The program dated back to AOL's early days, when it charged by the hour for access and one of its highest billing services was chat. AOL provided free access to community leaders in exchange for moderating the chat rooms, and this effectively made chat very cheap to operate, and more lucrative than AOL's other services of the era. There were 33,000 community leaders in 1996. All community leaders received hours of training and underwent a probationary period. While most community leaders moderated chat rooms, some ran AOL communities and controlled their layout and design, with as much as 90% of AOL's content being created or overseen by community managers until 1996. By 1996, ISPs were beginning to charge flat rates for unlimited access, which they could do at a profit because they only provided internet access. Even though AOL would lose money with such a pricing scheme, it was forced by market conditions to offer unlimited access in October 1996. In order to return to profitability, AOL rapidly shifted its focus from content creation to advertising, resulting in less of a need to carefully moderate every forum and chat room to keep users willing to pay by the minute to remain connected. After unlimited access, AOL considered scrapping the program entirely, but continued it with a reduced number of community leaders, with scaled-back roles in creating content. Although community leaders continued to receive free access, after 1996 they were motivated more by the prestige of the position and the access to moderator tools and restricted areas within AOL. By 1999, there were over 15,000 volunteers in the program. In May 1999, two former volunteers filed a class-action lawsuit alleging AOL violated the Fair Labor Standards Act by treating volunteers like employees. Volunteers had to apply for the position, commit to working for at least three to four hours a week, fill out timecards and sign a non-disclosure agreement. On July 22, AOL ended its youth corps, which consisted of 350 underage community leaders. At this time, the United States Department of Labor began an investigation into the program, but it came to no conclusions about AOL's practices. AOL ended its community leader program on June 8, 2005. The class action lawsuit dragged on for years, even after AOL ended the program and AOL declined as a major internet company. In 2010, AOL finally agreed to settle the lawsuit for $15 million. The community leader program was found to be an example of co-production in a 2009 article in International Journal of Cultural Studies. Billing disputes AOL has faced a number of lawsuits over claims that it has been slow to stop billing customers after their accounts have been canceled, either by the company or the user. In addition, AOL changed its method of calculating used minutes in response to a class action lawsuit. Previously, AOL would add 15 seconds to the time a user was connected to the service and round up to the next whole minute (thus, a person who used the service for 12 minutes and 46 seconds would be charged for 14 minutes). AOL claimed this was to account for sign on/sign off time, but because this practice was not made known to its customers, the plaintiffs won (some also pointed out that signing on and off did not always take 15 seconds, especially when connecting via another ISP). AOL disclosed its connection-time calculation methods to all of its customers and credited them with extra free hours. In addition, the AOL software would notify the user of exactly how long they were connected and how many minutes they were being charged. AOL was sued by the Ohio Attorney General in October 2003 for improper billing practices. The case was settled on June 8, 2005. AOL agreed to resolve any consumer complaints filed with the Ohio AG's office. In December 2006, AOL agreed to provide restitution to Florida consumers to settle the case filed against them by the Florida Attorney General. Account cancellation Many customers complained that AOL personnel ignored their demands to cancel service and stop billing. In response to approximately 300 consumer complaints, the New York Attorney General's office began an inquiry of AOL's customer service policies. The investigation revealed that the company had an elaborate scheme for rewarding employees who purported to retain or "save" subscribers who had called to cancel their Internet service. In many instances, such retention was done against subscribers' wishes, or without their consent. Under the scheme, customer service personnel received bonuses worth tens of thousands of dollars if they could successfully dissuade or "save" half of the people who called to cancel service. For several years, AOL had instituted minimum retention or "save" percentages, which consumer representatives were expected to meet. These bonuses, and the minimum "save" rates accompanying them, had the effect of employees not honoring cancellations, or otherwise making cancellation unduly difficult for consumers. On August 24, 2005, America Online agreed to pay $1.25 million to the state of New York and reformed its customer service procedures. Under the agreement, AOL would no longer require its customer service representatives to meet a minimum quota for customer retention in order to receive a bonus. However the agreement only covered people in the state of New York. On June 13, 2006, Vincent Ferrari documented his account cancellation phone call in a blog post, stating he had switched to broadband years earlier. In the recorded phone call, the AOL representative refused to cancel the account unless the 30-year-old Ferrari explained why AOL hours were still being recorded on it. Ferrari insisted that AOL software was not even installed on the computer. When Ferrari demanded that the account be canceled regardless, the AOL representative asked to speak with Ferrari's father, for whom the account had been set up. The conversation was aired on CNBC. When CNBC reporters tried to have an account on AOL cancelled, they were hung up on immediately and it ultimately took more than 45 minutes to cancel the account. On July 19, 2006, AOL's entire retention manual was released on the Internet. On August 3, 2006, Time Warner announced that the company would be dissolving AOL's retention centers due to its profits hinging on $1 billion in cost cuts. The company estimated that it would lose more than six million subscribers over the following year. Direct marketing of disks Prior to 2006, AOL often sent unsolicited mass direct mail of 3" floppy disks and CD-ROMs containing their software. They were the most frequent user of this marketing tactic, and received criticism for the environmental cost of the campaign. According to PC World, in the 1990s "you couldn't open a magazine (PC World included) or your mailbox without an AOL disk falling out of it". The mass distribution of these disks was seen as wasteful by the public and led to protest groups. One such was No More AOL CDs, a web-based effort by two IT workers to collect one million disks with the intent to return the disks to AOL. The website was started in August 2001, and an estimated 410,176 CDs were collected by August 2007 when the project was shut down. Software In 2000, AOL was served with an $8 billion lawsuit alleging that its AOL 5.0 software caused significant difficulties for users attempting to use third-party Internet service providers. The lawsuit sought damages of up to $1000 for each user that had downloaded the software cited at the time of the lawsuit. AOL later agreed to a settlement of $15 million, without admission of wrongdoing. The AOL software then was given a feature called AOL Dialer, or AOL Connect on . This feature allowed users to connect to the ISP without running the full interface. This allowed users to use only the applications they wish to use, especially if they do not favor the AOL Browser. AOL 9.0 was once identified by Stopbadware as being under investigation for installing additional software without disclosure, and modifying browser preferences, toolbars, and icons. However, as of the release of AOL 9.0 VR (Vista Ready) on January 26, 2007, it was no longer considered badware due to changes AOL made in the software. Usenet newsgroups When AOL gave clients access to Usenet in 1993, they hid at least one newsgroup in standard list view: alt.aol-sucks. AOL did list the newsgroup in the alternative description view, but changed the description to "Flames and complaints about America Online". With AOL clients swarming Usenet newsgroups, the old, existing user base started to develop a strong distaste for both AOL and its clients, referring to the new state of affairs as Eternal September. AOL discontinued access to Usenet on June 25, 2005. No official details were provided as to the cause of decommissioning Usenet access, except providing users the suggestion to access Usenet services from a third-party, Google Groups. AOL then provided community-based message boards in lieu of Usenet. Terms of Service (TOS) AOL has a detailed set of guidelines and expectations for users on their service, known as the Terms of Service (TOS, also known as Conditions of Service, or COS in the UK). It is separated into three different sections: Member Agreement, Community Guidelines and Privacy Policy. All three agreements are presented to users at time of registration and digital acceptance is achieved when they access the AOL service. During the period when volunteer chat room hosts and board monitors were used, chat room hosts were given a brief online training session and test on Terms of Service violations. There have been many complaints over rules that govern an AOL user's conduct. Some users disagree with the TOS, citing the guidelines are too strict to follow coupled with the fact the TOS may change without users being made aware. A considerable cause for this was likely due to alleged censorship of user-generated content during the earlier years of growth for AOL. Certified email In early 2005, AOL stated its intention to implement a certified email system called Goodmail, which will allow companies to send email to users with whom they have pre-existing business relationships, with a visual indication that the email is from a trusted source and without the risk that the email messages might be blocked or stripped by spam filters. This decision drew fire from MoveOn, which characterized the program as an "email tax", and the Electronic Frontier Foundation (EFF), which characterized it as a shakedown of non-profits. A website called Dearaol.com was launched, with an online petition and a blog that garnered hundreds of signatures from people and organizations expressing their opposition to AOL's use of Goodmail. Esther Dyson defended the move in an editorial in The New York Times, saying "I hope Goodmail succeeds, and that it has lots of competition. I also think it and its competitors will eventually transform into services that more directly serve the interests of mail recipients. Instead of the fees going to Goodmail and AOL, they will also be shared with the individual recipients." Tim Lee of the Technology Liberation Front posted an article that questioned the Electronic Frontier Foundation's adopting a confrontational posture when dealing with private companies. Lee's article cited a series of discussions on Declan McCullagh's Politechbot mailing list on this subject between the EFF's Danny O'Brien and antispammer Suresh Ramasubramanian, who has also compared the EFF's tactics in opposing Goodmail to tactics used by Republican political strategist Karl Rove. SpamAssassin developer Justin Mason posted some criticism of the EFF's and Moveon's "going overboard" in their opposition to the scheme. The dearaol.com campaign lost momentum and disappeared, with the last post to the now defunct dearaol.com blog—"AOL starts the shakedown" being made on May 9, 2006. Comcast, who also used the service, announced on its website that Goodmail had ceased operations and as of February 4, 2011, they no longer used the service. Search data On August 4, 2006, AOL released a compressed text file on one of its websites containing 20 million search keywords for over 650,000 users over a 3-month period between March 1, 2006 and May 31, intended for research purposes. AOL pulled the file from public access by August 7, but not before its wide distribution on the Internet by others. Derivative research, titled A Picture of Search was published by authors Pass, Chowdhury and Torgeson for The First International Conference on Scalable Information Systems. The data were used by websites such as AOLstalker for entertainment purposes, where users of AOLstalker are encouraged to judge AOL clients based on the humorousness of personal details revealed by search behavior. User list exposure In 2003, Jason Smathers, an AOL employee, was convicted of stealing America Online's 92 million screen names and selling them to a known spammer. Smathers pled guilty to conspiracy charges in 2005. Smathers pled guilty to violations of the US CAN-SPAM Act of 2003. He was sentenced in August 2005 to 15 months in prison; the sentencing judge also recommended Smathers be forced to pay $84,000 in restitution, triple the $28,000 that he sold the addresses for. AOL's Computer Checkup "scareware" On February 27, 2012, a class action lawsuit was filed against Support.com, Inc. and partner AOL, Inc. The lawsuit alleged Support.com and AOL's Computer Checkup "scareware" (which uses software developed by Support.com) misrepresented that their software programs would identify and resolve a host of technical problems with computers, offered to perform a free "scan," which often found problems with users' computers. The companies then offered to sell software—for which AOL allegedly charged $4.99 a month and Support.com $29—to remedy those problems. Both AOL, Inc. and Support.com, Inc. settled on May 30, 2013, for $8.5 million. This included $25.00 to each valid class member and $100,000 each to Consumer Watchdog and the Electronic Frontier Foundation. Judge Jacqueline Scott Corley wrote: "Distributing a portion of the [funds] to Consumer Watchdog will meet the interests of the silent class members because the organization will use the funds to help protect consumers across the nation from being subject to the types of fraudulent and misleading conduct that is alleged here," and "EFF's mission includes a strong consumer protection component, especially in regards to online protection." AOL continues to market Computer Checkup. NSA PRISM program Following media reports about PRISM, NSA's massive electronic surveillance program, in June 2013, several technology companies were identified as participants, including AOL. According to leaks of said program, AOL joined the PRISM program in 2011. Hosting of user profiles changed, then discontinued At one time, most AOL users had an online "profile" hosted by the AOL Hometown service. When AOL Hometown was discontinued, users had to create a new profile on Bebo. This was an unsuccessful attempt to create a social network that would compete with Facebook. When the value of Bebo decreased to a tiny fraction of the $850 million AOL paid for it, users were forced to recreate their profiles yet again, on a new service called AOL Lifestream. AOL took the decision to shut down Lifestream on February 24, 2017, and gave users one month's notice to save photos and videos that had been uploaded to Lifestream. Following the shutdown, AOL no longer provides any option for hosting user profiles. During the Hometown/Bebo/Lifestream era, another user's profile could be displayed by clicking the "Buddy Info" button in the AOL Desktop software. After the shutdown of Lifestream, this was no longer supported, but opened to the AIM home page (www.aim.com), which also became defunct, redirecting to AOL's home page. See also Adrian Lamo – Inside-AOL.com AOHell Comparison of webmail providers David Shing Dot-com bubble List of acquisitions by AOL List of S&P 400 companies Live365 Truveo References External links 1983 establishments in the United States 2015 mergers and acquisitions Companies based in Dulles, Virginia Companies based in New York City Companies formerly listed on the New York Stock Exchange Companies in the PRISM network Former WarnerMedia subsidiaries Internet properties established in 1983 Internet properties established in 2009 Internet service providers of the United States Internet services supporting OpenID Pre–World Wide Web online services Telecommunications companies established in 1983 Telecommunications companies established in 2009 Yahoo! Web portals Web service providers
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https://en.wikipedia.org/wiki/Alcuin
Alcuin
Alcuin of York (; ; 735 – 19 May 804) – also called Ealhwine, Alhwin, or Alchoin – was a scholar, clergyman, poet, and teacher from York, Northumbria. He was born around 735 and became the student of Archbishop Ecgbert at York. At the invitation of Charlemagne, he became a leading scholar and teacher at the Carolingian court, where he remained a figure in the 780s and 790s. Before that, he was also a court chancellor in Aachen. "The most learned man anywhere to be found", according to Einhard's Life of Charlemagne (–833), he is considered among the most important intellectual architects of the Carolingian Renaissance. Among his pupils were many of the dominant intellectuals of the Carolingian era. During this period, he perfected Carolingian minuscule, an easily read manuscript hand using a mixture of upper- and lower-case letters. Latin paleography in the eighth century leaves little room for a single origin of the script, and sources contradict his importance as no proof has been found of his direct involvement in the creation of the script. Carolingian minuscule was already in use before Alcuin arrived in Francia. Most likely he was responsible for copying and preserving the script while at the same time restoring the purity of the form. Alcuin wrote many theological and dogmatic treatises, as well as a few grammatical works and a number of poems. In 796, he was made abbot of Marmoutier Abbey, in Tours, where he remained until his death. Biography Background Alcuin was born in Northumbria, presumably sometime in the 730s. Virtually nothing is known of his parents, family background, or origin. In common hagiographical fashion, the Vita Alcuini asserts that Alcuin was "of noble English stock", and this statement has usually been accepted by scholars. Alcuin's own work only mentions such collateral kinsmen as Wilgils, father of the missionary saint Willibrord; and Beornrad (also spelled Beornred), abbot of Echternach and bishop of Sens. Willibrord, Alcuin and Beornrad were all related by blood. In his Life of St Willibrord, Alcuin writes that Wilgils, called a paterfamilias, had founded an oratory and church at the mouth of the Humber, which had fallen into Alcuin's possession by inheritance. Because in early Anglo-Latin writing paterfamilias ("head of a family, householder") usually referred to a ("churl"), Donald A. Bullough suggests that Alcuin's family was of ("churlish") status: i.e., free but subordinate to a noble lord, and that Alcuin and other members of his family rose to prominence through beneficial connections with the aristocracy. If so, Alcuin's origins may lie in the southern part of what was formerly known as Deira. York The young Alcuin came to the cathedral church of York during the golden age of Archbishop Ecgbert and his brother, the Northumbrian King Eadberht. Ecgbert had been a disciple of the Venerable Bede, who urged him to raise York to an archbishopric. King Eadberht and Archbishop Ecgbert oversaw the re-energising and reorganisation of the English church, with an emphasis on reforming the clergy and on the tradition of learning that Bede had begun. Ecgbert was devoted to Alcuin, who thrived under his tutelage. The York school was renowned as a centre of learning in the liberal arts, literature, and science, as well as in religious matters. From here, Alcuin drew inspiration for the school he would lead at the Frankish court. He revived the school with the trivium and quadrivium disciplines, writing a codex on the trivium, while his student Hraban wrote one on the quadrivium. Alcuin graduated to become a teacher during the 750s. His ascendancy to the headship of the York school, the ancestor of St Peter's School, began after Aelbert became Archbishop of York in 767. Around the same time, Alcuin became a deacon in the church. He was never ordained a priest. Though no real evidence shows that he took monastic vows, he lived as if he had. In 781, King Elfwald sent Alcuin to Rome to petition the pope for official confirmation of York's status as an archbishopric and to confirm the election of the new archbishop, Eanbald I. On his way home, he met Charlemagne (whom he had met once before), this time in the Italian city of Parma. Charlemagne Alcuin's intellectual curiosity allowed him to be reluctantly persuaded to join Charlemagne's court. He joined an illustrious group of scholars whom Charlemagne had gathered around him, the mainsprings of the Carolingian Renaissance: Peter of Pisa, Paulinus of Aquileia, Rado, and Abbot Fulrad. Alcuin would later write, "the Lord was calling me to the service of King Charles". Alcuin became master of the Palace School of Charlemagne in Aachen () in 782. It had been founded by the king's ancestors as a place for the education of the royal children (mostly in manners and the ways of the court). However, Charlemagne wanted to include the liberal arts, and most importantly, the study of religion. From 782 to 790, Alcuin taught Charlemagne himself, his sons Pepin and Louis, as well as young men sent to be educated at court, and the young clerics attached to the palace chapel. Bringing with him from York his assistants Pyttel, Sigewulf, and Joseph, Alcuin revolutionised the educational standards of the Palace School, introducing Charlemagne to the liberal arts and creating a personalised atmosphere of scholarship and learning, to the extent that the institution came to be known as the 'school of Master Albinus'. In this role as adviser, he took issue with the emperor's policy of forcing pagans to be baptised on pain of death, arguing, "Faith is a free act of the will, not a forced act. We must appeal to the conscience, not compel it by violence. You can force people to be baptised, but you cannot force them to believe." His arguments seem to have prevailed – Charlemagne abolished the death penalty for paganism in 797. Charlemagne gathered the best men of every land in his court, and became far more than just the king at the centre. It seems that he made many of these men his closest friends and counsellors. They referred to him as 'David', a reference to the Biblical king David. Alcuin soon found himself on intimate terms with Charlemagne and the other men at court, where pupils and masters were known by affectionate and jesting nicknames. Alcuin himself was known as 'Albinus' or 'Flaccus'. While at Aachen, Alcuin bestowed pet names upon his pupils – derived mainly from Virgil's Eclogues. According to the Encyclopædia Britannica, "He loved Charlemagne and enjoyed the king's esteem, but his letters reveal that his fear of him was as great as his love." After the death of Pope Adrian I, Alcuin was commissioned by Charlemagne to compose an epitaph for Adrian. The epitaph was inscribed on black stone quarried at Aachen and carried to Rome where it was set over Adrian's tomb in the south transept of St Peter's basilica just before Charlemagne's coronation in the basilica on Christmas Day 800. Return to Northumbria and back to Francia In 790, Alcuin returned from the court of Charlemagne to England, to which he had remained attached. He dwelt there for some time, but Charlemagne then invited him back to help in the fight against the Adoptionist heresy, which was at that time making great progress in Toledo, the old capital of the Visigoths and still a major city for the Christians under Islamic rule in Spain. He is believed to have had contacts with Beatus of Liébana, from the Kingdom of Asturias, who fought against Adoptionism. At the Council of Frankfurt in 794, Alcuin upheld the orthodox doctrine against the views expressed by Felix of Urgel, an heresiarch according to the Catholic Encyclopaedia. Having failed during his stay in Northumbria to influence King Æthelred in the conduct of his reign, Alcuin never returned home. He was back at Charlemagne's court by at least mid-792, writing a series of letters to Æthelred, to Hygbald, Bishop of Lindisfarne, and to Æthelhard, Archbishop of Canterbury in the succeeding months, dealing with the Viking attack on Lindisfarne in July 793. These letters and Alcuin's poem on the subject, , provide the only significant contemporary account of these events. In his description of the Viking attack, he wrote: "Never before has such terror appeared in Britain. Behold the church of St Cuthbert, splattered with the blood of God's priests, robbed of its ornaments." Tours and death In 796, Alcuin was in his 60s. He hoped to be free from court duties and upon the death of Abbot Itherius of Saint Martin at Tours, Charlemagne put Marmoutier Abbey into Alcuin's care, with the understanding that he should be available if the king ever needed his counsel. There, he encouraged the work of the monks on the beautiful Carolingian minuscule script, ancestor of modern Roman typefaces. Alcuin died on 19 May 804, some 10 years before the emperor, and was buried at St. Martin's Church under an epitaph that partly read: The majority of details on Alcuin's life come from his letters and poems. Also, autobiographical sections are in Alcuin's poem on York and in the Vita Alcuini, a hagiography written for him at Ferrières in the 820s, possibly based in part on the memories of Sigwulf, one of Alcuin's pupils. Carolingian Renaissance figure and legacy Mathematician The collection of mathematical and logical word problems entitled Propositiones ad acuendos juvenes ("Problems to Sharpen Youths") is sometimes attributed to Alcuin. In a 799 letter to Charlemagne, the scholar claimed to have sent "certain figures of arithmetic for the joy of cleverness", which some scholars have identified with the Propositiones. The text contains about 53 mathematical word problems (with solutions), in no particular pedagogical order. Among the most famous of these problems are: four that involve river crossings, including the problem of three anxious brothers, each of whom has an unmarried sister whom he cannot leave alone with either of the other men lest she be defiled (Problem 17); the problem of the wolf, goat, and cabbage (Problem 18); and the problem of "the two adults and two children where the children weigh half as much as the adults" (Problem 19). Alcuin's sequence is the solution to one of the problems of that book. Literary influence Alcuin made the abbey school into a model of excellence and many students flocked to it. He had many manuscripts copied using outstandingly beautiful calligraphy, the Carolingian minuscule based on round and legible uncial letters. He wrote many letters to his English friends, to Arno, bishop of Salzburg and above all to Charlemagne. These letters (of which 311 are extant) are filled mainly with pious meditations, but they form an important source of information as to the literary and social conditions of the time and are the most reliable authority for the history of humanism during the Carolingian age. Alcuin trained the numerous monks of the abbey in piety, and in the midst of these pursuits, he died. Alcuin is the most prominent figure of the Carolingian Renaissance, in which three main periods have been distinguished: in the first of these, up to the arrival of Alcuin at the court, the Italians occupy a central place; in the second, Alcuin and the English are dominant; in the third (from 804), the influence of Theodulf the Visigoth is preponderant. Alcuin also developed manuals used in his educational work – a grammar and works on rhetoric and dialectics. These are written in the form of a dialogue, and in two of them the interlocutors are Charlemagne and Alcuin. He wrote several theological treatises: a De fide Trinitatis, and commentaries on the Bible. Alcuin is credited with inventing the first known question mark, though it did not resemble the modern symbol. Alcuin transmitted to the Franks the knowledge of Latin culture, which had existed in Anglo-Saxon England. A number of his works still exist. Besides some graceful epistles in the style of Venantius Fortunatus, he wrote some long poems, and notably he is the author of a history (in verse) of the church at York, Versus de patribus, regibus et sanctis Eboracensis ecclesiae. At the same time, he is noted for making one of the only explicit comments on Old English poetry surviving from the early Middle Ages, in a letter to one Speratus, the bishop of an unnamed English see (possibly Unwona of Leicester): ("Let God's words be read at the episcopal dinner-table. It is right that a reader should be heard, not a harpist, patristic discourse, not pagan song. What has Ingeld to do with Christ?"). Use of homoerotic language in writings Historian John Boswell cited Alcuin's writings as demonstrating a personal outpouring of his internalized homosexual feelings. Others agree that Alcuin at times "comes perilously close to communicating openly his same-sex desires." According to David Clark, passages in some of Alcuin's writings can be seen to display homosocial desire, even possibly homoerotic imagery. However, he argues that it is not possible to necessarily determine whether they were the result of an outward expression of erotic feelings on the part of Alcuin. The interpretation of homosexual desire has been disputed by Allen Frantzen, who identifies Alcuin's language with that of medieval Christian amicitia or friendship. Douglas Dales and Rowan Williams say "the use of language drawn [by Alcuin] from the Song of Songs transforms apparently erotic language into something within Christian friendship – 'an ordained affection. Alcuin was also a close friend of Charlemagne's sister Gisela, Abbess of Chelles, and he hailed her as "a noble sister in the bond of sweet love". He wrote to Charlemagne's daughters Rotrude and Bertha, "the devotion of my heart specially tends towards you both because of the familiarity and dedication you have shown me". He dedicated the last two books of his commentary on John's gospel to them both. Despite inconclusive evidence of Alcuin's personal passions, he was clear in his own writings that the men of Sodom had been punished with fire for "sinning against nature with men" – a view consistent with Church teaching. Such sins, argued Alcuin, were therefore more serious than lustful acts with women, for which the earth was cleansed and revivified by the water of the Flood, and merit to be "withered by flames unto eternal barrenness". Legacy Alcuin is honored in the Church of England and in the Episcopal Church on 20 May the first available day after the day of his death (as Dunstan is celebrated on 19 May). Alcuin College, one of the colleges of the University of York, is named after him. In January 2020, Alcuin was the subject of the BBC Radio 4 programme In Our Time. Selected works For a complete census of Alcuin's works, see Marie-Hélène Jullien and Françoise Perelman, eds., Clavis scriptorum latinorum medii aevi: Auctores Galliae 735–987. Tomus II: Alcuinus. Turnhout: Brepols, 1999. Poetry Carmina, ed. Ernst Dümmler, MGH Poetae Latini aevi Carolini I. Berlin: Weidmann, 1881. 160–351. Godman, Peter, tr., Poetry of the Carolingian Renaissance. Norman, University of Oklahoma Press, 1985. 118–149. Stella, Francesco, tr., comm., La poesia carolingia, Firenze: Le Lettere, 1995, pp. 94–96, 152–61, 266–67, 302–307, 364–371, 399–404, 455–457, 474–477, 503–507. Isbell, Harold, tr.. The Last Poets of Imperial Rome. Baltimore: Penguin, 1971. Poem on York, Versus de patribus, regibus et sanctis Euboricensis ecclesiae, ed. and tr. Peter Godman, The Bishops, Kings, and Saints of York. Oxford: Clarendon Press, 1982. De clade Lindisfarnensis monasterii, "On the destruction of the monastery of Lindisfarne" (Carmen 9, ed. Dümmler, pp. 229–235). Letters Of Alcuin's letters, over 310 have survived. Epistolae, ed. Ernst Dümmler, MGH Epistolae IV.2. Berlin: Weidmann, 1895. 1–493. Jaffé, Philipp, Ernst Dümmler, and W. Wattenbach, eds. Monumenta Alcuiniana. Berlin: Weidmann, 1873. 132–897. Chase, Colin, ed. Two Alcuin Letter-books. Toronto: Pontifical Institute of Mediaeval Studies, 1975. Allott, Stephen, tr. Alcuin of York, c. AD 732 to 804. His life and letters. York: William Sessions, 1974. Sturgeon, Thomas G., tr. The Letters of Alcuin: Part One, the Aachen Period (762–796). Harvard University PhD thesis, 1953. Didactic works Ars grammatica. PL 101: 854–902. De orthographia, ed. H. Keil, Grammatici Latini VII, 1880. 295–312; ed. Sandra Bruni, Alcuino de orthographia. Florence: SISMEL, 1997. De dialectica. PL 101: 950–976. Disputatio regalis et nobilissimi juvenis Pippini cum Albino scholastico "Dialogue of Pepin, the Most Noble and Royal Youth, with the Teacher Albinus", ed. L. W. Daly and W. Suchier, Altercatio Hadriani Augusti et Epicteti Philosophi. Urbana, IL: University of Illinois Press, 1939. 134–146; ed. Wilhelm Wilmanns, "Disputatio regalis et nobilissimi juvenis Pippini cum Albino scholastico". Zeitschrift für deutsches Altertum 14 (1869): 530–555, 562. Disputatio de rhetorica et de virtutibus sapientissimi regis Carli et Albini magistri, ed. and tr. Wilbur Samuel Howell, The Rhetoric of Alcuin and Charlemagne. New York: Russell and Russell, 1965 (1941); ed. C. Halm, Rhetorici Latini Minores. Leipzig: Teubner, 1863. 523–550. De virtutibus et vitiis (moral treatise dedicated to Count Wido of Brittany, 799–800). PL 101: 613–638 (transcript available online). A new critical edition is being prepared for the Corpus Christianorum, Continuatio Medievalis. De animae ratione (ad Eulaliam virginem) (written for Gundrada, Charlemagne's cousin). PL 101: 639–650. De Cursu et Saltu Lunae ac Bissexto, astronomical treatise. PL 101: 979–1002. (?) Propositiones ad acuendos iuvenes, ed. Menso Folkerts, "Die alteste mathematische Aufgabensammlung in lateinischer Sprache: Die Alkuin zugeschriebenen Propositiones ad acuendos iuvenes; Überlieferung, Inhalt, Kritische Edition", in idem, Essays on Early Medieval Mathematics: The Latin Tradition. Aldershot: Ashgate, 2003. Theology Compendium in Canticum Canticorum: Alcuino, Commento al Cantico dei cantici – con i commenti anonimi Vox ecclesie e Vox antique ecclesie, ed. Rossana Guglielmetti, Firenze, SISMEL 2004 Quaestiones in Genesim. PL 100: 515–566. De Fide Sanctae Trinitatis et de Incarnatione Christi; Quaestiones de Sancta Trinitate, ed. E. Knibbs and E. Ann Matter (Corpus Christianorum – Continuatio Mediaevalis 249: Brepols, 2012) Hagiography Vita II Vedastis episcopi Atrebatensis. Revision of the earlier Vita Vedastis by Jonas of Bobbio. Patrologia Latina 101: 663–682. Vita Richarii confessoris Centulensis. Revision of an earlier anonymous life. MGH Scriptores Rerum Merovingicarum 4: 381–401. Vita Willibrordi archiepiscopi Traiectensis, ed. W. Levison, Passiones vitaeque sanctorum aevi Merovingici. MGH Scriptores Rerum Merovingicarum 7: 81–141. See also Propositiones ad Acuendos Juvenes Carolingian art Carolingian Empire Category: Carolingian period Correctory Codex Vindobonensis 795 References Notes Citations Sources Allott, Stephen. Alcuin of York, his life and letters </ Dales, Douglas J. 'Accessing Alcuin: A Master Bibliography' (James Clarke & Co., Cambridge, 2013), Diem, Albrecht, 'The Emergence of Monastic Schools. The Role of Alcuin', in: Luuk A. J. R. Houwen and Alasdair A. McDonald (eds.), Alcuin of York. Scholar at the Carolingian Court, Groningen 1998 (Germania Latina, vol. 3), pp. 27–44. Duckett, Eleanor Shipley. Carolingian Portraits, (1962) Ganshof, F.L. The Carolingians and the Frankish Monarchy Godman, Peter. Poetry of the Carolingian Renaissance Lorenz, Frederick. The life of Alcuin (Thomas Hurst, 1837). McGuire, Brian P. Friendship, and Community: The Monastic Experience Murphy, Richard E. Alcuin of York: De Virtutibus et Vitiis, Virtues and Vices. Stehling, Thomas. Medieval Latin Love Poems of Male Love and Friendship. Stella, Francesco, "Alkuins Dichtung" in Alkuin von York und die geistige Grundlegung Europas , Sankt Gallen, Verlag am Klosterhof, 2010, pp. 107–28. Throop, Priscilla, trans. Alcuin: His Life; On Virtues and Vices; Dialogue with Pepin (Charlotte, VT: MedievalMS, 2011) West, Andrew Fleming. Alcuin and the Rise of the Christian Schools (C. Scribner's Sons, 1912) External links Alcuin's book, Problems for the Quickening of the Minds of the Young Introduction to Alcuin's writings by Robert Levine and Whitney Bolton The Alcuin Society Anglo-Saxon York on History of York site Corpus Christianorum, Continuatio Mediaevalis: new critical editions in preparation Corpus Grammaticorum Latinorum: complete texts and full bibliography The Life of Alcuin by Frederick Lorenz Vidas de São Martinho de Tours e de São Brício, 1175, at the National Library of Portugal Glossarium latinum De arte grammaticaTextos didáticos, 1176-1225, at the National Library of Portugal 730s births Year of birth unknown 804 deaths 8th-century astronomers 8th-century Christian theologians 8th-century English writers 8th-century Frankish writers 8th-century writers in Latin 8th-century mathematicians 8th-century philosophers 8th-century poets 9th-century Christian monks 9th-century Christian theologians 9th-century English writers 9th-century philosophers People educated at St Peter's School, York Anglo-Saxon poets Anglo-Saxon saints Anglo-Saxon writers Carolingian poets Christian hagiographers Deacons English monks Grammarians of Latin LGBT and Catholicism Latin texts of Anglo-Saxon England Medieval chancellors (government) Medieval English mathematicians Medieval English theologians Medieval Latin poets Medieval LGBT people Medieval linguists People from York Saints from the Carolingian Empire Scholastic philosophers Sources on Germanic paganism Writers from the Carolingian Empire Anglican saints English LGBT writers
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https://en.wikipedia.org/wiki/Amine
Amine
In chemistry, amines (, ) are compounds and functional groups that contain a basic nitrogen atom with a lone pair. Amines are formally derivatives of ammonia (), wherein one or more hydrogen atoms have been replaced by a substituent such as an alkyl or aryl group (these may respectively be called alkylamines and arylamines; amines in which both types of substituent are attached to one nitrogen atom may be called alkylarylamines). Important amines include amino acids, biogenic amines, trimethylamine, and aniline. Inorganic derivatives of ammonia are also called amines, such as monochloramine (). The substituent is called an amino group. Compounds with a nitrogen atom attached to a carbonyl group, thus having the structure , are called amides and have different chemical properties from amines. Classification of amines Amines can be classified according to the nature and number of substituents on nitrogen. Aliphatic amines contain only H and alkyl substituents. Aromatic amines have the nitrogen atom connected to an aromatic ring. Amines, alkyl and aryl alike, are organized into three subcategories (see table) based on the number of carbon atoms adjacent to the nitrogen(how many hydrogen atoms of the ammonia molecule are replaced by hydrocarbon groups): Primary (1°) amines—Primary amines arise when one of three hydrogen atoms in ammonia is replaced by an alkyl or aromatic group. Important primary alkyl amines include, methylamine, most amino acids, and the buffering agent tris, while primary aromatic amines include aniline. Secondary (2°) amines—Secondary amines have two organic substituents (alkyl, aryl or both) bound to the nitrogen together with one hydrogen. Important representatives include dimethylamine, while an example of an aromatic amine would be diphenylamine. Tertiary (3°) amines—In tertiary amines, nitrogen has three organic substituents. Examples include trimethylamine, which has a distinctively fishy smell, and EDTA. A fourth subcategory is determined by the connectivity of the substituents attached to the nitrogen: *Cyclic amines—Cyclic amines are either secondary or tertiary amines. Examples of cyclic amines include the 3-membered ring aziridine and the six-membered ring piperidine. N-methylpiperidine and N-phenylpiperidine are examples of cyclic tertiary amines. It is also possible to have four organic substituents on the nitrogen. These species are not amines but are quaternary ammonium cations and have a charged nitrogen center. Quaternary ammonium salts exist with many kinds of anions. Naming conventions Amines are named in several ways. Typically, the compound is given the prefix "amino-" or the suffix "-amine". The prefix "N-" shows substitution on the nitrogen atom. An organic compound with multiple amino groups is called a diamine, triamine, tetraamine and so forth. Systematic names for some common amines: Physical properties Hydrogen bonding significantly influences the properties of primary and secondary amines. For example, methyl and ethyl amines are gases under standard conditions, whereas the corresponding methyl and ethyl alcohols are liquids. Amines possess a characteristic ammonia smell, liquid amines have a distinctive "fishy" and foul smell. The nitrogen atom features a lone electron pair that can bind H+ to form an ammonium ion R3NH+. The lone electron pair is represented in this article by a two dots above or next to the N. The water solubility of simple amines is enhanced by hydrogen bonding involving these lone electron pairs. Typically salts of ammonium compounds exhibit the following order of solubility in water: primary ammonium () > secondary ammonium () > tertiary ammonium (R3NH+). Small aliphatic amines display significant solubility in many solvents, whereas those with large substituents are lipophilic. Aromatic amines, such as aniline, have their lone pair electrons conjugated into the benzene ring, thus their tendency to engage in hydrogen bonding is diminished. Their boiling points are high and their solubility in water is low. Spectroscopic identification Typically the presence of an amine functional group is deduced by a combination of techniques, including mass spectrometry as well as NMR and IR spectroscopies. 1H NMR signals for amines disappear upon treatment of the sample with D2O. In their infrared spectrum primary amines exhibit two N-H bands, whereas secondary amines exhibit only one. Structure Alkyl amines Alkyl amines characteristically feature tetrahedral nitrogen centers. C-N-C and C-N-H angles approach the idealized angle of 109°. C-N distances are slightly shorter than C-C distances. The energy barrier for the nitrogen inversion of the stereocenter is about 7 kcal/mol for a trialkylamine. The interconversion has been compared to the inversion of an open umbrella into a strong wind. Amines of the type NHRR' and NRR′R″ are chiral: the nitrogen center bears four substituents counting the lone pair. Because of the low barrier to inversion, amines of the type NHRR' cannot be obtained in optical purity. For chiral tertiary amines, NRR′R″ can only be resolved when the R, R', and R″ groups are constrained in cyclic structures such as N-substituted aziridines (quaternary ammonium salts are resolvable). Aromatic amines In aromatic amines ("anilines"), nitrogen is often nearly planar owing to conjugation of the lone pair with the aryl substituent. The C-N distance is correspondingly shorter. In aniline, the C-N distance is the same as the C-C distances. Basicity Like ammonia, amines are bases. Compared to alkali metal hydroxides, amines are weaker (see table for examples of conjugate acid Ka values). The basicity of amines depends on: The electronic properties of the substituents (alkyl groups enhance the basicity, aryl groups diminish it). The degree of solvation of the protonated amine, which includes steric hindrance by the groups on nitrogen. Electronic effects Owing to inductive effects, the basicity of an amine might be expected to increase with the number of alkyl groups on the amine. Correlations are complicated owing to the effects of solvation which are opposite the trends for inductive effects. Solvation effects also dominate the basicity of aromatic amines (anilines). For anilines, the lone pair of electrons on nitrogen delocalizes into the ring, resulting in decreased basicity. Substituents on the aromatic ring, and their positions relative to the amino group, also affect basicity as seen in the table. Solvation effects Solvation significantly affects the basicity of amines. N-H groups strongly interact with water, especially in ammonium ions. Consequently, the basicity of ammonia is enhanced by 1011 by solvation. The intrinsic basicity of amines, i.e. the situation where solvation is unimportant, has been evaluated in the gas phase. In the gas phase, amines exhibit the basicities predicted from the electron-releasing effects of the organic substituents. Thus tertiary amines are more basic than secondary amines, which are more basic than primary amines, and finally ammonia is least basic. The order of pKb's (basicities in water) does not follow this order. Similarly aniline is more basic than ammonia in the gas phase, but ten thousand times less so in aqueous solution. In aprotic polar solvents such as DMSO, DMF, and acetonitrile the energy of solvation is not as high as in protic polar solvents like water and methanol. For this reason, the basicity of amines in these aprotic solvents is almost solely governed by the electronic effects. Synthesis From alcohols Industrially significant alkyl amines are prepared from ammonia by alkylation with alcohols: ROH + NH3 -> RNH2 + H2O From alkyl and aryl halides Unlike the reaction of amines with alcohols the reaction of amines and ammonia with alkyl halides is used for synthesis in the laboratory: RX + 2 R'NH2 -> RR'NH + [RR'NH2]X In such reactions, which are more useful for alkyl iodides and bromides, the degree of alkylation is difficult to control such that one obtains mixtures of primary, secondary, and tertiary amines, as well as quaternary ammonium salts. Selectivity can be improved via the Delépine reaction, although this is rarely employed on an industrial scale. Selectivity is also assured in the Gabriel synthesis, which involves organohalide reacting with potassium phthalimide. Aryl halides are much less reactive toward amines and for that reason are more controllable. A popular way to prepare aryl amines is the Buchwald-Hartwig reaction. From alkenes Disubstituted alkenes react with HCN in the presence of strong acids to give formamides, which can be decarbonylated. This method, the Ritter reaction, is used industrially to produce tertiary amines such a tert-octylamine. Hydroamination of alkenes is also widely practiced. The reaction is catalyzed by zeolite-based solid acids. Reductive routes Via the process of hydrogenation, unsaturated N-containing functional groups are reduced to amines using hydrogen in the presence of a nickel catalyst. Suitable groups include nitriles, azides, imines including oximes, amides, and nitro. In the case of nitriles, reactions are sensitive to acidic or alkaline conditions, which can cause hydrolysis of the group. is more commonly employed for the reduction of these same groups on the laboratory scale. Many amines are produced from aldehydes and ketones via reductive amination, which can either proceed catalytically or stoichiometrically. Aniline () and its derivatives are prepared by reduction of the nitroaromatics. In industry, hydrogen is the preferred reductant, whereas, in the laboratory, tin and iron are often employed. Specialized methods Many methods exist for the preparation of amines, many of these methods being rather specialized. Reactions Alkylation, acylation, and sulfonation, etc. Aside from their basicity, the dominant reactivity of amines is their nucleophilicity. Most primary amines are good ligands for metal ions to give coordination complexes. Amines are alkylated by alkyl halides. Acyl chlorides and acid anhydrides react with primary and secondary amines to form amides (the "Schotten–Baumann reaction"). Similarly, with sulfonyl chlorides, one obtains sulfonamides. This transformation, known as the Hinsberg reaction, is a chemical test for the presence of amines. Because amines are basic, they neutralize acids to form the corresponding ammonium salts . When formed from carboxylic acids and primary and secondary amines, these salts thermally dehydrate to form the corresponding amides. Amines undergo sulfamation upon treatment with sulfur trioxide or sources thereof: R2NH + SO3 -> R2NSO3H Acid-base reactions Alkyl amines protonate near pH=7 to give alkylammonium derivative. Diazotization Amines reacts with nitrous acid to give diazonium salts. The alkyl diazonium salts are of little importance because they are too unstable. The most important members are derivatives of aromatic amines such as aniline ("phenylamine") (A = aryl or naphthyl): ANH2 + HNO2 + HX -> AN2+ + X- + 2 H2O Anilines and naphthylamines form more stable diazonium salts, which can be isolated in the crystalline form. Diazonium salts undergo a variety of useful transformations involving replacement of the group with anions. For example, cuprous cyanide gives the corresponding nitriles: AN2+ + Y- -> AY + N2 Aryldiazonium couple with electron-rich aromatic compounds such as a phenol to form azo compounds. Such reactions are widely applied to the production of dyes. Conversion to imines Imine formation is an important reaction. Primary amines react with ketones and aldehydes to form imines. In the case of formaldehyde (R'  H), these products typically exist as cyclic trimers. RNH2 + R'_2C=O -> R'_2C=NR + H2O Reduction of these imines gives secondary amines: R'_2C=NR + H2 -> R'_2CH-NHR Similarly, secondary amines react with ketones and aldehydes to form enamines: R2NH + R'(R''CH2)C=O -> R''CH=C(NR2)R' + H2O Overview An overview of the reactions of amines is given below: Biological activity Amines are ubiquitous in biology. The breakdown of amino acids releases amines, famously in the case of decaying fish which smell of trimethylamine. Many neurotransmitters are amines, including epinephrine, norepinephrine, dopamine, serotonin, and histamine. Protonated amino groups () are the most common positively charged moieties in proteins, specifically in the amino acid lysine. The anionic polymer DNA is typically bound to various amine-rich proteins. Additionally, the terminal charged primary ammonium on lysine forms salt bridges with carboxylate groups of other amino acids in polypeptides, which is one of the primary influences on the three-dimensional structures of proteins. Amine hormones Hormones derived from the modification of amino acids are referred to as amine hormones. Typically, the original structure of the amino acid is modified such that a –COOH, or carboxyl, group is removed, whereas the −NH+3, or amine, group remains. Amine hormones are synthesized from the amino acids tryptophan or tyrosine. Application of amines Dyes Primary aromatic amines are used as a starting material for the manufacture of azo dyes. It reacts with nitrous acid to form diazonium salt, which can undergo coupling reaction to form an azo compound. As azo-compounds are highly coloured, they are widely used in dyeing industries, such as: Methyl orange Direct brown 138 Sunset yellow FCF Ponceau Drugs Most drugs and drug candidates contain amine functional groups: Chlorpheniramine is an antihistamine that helps to relieve allergic disorders due to cold, hay fever, itchy skin, insect bites and stings. Chlorpromazine is a tranquilizer that sedates without inducing sleep. It is used to relieve anxiety, excitement, restlessness or even mental disorder. Ephedrine and phenylephrine, as amine hydrochlorides, are used as decongestants. Amphetamine, methamphetamine, and methcathinone are psychostimulant amines that are listed as controlled substances by the US DEA. Thioridazine, an antipsychotic drug, is an amide which is believed to exhibit its antipsychotic effects, in part, due to its effects on other amides. Amitriptyline, imipramine, lofepramine and clomipramine are tricyclic antidepressants and tertiary amines. Nortriptyline, desipramine, and amoxapine are tricyclic antidepressants and secondary amines. (The tricyclics are grouped by the nature of the final amino group on the side chain.) Substituted tryptamines and phenethylamines are key basic structures for a large variety of psychedelic drugs. Opiate analgesics such as morphine, codeine, and heroin are tertiary amines. Gas treatment Aqueous monoethanolamine (MEA), diglycolamine (DGA), diethanolamine (DEA), diisopropanolamine (DIPA) and methyldiethanolamine (MDEA) are widely used industrially for removing carbon dioxide (CO2) and hydrogen sulfide (H2S) from natural gas and refinery process streams. They may also be used to remove CO2 from combustion gases and flue gases and may have potential for abatement of greenhouse gases. Related processes are known as sweetening. Epoxy resin curing agents Amines are often used as epoxy resin curing agents. These include dimethylethylamine, cyclohexylamine, and a variety of diamines such as 4,4 -diaminodicyclohexylmethane. Multifunctional amines such as tetraethylenepentamine and triethylenetetramine are also widely used in this capacity. The reaction proceeds by the lone pair of electrons on the amine nitrogen attacking the outermost carbon on the oxirane ring of the epoxy resin. This relieves ring strain on the epoxide and is the driving force of the reaction. Safety Low molecular weight simple amines, such as ethylamine, are only weakly toxic with between 100 and 1000 mg/kg. They are skin irritants, especially as some are easily absorbed through the skin. Amines are a broad class of compounds, and more complex members of the class can be extremely bioactive, for example strychnine. See also Acid-base extraction Amine value Amine gas treating Ammine Biogenic amine Ligand isomerism Official naming rules for amines as determined by the International Union of Pure and Applied Chemistry (IUPAC) References Further reading External links Synthesis of amines Factsheet, amines in food Functional groups
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https://en.wikipedia.org/wiki/April%2029
April 29
Events Pre-1600 801 – An earthquake in the Central Apennines hits Rome and Spoleto, damaging the basilica of San Paolo Fuori le Mura. 1091 – Battle of Levounion: The Pechenegs are defeated by Byzantine Emperor Alexios I Komnenos. 1429 – Joan of Arc arrives to relieve the Siege of Orléans. 1483 – Gran Canaria, the main island of the Canary Islands, is conquered by the Kingdom of Castile. 1521 – Swedish War of Liberation: Swedish troops defeat a Danish force in the Battle of Västerås. 1601–1900 1760 – French forces commence the siege of Quebec which is held by the British. 1770 – James Cook arrives in Australia at Botany Bay, which he names. 1781 – American Revolutionary War: British and French ships clash in the Battle of Fort Royal off the coast of Martinique. 1826 – The galaxy Centaurus A or NGC 5128 is discovered by James Dunlop. 1861 – Maryland in the American Civil War: Maryland's House of Delegates votes not to secede from the Union. 1862 – American Civil War: The Capture of New Orleans by Union forces under David Farragut. 1864 – Theta Xi fraternity is founded at Rensselaer Polytechnic Institute, the only fraternity to be founded during the American Civil War. 1901–present 1903 – A landslide kills 70 people in Frank, in the District of Alberta, Canada. 1910 – The Parliament of the United Kingdom passes the People's Budget, the first budget in British history with the expressed intent of redistributing wealth among the British public. 1911 – Tsinghua University, one of mainland China's leading universities, is founded. 1916 – World War I: The UK's 6th Indian Division surrenders to Ottoman Forces at the Siege of Kut in one of the largest surrenders of British forces up to that point. 1916 – Easter Rising: After six days of fighting, Irish rebel leaders surrender to British forces in Dublin, bringing the Easter Rising to an end. 1945 – World War II: The Surrender of Caserta is signed by the commander of German forces in Italy. 1945 – World War II: Airdrops of food begin over German-occupied regions of the Netherlands. 1945 – World War II: Adolf Hitler marries his longtime partner Eva Braun in a Berlin bunker and designates Admiral Karl Dönitz as his successor. 1945 – Dachau concentration camp is liberated by United States troops. 1946 – The International Military Tribunal for the Far East convenes and indicts former Prime Minister of Japan Hideki Tojo and 28 former Japanese leaders for war crimes. 1952 – Pan Am Flight 202 crashes into the Amazon basin near Carolina, Maranhão, Brazil, killing 50 people. 1953 – The first U.S. experimental 3D television broadcast shows an episode of Space Patrol on Los Angeles ABC affiliate KECA-TV. 1967 – After refusing induction into the United States Army the previous day, Muhammad Ali is stripped of his boxing title. 1970 – Vietnam War: United States and South Vietnamese forces invade Cambodia to hunt Viet Cong. 1974 – Watergate scandal: United States President Richard Nixon announces the release of edited transcripts of White House tape recordings relating to the scandal. 1975 – Vietnam War: Operation Frequent Wind: The U.S. begins to evacuate U.S. citizens from Saigon before an expected North Vietnamese takeover. U.S. involvement in the war comes to an end. 1975 – Vietnam War: The North Vietnamese army completes its capture of all parts of South Vietnam-held Trường Sa Islands. 1986 – A fire at the Central library of the Los Angeles Public Library damages or destroys 400,000 books and other items. 1986 – The United States Navy aircraft carrier becomes the first nuclear-powered aircraft carrier to transit the Suez Canal, navigating from the Red Sea to the Mediterranean Sea to relieve the . 1991 – A cyclone strikes the Chittagong district of southeastern Bangladesh with winds of around , killing at least 138,000 people and leaving as many as ten million homeless. 1991 – The 7.0 Racha earthquake affects Georgia with a maximum MSK intensity of IX (Destructive), killing 270 people. 1992 – Riots in Los Angeles begin, following the acquittal of police officers charged with excessive force in the beating of Rodney King. Over the next three days 63 people are killed and hundreds of buildings are destroyed. 1997 – The Chemical Weapons Convention of 1993 enters into force, outlawing the production, stockpiling and use of chemical weapons by its signatories. 2004 – The final Oldsmobile is built in Lansing, Michigan, ending 107 years of vehicle production. 2011 – The Wedding of Prince William and Catherine Middleton takes place at Westminster Abbey in London. 2013 – A powerful explosion occurs in an office building in Prague, believed to have been caused by natural gas, and injures 43 people. 2013 – National Airlines Flight 102, a Boeing 747-400 freighter aircraft, crashes during takeoff from Bagram Airfield in Parwan Province, Afghanistan, killing seven people. 2015 – A baseball game between the Baltimore Orioles and the Chicago White Sox sets the all-time low attendance mark for Major League Baseball. Zero fans were in attendance for the game, as the stadium was officially closed to the public due to the 2015 Baltimore protests. Births Pre-1600 1469 – William II, Landgrave of Hesse (d. 1509) 1587 – Sophie of Saxony, Duchess of Pomerania (d. 1635) 1601–1900 1636 – Esaias Reusner, German lute player and composer (d. 1679) 1665 – James Butler, 2nd Duke of Ormonde, Irish general and politician, Lord Lieutenant of Ireland (d. 1745) 1667 – John Arbuthnot, Scottish-English physician and polymath (d. 1735) 1727 – Jean-Georges Noverre, French actor and dancer (d. 1810) 1745 – Oliver Ellsworth, American lawyer and politician, 3rd Chief Justice of the United States (d. 1807) 1758 – Georg Carl von Döbeln, Swedish general (d. 1820) 1762 – Jean-Baptiste Jourdan, French general and politician, French Minister of Foreign Affairs (d. 1833) 1780 – Charles Nodier, French librarian and author (d. 1844) 1783 – David Cox, English landscape painter (d. 1859) 1784 – Samuel Turell Armstrong, American publisher and politician, 14th Lieutenant Governor of Massachusetts (d. 1850) 1810 – Thomas Adolphus Trollope, English journalist and author (d. 1892) 1818 – Alexander II of Russia (d. 1881) 1837 – Georges Ernest Boulanger, French general and politician, French Minister of War (d. 1891) 1842 – Carl Millöcker, Austrian composer and conductor (d. 1899) 1847 – Joachim Andersen, Danish flautist, composer and conductor (d. 1907) 1848 – Raja Ravi Varma, Indian painter and academic (d. 1906) 1854 – Henri Poincaré, French mathematician, physicist and engineer (d. 1912) 1863 – Constantine P. Cavafy, Egyptian-Greek journalist and poet (d. 1933) 1863 – William Randolph Hearst, American publisher and politician, founded the Hearst Corporation (d. 1951) 1863 – Maria Teresia Ledóchowska, Austrian nun and missionary (d. 1922) 1872 – Harry Payne Whitney, American businessman and lawyer (d. 1930) 1872 – Forest Ray Moulton, American astronomer and academic (d. 1952) 1875 – Rafael Sabatini, Italian-English novelist and short story writer (d. 1950) 1879 – Thomas Beecham, English conductor (d. 1961) 1880 – Adolf Chybiński, Polish historian, musicologist and academic (d. 1952) 1882 – Auguste Herbin, French painter (d. 1960) 1882 – Hendrik Nicolaas Werkman, Dutch printer, typographer, and Nazi resister (d. 1945) 1885 – Egon Erwin Kisch, Czech journalist and author (d. 1948) 1887 – Robert Cushman Murphy, American ornithologist (d. 1973) 1888 – Michael Heidelberger, American immunologist (d. 1991) 1891 – Edward Wilfred Taylor, British businessman (d. 1980) 1893 – Harold Urey, American chemist and astronomer, Nobel Prize laureate (d. 1981) 1894 – Marietta Blau, Austrian physicist and academic (d. 1970) 1895 – Vladimir Propp, Russian scholar and critic (d. 1970) 1895 – Malcolm Sargent, English organist, composer and conductor (d. 1967) 1898 – E. J. Bowen, British physical chemist (d. 1980) 1899 – Duke Ellington, American pianist, composer and bandleader (d. 1974) 1899 – Mary Petty, American illustrator (d. 1976) 1900 – Amelia Best, Australian politician (d. 1979) 1901–present 1901 – Hirohito, Japanese emperor (d. 1989) 1907 – Fred Zinnemann, Austrian-American director and producer (d. 1997) 1908 – Jack Williamson, American author and academic (d. 2006) 1909 – Tom Ewell, American actor (d. 1994) 1912 – Richard Carlson, American actor, director, and screenwriter (d. 1977) 1915 – Henry H. Barschall, German-American physicist and academic (d. 1997) 1917 – Maya Deren, Ukrainian-American director, poet, and photographer (d. 1961) 1917 – Celeste Holm, American actress and singer (d. 2012) 1918 – George Allen, American football player and coach (d. 1990) 1919 – Gérard Oury, French actor, director and screenwriter (d. 2006) 1920 – Edward Blishen, English author and radio host (d. 1996) 1920 – Harold Shapero, American composer (d. 2013) 1922 – Parren Mitchell, American politician (d. 2007) 1922 – Toots Thielemans, Belgian guitarist and harmonica player (d. 2016) 1923 – Irvin Kershner, American actor, director and producer (d. 2010) 1924 – Zizi Jeanmaire, French ballerina and actress (d. 2020) 1925 – John Compton, Saint Lucian lawyer and politician, 1st Prime Minister of Saint Lucia (d. 2007) 1925 – Iwao Takamoto, American animator, director, and producer (d. 2007) 1926 – Elmer Kelton, American journalist and author (d. 2009) 1927 – Dorothy Manley, English sprinter (d. 2021) 1927 – Bill Slater, English footballer (d. 2018) 1928 – Carl Gardner, American singer (d. 2011) 1928 – Heinz Wolff, German-English physiologist, engineer, and academic (d. 2017) 1929 – Walter Kempowski, German author and academic (d. 2007) 1929 – Peter Sculthorpe, Australian composer and conductor (d. 2014) 1929 – April Stevens, American singer (d. 2023) 1929 – Maurice Strong, Canadian businessman and diplomat (d. 2015) 1929 – Jeremy Thorpe, English lawyer and politician (d. 2014) 1930 – Jean Rochefort, French actor and director (d. 2017) 1931 – Frank Auerbach, British-German painter 1931 – Lonnie Donegan, Scottish-English singer-songwriter and guitarist (d. 2002) 1931 – Chris Pearson, Canadian politician, 1st Premier of Yukon (d. 2014) 1932 – David Tindle, English painter and educator 1932 – Dmitry Zaikin, Soviet pilot and cosmonaut instructor (d. 2013) 1933 – Ed Charles, American baseball player and coach (d. 2018) 1933 – Rod McKuen, American singer-songwriter and poet (d. 2015) 1933 – Willie Nelson, American singer-songwriter, guitarist, producer and actor 1934 – Luis Aparicio, Venezuelan-American baseball player 1934 – Pedro Pires, Cape Verdean politician, 3rd President of Cape Verde 1935 – Otis Rush, American blues singer-songwriter and guitarist (d. 2018) 1936 – Adolfo Nicolás, Spanish priest, 13th Superior General of the Society of Jesus (d. 2020) 1936 – Jacob Rothschild, 4th Baron Rothschild, English banker and philanthropist 1937 – Jill Paton Walsh, English author (d. 2020) 1938 – Steven Bach, American writer, businessman and educator (d. 2009) 1938 – Bernie Madoff, American businessman, financier and convicted felon (d. 2021) 1939 – Klaus Rinke, German contemporary artist 1940 – George Adams, American musician (d. 1992) 1940 – Peter Diamond, American economist 1941 – Hanne Darboven, German painter (d. 2009) 1942 – Dick Chrysler, American politician 1942 – Rennie Fritchie, Baroness Fritchie, English civil servant and academic 1943 – Duane Allen, American country singer 1943 – Brenda Dean, Baroness Dean of Thornton-le-Fylde, English union leader and politician (d. 2018) 1943 – Ruth Deech, Baroness Deech, English lawyer and academic 1944 – Francis Lee, English footballer and businessman (d. 2023) 1945 – Hugh Hopper, English bass guitarist (d. 2009) 1945 – Catherine Lara, French singer-songwriter and violinist 1945 – Tammi Terrell, American soul singer-songwriter (d. 1970) 1946 – Rodney Frelinghuysen, American politician and lobbyist 1947 – Tommy James, American singer-songwriter, guitarist and producer 1947 – Johnny Miller, American golfer and sportscaster 1947 – Jim Ryun, American runner and politician 1948 – Edith Brown Clement, American judge 1950 – Paul Holmes, New Zealand journalist (d. 2013) 1950 – Phillip Noyce, Australian director and producer 1950 – Debbie Stabenow, American social worker and politician 1951 – Dale Earnhardt, American race car driver (d. 2001) 1951 – Jon Stanhope, Australian politician 1952 – Geraldine Doogue, Australian journalist and television host 1952 – Nora Dunn, American actress and comedian 1952 – Bob McClure, American baseball player and coach 1952 – Dave Valentin, American flautist (d. 2017) 1953 – Bill Drummond, Brittish musician 1954 – Mo Brooks, American attorney and politician 1954 – Jerry Seinfeld, American comedian, actor and producer 1955 – Leslie Jordan, American actor, comedian, writer and singer (d. 2022) 1955 – Kate Mulgrew, American actress 1957 – Daniel Day-Lewis, British-Irish actor 1957 – Fiamē Naomi Mataʻafa, Samoan politician, 7th Prime Minister of Samoa 1957 – Joseph Morelle, American politician 1958 – Kevin Moore, English footballer (d. 2013) 1958 – Michelle Pfeiffer, American actress 1958 – Eve Plumb, American actress 1960 – Robert J. Sawyer, Canadian author and academic 1962 – Polly Samson, English novelist, lyricist and journalist 1963 – Mike Babcock, Canadian ice hockey player and coach 1964 – Federico Castelluccio, Italian-American actor, director, producer and screenwriter 1965 – Michel Bussi, French geographer, author, and academic 1965 – Amy Krouse Rosenthal, American author (d. 2017) 1966 – Christian Tetzlaff, German violinist 1968 – Kolinda Grabar-Kitarović, Croatian politician and diplomat, 4th President of Croatia 1969 – Paul Adelstein, American actor and writer 1970 – Andre Agassi, American tennis player 1970 – Uma Thurman, American actress 1975 – Garrison Starr, American singer-songwriter and producer 1975 – April Telek, Canadian actress 1976 – Micol Ostow, American author, editor and educator 1976 – God Shammgod, American basketball player and coach 1977 – Zuzana Hejdová, Czech tennis player 1977 – Claus Jensen, Danish international footballer and manager 1977 – David Sullivan, American film and television actor 1978 – Bob Bryan, American tennis player 1978 – Mike Bryan, American tennis player 1978 – Javier Colon, American singer-songwriter and musician 1978 – Tyler Labine, Canadian actor and comedian 1979 – Lee Dong-gook, South Korean footballer 1979 – Jo O'Meara, English pop singer 1980 – Bre Blair, Canadian actress 1981 – George McCartney, Northern Irish footballer 1983 – Megan Boone, American actress 1983 – Jay Cutler, American football player 1983 – Sam Jones III, American actor 1984 – Kirby Cote, Canadian swimmer 1984 – Lina Krasnoroutskaya, Russian tennis player 1986 – Byun Yo-han, South Korean actor 1986 – Lee Chae-young, South Korean actress 1987 – Rob Atkinson, English footballer 1987 – Sara Errani, Italian tennis player 1987 – Andre Russell, Jamaican cricketer 1988 – Alfred Hui, Hong Kong singer 1988 – Taoufik Makhloufi, Algerian athlete 1988 – Jonathan Toews, Canadian ice hockey player 1988 – Younha, South Korean singer-songwriter and record producer 1989 – Candace Owens, American political commentator and activist 1990 – James Faulkner, Australian cricketer 1990 – Chris Johnson, American basketball player 1991 – Adam Smith, English footballer 1991 – Jung Hye-sung, South Korean actress 1991 – Misaki Doi, Japanese tennis player 1992 – Alina Rosenberg, German paralympic equestrian 1994 – Christina Shakovets, German tennis player 1996 – Katherine Langford, Australian actress 1998 – Kimberly Birrell, Australian tennis player 1998 – Mallory Pugh, American soccer player 2002 – Sinja Kraus, Austrian tennis player 2007 – Infanta Sofía of Spain, Spanish princess Deaths Pre-1600 1109 – Hugh of Cluny, French abbot (b. 1024) 1380 – Catherine of Siena, Italian mystic, philosopher and saint (b. 1347) 1594 – Thomas Cooper, English bishop, lexicographer, and theologian (b. 1517) 1601–1900 1630 – Agrippa d'Aubigné, French soldier and poet (b. 1552) 1658 – John Cleveland, English poet and author (b. 1613) 1676 – Michiel de Ruyter, Dutch admiral (b. 1607) 1707 – George Farquhar, Irish-English actor and playwright (b. 1678) 1768 – Georg Brandt, Swedish chemist and mineralogist (b. 1694) 1776 – Edward Wortley Montagu, English explorer and author (b. 1713) 1833 – William Babington, Anglo-Irish physician and mineralogist (b. 1756) 1848 – Chester Ashley, American politician (b. 1790) 1854 – Henry Paget, 1st Marquess of Anglesey, English field marshal and politician, Lord Lieutenant of Ireland (b. 1768) 1901–present 1903 – Godfrey Carter, Australian businessman and politician, 39th Mayor of Melbourne (b. 1830) 1903 – Paul Du Chaillu, French-American anthropologist and zoologist (b. 1835) 1905 – Ignacio Cervantes, Cuban pianist and composer (b. 1847) 1916 – Jørgen Pedersen Gram, Danish mathematician and academic (b. 1850) 1917 – Florence Farr, British actress, composer and director (b. 1860) 1922 – Richard Croker, Irish American political boss (b. 1843) 1924 – Ernest Fox Nichols, American educator and physicist (b. 1869) 1925 – Ralph Delahaye Paine, American journalist and author (b. 1871) 1933 – Clay Stone Briggs, American politician (b. 1876) 1933 – Constantine P. Cavafy, Greek poet and journalist (b. 1863) 1935 – Leroy Carr, American singer, songwriter and pianist (b. 1905) 1937 – William Gillette, American actor and playwright (b. 1853) 1943 – Joseph Achron, Russian composer and violinist (b. 1886) 1943 – Ricardo Viñes, Spanish pianist (b. 1875) 1944 – Billy Bitzer, American cinematographer (b. 1872) 1944 – Pyotr Stolyarsky, Soviet violinist (b. 1871) 1947 – Irving Fisher, American economist and statistician (b. 1867) 1951 – Ludwig Wittgenstein, Austrian-English philosopher and academic (b. 1889) 1956 – Wilhelm Ritter von Leeb, German field marshal (b. 1876) 1959 – Kenneth Anderson, English soldier and Governor of Gibraltar (b. 1891) 1966 – William Eccles, English physicist and engineer (b. 1875) 1966 – Paula Strasberg, American actress and acting coach (b. 1909) 1967 – J. B. Lenoir, American singer-songwriter and guitarist (b. 1929) 1968 – Lin Zhao, Chinese dissident (b. 1932) 1978 – Theo Helfrich, German race car driver (b. 1913) 1979 – Muhsin Ertuğrul, Turkish actor and director (b. 1892) 1979 – Hardie Gramatky, American author and illustrator (b. 1907) 1980 – Alfred Hitchcock, English-American director and producer (b. 1899) 1982 – Raymond Bussières, French actor, producer and screenwriter (b. 1907) 1992 – Mae Clarke, American actress (b. 1910) 1993 – Michael Gordon, American actor and director (b. 1909) 1993 – Mick Ronson, English guitarist, songwriter and producer (b. 1946) 1997 – Mike Royko, American journalist and author (b. 1932) 2000 – Phạm Văn Đồng, Vietnamese lieutenant and politician, 2nd Prime Minister of Vietnam (b. 1906) 2001 – Arthur B. C. Walker Jr., American physicist and academic (b. 1936) 2002 – Bob Akin, American race car driver and journalist (b. 1936) 2003 – Janko Bobetko, Croatian Army general and Chief of the General Staff (b. 1919) 2004 – John Henniker-Major, British diplomat and civil servant (b. 1916) 2005 – William J. Bell, American screenwriter and producer (b. 1927) 2005 – Louis Leithold, American mathematician and academic (b. 1924) 2006 – John Kenneth Galbraith, Canadian-American economist and diplomat, United States Ambassador to India (b. 1908) 2007 – Josh Hancock, American baseball player (b. 1978) 2007 – Dick Motz, New Zealand cricketer and rugby player (b. 1940) 2007 – Ivica Račan, Croatian politician, 7th Prime Minister of Croatia (b. 1944) 2008 – Gordon Bradley, English-American footballer (b. 1933) 2008 – Albert Hofmann, Swiss chemist and academic (b. 1906) 2010 – Avigdor Arikha, French-Israeli artist, printmaker and art historian (b. 1929) 2011 – Siamak Pourzand, Iranian journalist and critic (b. 1931) 2011 – Joanna Russ, American writer, academic and radical feminist (b. 1937) 2012 – Shukri Ghanem, Libyan politician, 22nd Prime Minister of Libya (b. 1942) 2012 – Joel Goldsmith, American composer and conductor (b. 1957) 2012 – Roland Moreno. French engineer, invented the smart card (b. 1945) 2012 – Kenny Roberts, American singer-songwriter (b. 1926) 2013 – Alex Elisala, New Zealand-Australian rugby player (b. 1992) 2013 – Pesah Grupper, Israeli politician, 13th Israel Minister of Agriculture (b. 1924) 2013 – John La Montaine, American pianist and composer (b. 1920) 2013 – Kevin Moore, English footballer (b. 1958) 2013 – Marianna Zachariadi, Greek pole vaulter (b. 1990) 2014 – Iveta Bartošová, Czech singer and actress (b. 1966) 2014 – Al Feldstein, American author and illustrator (b. 1925) 2014 – Bob Hoskins, English actor (b. 1942) 2015 – François Michelin, French businessman (b. 1926) 2015 – Jean Nidetch, American businesswoman, co-founded Weight Watchers (b. 1923) 2015 – Calvin Peete, American golfer (b. 1943) 2015 – Dan Walker, American lawyer and politician, 36th Governor of Illinois (b. 1922) 2016 – Renato Corona, Filipino lawyer and jurist, 23rd Chief Justice of the Supreme Court of the Philippines (b. 1948) 2017 – R. Vidyasagar Rao, Indian bureaucrat and activist (b. 1939) 2018 – Luis García Meza, Bolivian general, 57th President of Bolivia (b. 1929) 2018 – Michael Martin, British politician (b. 1945) 2019 – Josef Šural, Czech footballer (b. 1990) 2020 – Irrfan Khan, Indian actor (b. 1967) 2020 – Guido Münch, Mexican astronomer and astrophysicist (b. 1921) 2021 – Cate Haste, English author (b. 1945) 2022 – Joanna Barnes, American actress and writer (b. 1934) 2023 – Padma Desai, Indian-American development economist (b. 1931) Holidays and observances Christian feast day: Catherine of Siena (Catholic, Lutheran and Anglican Church) Hugh of Cluny Robert of Molesme Wilfrid II April 29 (Eastern Orthodox liturgics) Day of Remembrance for all Victims of Chemical Warfare (United Nations) International Dance Day (UNESCO) Shōwa Day, traditionally the start of the Golden Week holiday period, which is April 29 and May 3–5. (Japan) References External links BBC: On This Day Historical Events on April 29 Days of the year April
1417
https://en.wikipedia.org/wiki/August%2014
August 14
Events Pre-1600 74 BC – A group of officials, led by the Western Han minister Huo Guang, present articles of impeachment against the new emperor, Liu He, to the imperial regent, Empress Dowager Shangguan. 29 BC – Octavian holds the second of three consecutive triumphs in Rome to celebrate the victory over the Dalmatian tribes. 1040 – King Duncan I is killed in battle against his first cousin and rival Macbeth. The latter succeeds him as King of Scotland. 1183 – Taira no Munemori and the Taira clan take the young Emperor Antoku and the three sacred treasures and flee to western Japan to escape pursuit by the Minamoto clan. 1264 – After tricking the Venetian galley fleet into sailing east to the Levant, the Genoese capture an entire Venetian trade convoy at the Battle of Saseno. 1352 – War of the Breton Succession: Anglo-Bretons defeat the French in the Battle of Mauron. 1370 – Charles IV, Holy Roman Emperor, grants city privileges to Karlovy Vary. 1385 – Portuguese Crisis of 1383–85: Battle of Aljubarrota: Portuguese forces commanded by John I of Portugal defeat the Castilian army of John I of Castile. 1592 – The first sighting of the Falkland Islands by John Davis. 1598 – Nine Years' War: Battle of the Yellow Ford: Irish forces under Hugh O'Neill, Earl of Tyrone, defeat an English expeditionary force under Henry Bagenal. 1601–1900 1720 – The Spanish military Villasur expedition is defeated by Pawnee and Otoe warriors near present-day Columbus, Nebraska. 1784 – Russian colonization of North America: Awa’uq Massacre: The Russian fur trader Grigory Shelikhov storms a Kodiak Island Alutiit refuge rock on Sitkalidak Island, killing 500+ Alutiit. 1790 – The Treaty of Wereloe ended the 1788–1790 Russo-Swedish War. 1791 – Slaves from plantations in Saint-Domingue hold a Vodou ceremony led by houngan Dutty Boukman at Bois Caïman, marking the start of the Haitian Revolution. 1814 – A cease fire agreement, called the Convention of Moss, ended the Swedish–Norwegian War. 1816 – The United Kingdom formally annexes the Tristan da Cunha archipelago, administering the islands from the Cape Colony in South Africa. 1842 – American Indian Wars: Second Seminole War ends, with the Seminoles forced from Florida. 1848 – Oregon Territory is organized by act of Congress. 1880 – Construction of Cologne Cathedral, the most famous landmark in Cologne, Germany, is completed. 1885 – Japan's first patent is issued to the inventor of a rust-proof paint. 1893 – France becomes the first country to introduce motor vehicle registration. 1900 – Battle of Peking: The Eight-Nation Alliance occupies Beijing, China, in a campaign to end the bloody Boxer Rebellion in China. 1901–present 1901 – The first claimed powered flight, by Gustave Whitehead in his Number 21. 1914 – World War I: Start of the Battle of Lorraine, an unsuccessful French offensive. 1917 – World War I: The Republic of China, which had heretofore been shipping labourers to Europe to assist in the war effort, officially declares war on the Central Powers, although it will continue to send to Europe labourers instead of combatants for the remaining duration of the war. 1920 – The 1920 Summer Olympics, having started four months earlier, officially open in Antwerp, Belgium, with the newly-adopted Olympic flag and the Olympic oath being raised and taken at the Opening Ceremony for the first time in Olympic history. 1921 – Tannu Uriankhai, later Tuvan People's Republic is established as a completely independent country (which is supported by Soviet Russia). 1933 – Loggers cause a forest fire in the Coast Range of Oregon, later known as the first forest fire of the Tillamook Burn; destroying of land. 1935 – Franklin D. Roosevelt signs the Social Security Act, creating a government pension system for the retired. 1936 – Rainey Bethea is hanged in Owensboro, Kentucky in the last known public execution in the United States. 1941 – World War II: Winston Churchill and Franklin D. Roosevelt sign the Atlantic Charter of war stating postwar aims. 1947 – Pakistan gains independence from the British Empire. 1959 – Founding and first official meeting of the American Football League. 1967 – UK Marine Broadcasting Offences Act declares participation in offshore pirate radio illegal. 1969 – The Troubles: British troops are deployed in Northern Ireland as political and sectarian violence breaks out, marking the start of the 37-year Operation Banner. 1971 – Bahrain declares independence from Britain. 1972 – An Ilyushin Il-62 airliner crashes near Königs Wusterhausen, East Germany killing 156 people. 1980 – Lech Wałęsa leads strikes at the Gdańsk, Poland shipyards. 1994 – Ilich Ramírez Sánchez, also known as "Carlos the Jackal", is captured. 1996 – Greek Cypriot refugee Solomos Solomou is shot and killed by a Turkish security officer while trying to climb a flagpole in order to remove a Turkish flag from its mast in the United Nations Buffer Zone in Cyprus. 2003 – A widescale power blackout affects the northeast United States and Canada. 2005 – Helios Airways Flight 522, en route from Larnaca, Cyprus to Prague, Czech Republic via Athens, crashes in the hills near Grammatiko, Greece, killing 121 passengers and crew. 2006 – Lebanon War: A ceasefire takes effect three days after the United Nations Security Council’s approval of United Nations Security Council Resolution 1701, formally ending hostilities between Lebanon and Israel. 2006 – Sri Lankan Civil War: Sixty-one schoolgirls killed in Chencholai bombing by Sri Lankan Air Force air strike. 2007 – The Kahtaniya bombings kills at least 500 people. 2013 – Egypt declares a state of emergency as security forces kill hundreds of demonstrators supporting former president Mohamed Morsi. 2013 – UPS Airlines Flight 1354 crashes short of the runway at Birmingham–Shuttlesworth International Airport, killing both crew members on board. 2015 – The U.S. Embassy in Havana, Cuba re-opens after 54 years of being closed when Cuba–United States relations were broken off. 2021 – A magnitude 7.2 earthquake strikes southwestern Haiti, killing at least 2,248 people and causing a humanitarian crisis. 2022 – An explosion destroys a market in Armenia, killing six people and injuring dozens. 2023 – Former U.S. President Donald Trump is charged in Georgia along with 18 others in attempting to overturn the results of the 2020 election in that state, his fourth indictment of 2023. Births Pre-1600 1479 – Catherine of York (d. 1527) 1499 – John de Vere, 14th Earl of Oxford, English politician (d. 1526) 1502 – Pieter Coecke van Aelst, Flemish painter (d. 1550) 1530 – Giambattista Benedetti, Italian mathematician and physicist (d. 1590) 1552 – Paolo Sarpi, Italian writer (d. 1623) 1599 – Méric Casaubon, Swiss-English scholar and author (d. 1671) 1601–1900 1642 – Cosimo III de' Medici, Grand Duke of Tuscany (d. 1723) 1653 – Christopher Monck, 2nd Duke of Albemarle, English colonel and politician, Lieutenant Governor of Jamaica (d. 1688) 1688 – Frederick William I of Prussia (d. 1740) 1714 – Claude Joseph Vernet, French painter (d. 1789) 1738 – Leopold Hofmann, Austrian composer and conductor (d. 1793) 1742 – Pope Pius VII (d. 1823) 1758 – Carle Vernet, French painter and lithographer (d. 1836) 1777 – Hans Christian Ørsted, Danish physicist and chemist (d. 1851) 1802 – Letitia Elizabeth Landon, English poet and novelist (d. 1838) 1814 – Charlotte Fowler Wells, American phrenologist and publisher (d. 1901) 1817 – Alexander H. Bailey, American lawyer, judge, and politician (d. 1874) 1840 – Richard von Krafft-Ebing, German-Austrian psychologist and author (d. 1902) 1847 – Robert Comtesse, Swiss lawyer and politician (d. 1922) 1848 – Margaret Lindsay Huggins, Anglo-Irish astronomer and author (d. 1915) 1851 – Doc Holliday, American dentist and gambler (d. 1887) 1860 – Ernest Thompson Seton, American author, artist, and naturalist (d. 1946) 1863 – Ernest Thayer, American poet and author (d. 1940) 1865 – Guido Castelnuovo, Italian mathematician and academic (d. 1952) 1866 – Charles Jean de la Vallée-Poussin, Belgian mathematician and academic (d. 1962) 1867 – Cupid Childs, American baseball player (d. 1912) 1867 – John Galsworthy, English novelist and playwright, Nobel Prize laureate (d. 1933) 1871 – Guangxu Emperor of China (d. 1908) 1875 – Mstislav Dobuzhinsky, Russian-Lithuanian painter and illustrator (d. 1957) 1876 – Alexander I of Serbia (d. 1903) 1881 – Francis Ford, American actor, director, producer, and screenwriter (d. 1953) 1883 – Ernest Everett Just, American biologist and academic (d. 1941) 1886 – Arthur Jeffrey Dempster, Canadian-American physicist and academic (d. 1950) 1889 – Otto Tief, Estonian lawyer and politician, Prime Minister of Estonia (d. 1976) 1890 – Bruno Tesch, German chemist and businessman (d. 1946) 1892 – Kaikhosru Shapurji Sorabji, English pianist, composer, and critic (d. 1988) 1894 – Frank Burge, Australian rugby league player and coach (d. 1958) 1895 – Jack Gregory, Australian cricketer (d. 1973) 1895 – Amaza Lee Meredith, American architect (d. 1984) 1896 – Albert Ball, English fighter pilot (d. 1917) 1896 – Theodor Luts, Estonian director and cinematographer (d. 1980) 1900 – Margret Boveri, German journalist (d. 1975) 1901–present 1910 – Nüzhet Gökdoğan, Turkish astronomer and mathematician (d. 2003) 1910 – Willy Ronis, French photographer (d. 2009) 1910 – Pierre Schaeffer, French composer and producer (d. 1995) 1912 – Frank Oppenheimer, American physicist and academic (d. 1985) 1913 – Hector Crawford, Australian director and producer (d. 1991) 1913 – Paul Dean, American baseball player (d. 1981) 1914 – Herman Branson, American physicist, chemist, and academic (d. 1995) 1915 – B. A. Santamaria, Australian political activist and publisher (d. 1998) 1916 – Frank and John Craighead, American naturalists (twins, Frank d. 2001, John d. 2016) 1916 – Wellington Mara, American businessman (d. 2005) 1923 – Alice Ghostley, American actress (d. 2007) 1924 – Sverre Fehn, Norwegian architect, designed the Hedmark Museum (d. 2009) 1924 – Georges Prêtre, French conductor (d. 2017) 1925 – Russell Baker, American critic and essayist (d. 2019) 1926 – René Goscinny, French author and illustrator (d. 1977) 1926 – Buddy Greco, American singer and pianist (d. 2017) 1928 – Lina Wertmüller, Italian director and screenwriter (d. 2021) 1929 – Giacomo Capuzzi, Italian Roman Catholic prelate, bishop of the Roman Catholic Diocese of Lodi from 1989 to 2005 (d. 2021). 1929 – Dick Tiger, Nigerian boxer (d. 1971) 1930 – Arthur Latham, British politician and Member of Parliament (d. 2016) 1930 – Earl Weaver, American baseball player and manager (d. 2013) 1931 – Frederic Raphael, American journalist, author, and screenwriter 1932 – Lee Hoffman, American author (d. 2007) 1933 – Richard R. Ernst, Swiss chemist and academic, Nobel Prize laureate (d. 2021) 1935 – John Brodie, American football player 1938 – Bennie Muller, Dutch footballer 1941 – David Crosby, American singer-songwriter and guitarist (d. 2023) 1941 – Connie Smith, American country music singer-songwriter and guitarist 1942 – Willie Dunn, Canadian singer-songwriter and producer (d. 2013) 1943 – Ronnie Campbell, English miner and politician 1943 – Ben Sidran, American jazz and rock keyboardist 1945 – Steve Martin, American actor, comedian, musician, producer, and screenwriter 1945 – Wim Wenders, German director, producer, and screenwriter 1946 – Antonio Fargas, American actor 1946 – Larry Graham, American soul/funk bass player and singer-songwriter 1946 – Susan Saint James, American actress 1946 – Tom Walkinshaw, Scottish race car driver and businessman (d. 2010) 1947 – Maddy Prior, English folk singer 1947 – Danielle Steel, American author 1947 – Joop van Daele, Dutch footballer 1949 – Bob Backlund, American wrestler 1949 – Morten Olsen, Danish footballer 1950 – Gary Larson, American cartoonist 1951 – Slim Dunlap, American singer-songwriter and guitarist 1951 – Carl Lumbly, American actor 1952 – Debbie Meyer, American swimmer 1953 – James Horner, American composer and conductor (d. 2015) 1954 – Mark Fidrych, American baseball player and sportscaster (d. 2009) 1954 – Stanley A. McChrystal, American general 1956 – Jackée Harry, American actress and television personality 1956 – Andy King, English footballer and manager (d. 2015) 1956 – Rusty Wallace, American race car driver 1957 – Peter Costello, Australian lawyer and politician 1959 – Frank Brickowski, American basketball player 1959 – Marcia Gay Harden, American actress 1959 – Magic Johnson, American basketball player and coach 1960 – Sarah Brightman, English singer and actress 1960 – Fred Roberts, American basketball player 1961 – Susan Olsen, American actress and radio host 1962 – Mark Gubicza, American baseball player 1963 – José Cóceres, Argentinian golfer 1964 – Neal Anderson, American football player and coach 1964 – Jason Dunstall, Australian footballer 1965 – Paul Broadhurst, English golfer 1966 – Halle Berry, American model, actress, and producer 1966 – Karl Petter Løken, Swedish-Norwegian footballer 1968 – Ben Bass, American actor 1968 – Catherine Bell, English-American actress and producer 1968 – Darren Clarke, Northern Irish golfer 1968 – Jason Leonard, English rugby player 1969 – Tracy Caldwell Dyson, American chemist and astronaut 1969 – Stig Tøfting, Danish footballer 1970 – Kevin Cadogan, American rock guitarist 1971 – Raoul Bova, Italian actor, producer, and screenwriter 1971 – Benito Carbone, Italian footballer 1971 – Peter Franzén, Finnish actor 1971 – Mark Loretta, American baseball player 1972 – Laurent Lamothe, Haitian businessman and politician, Prime Minister of Haiti 1973 – Jared Borgetti, Mexican footballer 1973 – Kieren Perkins, Australian swimmer 1974 – Chucky Atkins, American basketball player 1974 – Christopher Gorham, American actor 1975 – Mike Vrabel, American football player 1976 – Fabrizio Donato, Italian triple jumper 1977 – Juan Pierre, American baseball player 1978 – Anastasios Kyriakos, Greek footballer 1978 – Greg Rawlinson, New Zealand rugby player 1979 – Paul Burgess, Australian pole vaulter 1980 – Peter Malinauskas, Australian politician, 47th Premier of South Australia 1981 – Earl Barron, American basketball player 1981 – Paul Gallen, Australian rugby league player, boxer, and sportscaster 1981 – Julius Jones, American football player 1981 – Kofi Kingston, Ghanian-American wrestler 1981 – Scott Lipsky, American tennis player 1983 – Elena Baltacha, Ukrainian-Scottish tennis player (d. 2014) 1983 – Mila Kunis, Ukrainian-American actress 1983 – Lamorne Morris, American actor and comedian 1983 – Spencer Pratt, American television personality 1984 – Eva Birnerová, Czech tennis player 1984 – Clay Buchholz, American baseball player 1984 – Giorgio Chiellini, Italian footballer 1984 – Josh Gorges, Canadian ice hockey player 1984 – Nick Grimshaw, English radio and television host 1984 – Nicola Slater, Scottish tennis player 1984 – Robin Söderling, Swedish tennis player 1985 – Christian Gentner, German footballer 1985 – Shea Weber, Canadian ice hockey player 1986 – Braian Rodríguez, Uruguayan footballer 1987 – Johnny Gargano, American wrestler 1987 – David Peralta, Venezuelan baseball player 1987 – Tim Tebow, American football and baseball player and sportscaster 1989 – Ander Herrera, Spanish footballer 1989 – Kyle Turris, Canadian ice hockey player 1991 – Richard Freitag, German ski jumper 1991 – Giovanny Gallegos, Mexican baseball player 1995 – Léolia Jeanjean, French tennis player 1997 – Greet Minnen, Belgian tennis player 2004 – Marsai Martin, American actress and producer Deaths Pre-1600 582 – Tiberius II Constantine, Byzantine emperor 1040 – Duncan I of Scotland 1167 – Rainald of Dassel, Italian archbishop 1204 – Minamoto no Yoriie, second Shōgun of the Kamakura shogunate 1433 – John I of Portugal (b. 1357) 1464 – Pope Pius II (b. 1405) 1573 – Saitō Tatsuoki, Japanese daimyō (b. 1548) 1601–1900 1691 – Richard Talbot, 1st Earl of Tyrconnell, Irish soldier and politician (b. 1630) 1716 – Madre María Rosa, Capuchin nun from Spain, to Peru (b. 1660) 1727 – William Croft, English organist and composer (b. 1678) 1774 – Johann Jakob Reiske, German physician and scholar (b. 1716) 1784 – Nathaniel Hone the Elder, Irish-born English painter and academic (b. 1718) 1852 – Margaret Taylor, First Lady of the United States (b. 1788) 1854 – Carl Carl, Polish-born actor and theatre director (b. 1787) 1860 – André Marie Constant Duméril, French zoologist and entomologist (b. 1774) 1870 – David Farragut, American admiral (b. 1801) 1890 – Michael J. McGivney, American priest, founded the Knights of Columbus (b. 1852) 1891 – Sarah Childress Polk, First Lady of the United States (b. 1803) 1901–present 1905 – Simeon Solomon, English soldier and painter (b. 1840) 1909 – William Stanley, British engineer and author (b. 1829) 1922 – Rebecca Cole, American physician and social reformer (b. 1846) 1928 – Klabund, German author and poet (b. 1890) 1938 – Hugh Trumble, Australian cricketer and accountant (b. 1876) 1941 – Maximilian Kolbe, Polish martyr and saint (b. 1894) 1941 – Paul Sabatier, French chemist and academic, Nobel Prize laureate (b. 1854) 1943 – Joe Kelley, American baseball player and manager (b. 1871) 1948 – Eliška Misáková, Czech gymnast (b. 1926) 1951 – William Randolph Hearst, American publisher and politician, founded the Hearst Corporation (b. 1863) 1954 – Hugo Eckener, German pilot and designer (b. 1868) 1955 – Herbert Putnam, American lawyer and publisher, Librarian of Congress (b. 1861) 1956 – Bertolt Brecht, German poet, playwright, and director (b. 1898) 1956 – Konstantin von Neurath, German lawyer and politician, Reich Minister of Foreign Affairs (b. 1873) 1958 – Frédéric Joliot-Curie, French physicist and chemist, Nobel Prize laureate (b. 1900) 1963 – Clifford Odets, American director, playwright, and screenwriter (b. 1906) 1964 – Johnny Burnette, American singer-songwriter (b. 1934) 1965 – Vello Kaaristo, Estonian skier (b. 1911) 1967 – Bob Anderson, English motorcycle racer and race car driver (b. 1931) 1972 – Oscar Levant, American actor, pianist, and composer (b. 1906) 1972 – Jules Romains, French author and poet (b. 1885) 1973 – Fred Gipson, American journalist and author (b. 1908) 1978 – Nicolas Bentley, English author and illustrator (b. 1907) 1980 – Dorothy Stratten, Canadian-American model and actress (b. 1960) 1981 – Karl Böhm, Austrian conductor and director (b. 1894) 1981 – Dudley Nourse, South African cricketer (b. 1910) 1982 – Mahasi Sayadaw, Burmese monk and philosopher (b. 1904) 1984 – Spud Davis, American baseball player, coach, and manager (b. 1904) 1984 – J. B. Priestley, English novelist and playwright (b. 1894) 1985 – Gale Sondergaard, American actress (b. 1899) 1988 – Roy Buchanan, American singer-songwriter and guitarist (b. 1939) 1988 – Robert Calvert, South African-English singer-songwriter and playwright (b. 1945) 1988 – Enzo Ferrari, Italian race car driver and businessman, founded Ferrari (b. 1898) 1991 – Alberto Crespo, Argentinian race car driver (b. 1920) 1992 – John Sirica, American lawyer and judge (b. 1904) 1994 – Elias Canetti, Bulgarian-Swiss author, Nobel Prize laureate (b. 1905) 1994 – Alice Childress, American actress, playwright, and author (b. 1912) 1996 – Sergiu Celibidache, Romanian conductor and composer (b. 1912) 1999 – Pee Wee Reese, American baseball player and sportscaster (b. 1918) 2002 – Larry Rivers, American painter and sculptor (b. 1923) 2003 – Helmut Rahn, German footballer (b. 1929) 2004 – Czesław Miłosz, Polish-born American novelist, essayist, and poet, Nobel Prize laureate (b. 1911) 2004 – Trevor Skeet, New Zealand-English lawyer and politician (b. 1918) 2006 – Bruno Kirby, American actor (b. 1949) 2007 – Tikhon Khrennikov, Russian pianist and composer (b. 1913) 2010 – Herman Leonard, American photographer (b. 1923) 2012 – Vilasrao Deshmukh, Indian lawyer and politician, Chief Minister of Maharashtra (b. 1945) 2012 – Svetozar Gligorić, Serbian chess player (b. 1923) 2012 – Phyllis Thaxter, American actress (b. 1919) 2013 – Jack Germond, American journalist and author (b. 1928) 2014 – Leonard Fein, American journalist and academic, co-founded Moment Magazine (b. 1934) 2014 – George V. Hansen, American politician (b. 1930) 2015 – Bob Johnston, American songwriter and producer (b. 1932) 2016 – Fyvush Finkel, American actor (b. 1922) 2018 – Jill Janus, American singer (b. 1975) 2019 – Polly Farmer, Australian footballer and coach (b. 1935) 2020 – Julian Bream, English classical guitarist and lutenist (b. 1933) 2020 – Angela Buxton, British tennis player (b. 1934) 2020 – James R. Thompson, American politician, Governor of Illinois (b. 1936) 2021 – Michael Aung-Thwin, American historian and scholar of Burmese and Southeast Asian history (b. 1946) Holidays and observances Christian feast day: Arnold of Soissons Domingo Ibáñez de Erquicia Eusebius of Rome Jonathan Myrick Daniels (Episcopal Church) Maximilian Kolbe Falklands Day is the celebration of the first sighting of the Falkland Islands by John Davis in 1592. Independence Day, celebrates the independence of Pakistan from the United Kingdom in 1947. Partition Horrors Remembrance Day commemorates the victims and sufferings of people during the Partition of India in 1947. References External links Days of the year August
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https://en.wikipedia.org/wiki/Absolute%20zero
Absolute zero
Absolute zero is the lowest limit of the thermodynamic temperature scale; a state at which the enthalpy and entropy of a cooled ideal gas reach their minimum value, taken as zero kelvin. The fundamental particles of nature have minimum vibrational motion, retaining only quantum mechanical, zero-point energy-induced particle motion. The theoretical temperature is determined by extrapolating the ideal gas law; by international agreement, absolute zero is taken as −273.15 degrees on the Celsius scale (International System of Units), which equals −459.67 degrees on the Fahrenheit scale (United States customary units or imperial units). The corresponding Kelvin and Rankine temperature scales set their zero points at absolute zero by definition. It is commonly thought of as the lowest temperature possible, but it is not the lowest enthalpy state possible, because all real substances begin to depart from the ideal gas when cooled as they approach the change of state to liquid, and then to solid; and the sum of the enthalpy of vaporization (gas to liquid) and enthalpy of fusion (liquid to solid) exceeds the ideal gas's change in enthalpy to absolute zero. In the quantum-mechanical description, matter at absolute zero is in its ground state, the point of lowest internal energy. The laws of thermodynamics indicate that absolute zero cannot be reached using only thermodynamic means, because the temperature of the substance being cooled approaches the temperature of the cooling agent asymptotically. Even a system at absolute zero, if it could somehow be achieved, would still possess quantum mechanical zero-point energy, the energy of its ground state at absolute zero; the kinetic energy of the ground state cannot be removed. Scientists and technologists routinely achieve temperatures close to absolute zero, where matter exhibits quantum effects such as Bose–Einstein condensate, superconductivity and superfluidity. Thermodynamics near absolute zero At temperatures near , nearly all molecular motion ceases and ΔS = 0 for any adiabatic process, where S is the entropy. In such a circumstance, pure substances can (ideally) form perfect crystals with no structural imperfections as T → 0. Max Planck's strong form of the third law of thermodynamics states the entropy of a perfect crystal vanishes at absolute zero. The original Nernst heat theorem makes the weaker and less controversial claim that the entropy change for any isothermal process approaches zero as T → 0: The implication is that the entropy of a perfect crystal approaches a constant value. An adiabat is a state with constant entropy, typically represented on a graph as a curve in a manner similar to isotherms and isobars. The Nernst postulate identifies the isotherm T = 0 as coincident with the adiabat S = 0, although other isotherms and adiabats are distinct. As no two adiabats intersect, no other adiabat can intersect the T = 0 isotherm. Consequently no adiabatic process initiated at nonzero temperature can lead to zero temperature. (≈ Callen, pp. 189–190) A perfect crystal is one in which the internal lattice structure extends uninterrupted in all directions. The perfect order can be represented by translational symmetry along three (not usually orthogonal) axes. Every lattice element of the structure is in its proper place, whether it is a single atom or a molecular grouping. For substances that exist in two (or more) stable crystalline forms, such as diamond and graphite for carbon, there is a kind of chemical degeneracy. The question remains whether both can have zero entropy at T = 0 even though each is perfectly ordered. Perfect crystals never occur in practice; imperfections, and even entire amorphous material inclusions, can and do get "frozen in" at low temperatures, so transitions to more stable states do not occur. Using the Debye model, the specific heat and entropy of a pure crystal are proportional to T 3, while the enthalpy and chemical potential are proportional to T 4. (Guggenheim, p. 111) These quantities drop toward their T = 0 limiting values and approach with zero slopes. For the specific heats at least, the limiting value itself is definitely zero, as borne out by experiments to below 10 K. Even the less detailed Einstein model shows this curious drop in specific heats. In fact, all specific heats vanish at absolute zero, not just those of crystals. Likewise for the coefficient of thermal expansion. Maxwell's relations show that various other quantities also vanish. These phenomena were unanticipated. Since the relation between changes in Gibbs free energy (G), the enthalpy (H) and the entropy is thus, as T decreases, ΔG and ΔH approach each other (so long as ΔS is bounded). Experimentally, it is found that all spontaneous processes (including chemical reactions) result in a decrease in G as they proceed toward equilibrium. If ΔS and/or T are small, the condition ΔG < 0 may imply that ΔH < 0, which would indicate an exothermic reaction. However, this is not required; endothermic reactions can proceed spontaneously if the TΔS term is large enough. Moreover, the slopes of the derivatives of ΔG and ΔH converge and are equal to zero at T = 0. This ensures that ΔG and ΔH are nearly the same over a considerable range of temperatures and justifies the approximate empirical Principle of Thomsen and Berthelot, which states that the equilibrium state to which a system proceeds is the one that evolves the greatest amount of heat, i.e., an actual process is the most exothermic one. (Callen, pp. 186–187) One model that estimates the properties of an electron gas at absolute zero in metals is the Fermi gas. The electrons, being fermions, must be in different quantum states, which leads the electrons to get very high typical velocities, even at absolute zero. The maximum energy that electrons can have at absolute zero is called the Fermi energy. The Fermi temperature is defined as this maximum energy divided by the Boltzmann constant, and is on the order of 80,000 K for typical electron densities found in metals. For temperatures significantly below the Fermi temperature, the electrons behave in almost the same way as at absolute zero. This explains the failure of the classical equipartition theorem for metals that eluded classical physicists in the late 19th century. Relation with Bose–Einstein condensate A Bose–Einstein condensate (BEC) is a state of matter of a dilute gas of weakly interacting bosons confined in an external potential and cooled to temperatures very near absolute zero. Under such conditions, a large fraction of the bosons occupy the lowest quantum state of the external potential, at which point quantum effects become apparent on a macroscopic scale. This state of matter was first predicted by Satyendra Nath Bose and Albert Einstein in 1924–25. Bose first sent a paper to Einstein on the quantum statistics of light quanta (now called photons). Einstein was impressed, translated the paper from English to German and submitted it for Bose to the Zeitschrift für Physik, which published it. Einstein then extended Bose's ideas to material particles (or matter) in two other papers. Seventy years later, in 1995, the first gaseous condensate was produced by Eric Cornell and Carl Wieman at the University of Colorado at Boulder NIST-JILA lab, using a gas of rubidium atoms cooled to 170 nanokelvin (nK) (). A record cold temperature of 450 ± 80 picokelvin (pK) () in a BEC of sodium atoms was achieved in 2003 by researchers at the Massachusetts Institute of Technology (MIT). The associated black-body (peak emittance) wavelength of 6,400 kilometers is roughly the radius of Earth. Absolute temperature scales Absolute, or thermodynamic, temperature is conventionally measured in kelvin (Celsius-scaled increments) and in the Rankine scale (Fahrenheit-scaled increments) with increasing rarity. Absolute temperature measurement is uniquely determined by a multiplicative constant which specifies the size of the degree, so the ratios of two absolute temperatures, T2/T1, are the same in all scales. The most transparent definition of this standard comes from the Maxwell–Boltzmann distribution. It can also be found in Fermi–Dirac statistics (for particles of half-integer spin) and Bose–Einstein statistics (for particles of integer spin). All of these define the relative numbers of particles in a system as decreasing exponential functions of energy (at the particle level) over kT, with k representing the Boltzmann constant and T representing the temperature observed at the macroscopic level. Negative temperatures Temperatures that are expressed as negative numbers on the familiar Celsius or Fahrenheit scales are simply colder than the zero points of those scales. Certain systems can achieve truly negative temperatures; that is, their thermodynamic temperature (expressed in kelvins) can be of a negative quantity. A system with a truly negative temperature is not colder than absolute zero. Rather, a system with a negative temperature is hotter than any system with a positive temperature, in the sense that if a negative-temperature system and a positive-temperature system come in contact, heat flows from the negative to the positive-temperature system. Most familiar systems cannot achieve negative temperatures because adding energy always increases their entropy. However, some systems have a maximum amount of energy that they can hold, and as they approach that maximum energy their entropy actually begins to decrease. Because temperature is defined by the relationship between energy and entropy, such a system's temperature becomes negative, even though energy is being added. As a result, the Boltzmann factor for states of systems at negative temperature increases rather than decreases with increasing state energy. Therefore, no complete system, i.e. including the electromagnetic modes, can have negative temperatures, since there is no highest energy state, so that the sum of the probabilities of the states would diverge for negative temperatures. However, for quasi-equilibrium systems (e.g. spins out of equilibrium with the electromagnetic field) this argument does not apply, and negative effective temperatures are attainable. On 3 January 2013, physicists announced that for the first time they had created a quantum gas made up of potassium atoms with a negative temperature in motional degrees of freedom. History One of the first to discuss the possibility of an absolute minimal temperature was Robert Boyle. His 1665 New Experiments and Observations touching Cold, articulated the dispute known as the primum frigidum. The concept was well known among naturalists of the time. Some contended an absolute minimum temperature occurred within earth (as one of the four classical elements), others within water, others air, and some more recently within nitre. But all of them seemed to agree that, "There is some body or other that is of its own nature supremely cold and by participation of which all other bodies obtain that quality." Limit to the "degree of cold" The question whether there is a limit to the degree of coldness possible, and, if so, where the zero must be placed, was first addressed by the French physicist Guillaume Amontons in 1702, in connection with his improvements in the air thermometer. His instrument indicated temperatures by the height at which a certain mass of air sustained a column of mercury—the volume, or "spring" of the air varying with temperature. Amontons therefore argued that the zero of his thermometer would be that temperature at which the spring of the air was reduced to nothing. He used a scale that marked the boiling point of water at +73 and the melting point of ice at +, so that the zero was equivalent to about −240 on the Celsius scale. Amontons held that the absolute zero cannot be reached, so never attempted to compute it explicitly. The value of −240 °C, or "431 divisions [in Fahrenheit's thermometer] below the cold of freezing water" was published by George Martine in 1740. This close approximation to the modern value of −273.15 °C for the zero of the air thermometer was further improved upon in 1779 by Johann Heinrich Lambert, who observed that might be regarded as absolute cold. Values of this order for the absolute zero were not, however, universally accepted about this period. Pierre-Simon Laplace and Antoine Lavoisier, in their 1780 treatise on heat, arrived at values ranging from 1,500 to 3,000 below the freezing point of water, and thought that in any case it must be at least 600 below. John Dalton in his Chemical Philosophy gave ten calculations of this value, and finally adopted −3,000 °C as the natural zero of temperature. Charles's law From 1787 to 1802, it was determined by Jacques Charles (unpublished), John Dalton, and Joseph Louis Gay-Lussac that, at constant pressure, ideal gases expanded or contracted their volume linearly (Charles's law) by about 1/273 parts per degree Celsius of temperature's change up or down, between 0° and 100° C. This suggested that the volume of a gas cooled at about −273 °C would reach zero. Lord Kelvin's work After James Prescott Joule had determined the mechanical equivalent of heat, Lord Kelvin approached the question from an entirely different point of view, and in 1848 devised a scale of absolute temperature that was independent of the properties of any particular substance and was based on Carnot's theory of the Motive Power of Heat and data published by Henri Victor Regnault. It followed from the principles on which this scale was constructed that its zero was placed at −273 °C, at almost precisely the same point as the zero of the air thermometer, where the air volume would reach "nothing". This value was not immediately accepted; values ranging from to , derived from laboratory measurements and observations of astronomical refraction, remained in use in the early 20th century. The race to absolute zero With a better theoretical understanding of absolute zero, scientists were eager to reach this temperature in the lab. By 1845, Michael Faraday had managed to liquefy most gases then known to exist, and reached a new record for lowest temperatures by reaching . Faraday believed that certain gases, such as oxygen, nitrogen, and hydrogen, were permanent gases and could not be liquefied. Decades later, in 1873 Dutch theoretical scientist Johannes Diderik van der Waals demonstrated that these gases could be liquefied, but only under conditions of very high pressure and very low temperatures. In 1877, Louis Paul Cailletet in France and Raoul Pictet in Switzerland succeeded in producing the first droplets of liquid air . This was followed in 1883 by the production of liquid oxygen by the Polish professors Zygmunt Wróblewski and Karol Olszewski. Scottish chemist and physicist James Dewar and Dutch physicist Heike Kamerlingh Onnes took on the challenge to liquefy the remaining gases, hydrogen and helium. In 1898, after 20 years of effort, Dewar was the first to liquefy hydrogen, reaching a new low-temperature record of . However, Kamerlingh Onnes, his rival, was the first to liquefy helium, in 1908, using several precooling stages and the Hampson–Linde cycle. He lowered the temperature to the boiling point of helium . By reducing the pressure of the liquid helium, he achieved an even lower temperature, near 1.5 K. These were the coldest temperatures achieved on Earth at the time and his achievement earned him the Nobel Prize in 1913. Kamerlingh Onnes would continue to study the properties of materials at temperatures near absolute zero, describing superconductivity and superfluids for the first time. Very low temperatures The average temperature of the universe today is approximately , or about −270.42 °C, based on measurements of cosmic microwave background radiation. Standard models of the future expansion of the universe predict that the average temperature of the universe is decreasing over time. This temperature is calculated as the mean density of energy in space; it should not be confused with the mean electron temperature (total energy divided by particle count) which has increased over time. Absolute zero cannot be achieved, although it is possible to reach temperatures close to it through the use of evaporative cooling, cryocoolers, dilution refrigerators, and nuclear adiabatic demagnetization. The use of laser cooling has produced temperatures of less than a billionth of a kelvin. At very low temperatures in the vicinity of absolute zero, matter exhibits many unusual properties, including superconductivity, superfluidity, and Bose–Einstein condensation. To study such phenomena, scientists have worked to obtain even lower temperatures. In November 2000, nuclear spin temperatures below 100 pK were reported for an experiment at the Helsinki University of Technology's Low Temperature Lab in Espoo, Finland. However, this was the temperature of one particular degree of freedom—a quantum property called nuclear spin—not the overall average thermodynamic temperature for all possible degrees in freedom. In February 2003, the Boomerang Nebula was observed to have been releasing gases at a speed of for the last 1,500 years. This has cooled it down to approximately 1 K, as deduced by astronomical observation, which is the lowest natural temperature ever recorded. In November 2003, 90377 Sedna was discovered and is one of the coldest known objects in the Solar System. With an average surface temperature of -400°F (-240°C), due to its extremely far orbit of 903 astronomical units. In May 2005, the European Space Agency proposed research in space to achieve femtokelvin temperatures. In May 2006, the Institute of Quantum Optics at the University of Hannover gave details of technologies and benefits of femtokelvin research in space. In January 2013, physicist Ulrich Schneider of the University of Munich in Germany reported to have achieved temperatures formally below absolute zero ("negative temperature") in gases. The gas is artificially forced out of equilibrium into a high potential energy state, which is, however, cold. When it then emits radiation it approaches the equilibrium, and can continue emitting despite reaching formal absolute zero; thus, the temperature is formally negative. In September 2014, scientists in the CUORE collaboration at the Laboratori Nazionali del Gran Sasso in Italy cooled a copper vessel with a volume of one cubic meter to for 15 days, setting a record for the lowest temperature in the known universe over such a large contiguous volume. In June 2015, experimental physicists at MIT cooled molecules in a gas of sodium potassium to a temperature of 500 nanokelvin, and it is expected to exhibit an exotic state of matter by cooling these molecules somewhat further. In 2017, Cold Atom Laboratory (CAL), an experimental instrument was developed for launch to the International Space Station (ISS) in 2018. The instrument has created extremely cold conditions in the microgravity environment of the ISS leading to the formation of Bose–Einstein condensates. In this space-based laboratory, temperatures as low as 1 picokelvin (10−12 K) are projected to be achievable, and it could further the exploration of unknown quantum mechanical phenomena and test some of the most fundamental laws of physics. The current world record for effective temperatures was set in 2021 at 38 picokelvin (pK), or 0.000000000038 of a kelvin, through matter-wave lensing of rubidium Bose–Einstein condensates. See also Kelvin (unit of temperature) Charles's law Heat International Temperature Scale of 1990 Orders of magnitude (temperature) Thermodynamic temperature Triple point Ultracold atom Kinetic energy Entropy Planck temperature and Hagedorn temperature, hypothetical upper limits to the thermodynamic temperature scale References Further reading BIPM Mise en pratique - Kelvin - Appendix 2 - SI Brochure External links "Absolute zero": a two part NOVA episode originally aired January 2008 "What is absolute zero?" Lansing State Journal Cold Cryogenics Temperature
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https://en.wikipedia.org/wiki/Adiabatic%20process
Adiabatic process
In thermodynamics, an adiabatic process (Greek: adiábatos, "impassable") is a type of thermodynamic process that occurs without transferring heat or mass between the thermodynamic system and its environment. Unlike an isothermal process, an adiabatic process transfers energy to the surroundings only as work. As a key concept in thermodynamics, the adiabatic process supports the theory that explains the first law of thermodynamics. Some chemical and physical processes occur too rapidly for energy to enter or leave the system as heat, allowing a convenient "adiabatic approximation". For example, the adiabatic flame temperature uses this approximation to calculate the upper limit of flame temperature by assuming combustion loses no heat to its surroundings. In meteorology and oceanography, adiabatic expanding produces condensation of moisture or salinity, oversaturating the parcel. Therefore, the excess must be removed. There, the process becomes a pseudo-adiabatic process whereby the liquid water or salt that condenses is assumed to be removed upon formation by idealized instantaneous precipitation. The pseudoadiabatic process is only defined for expansion because a compressed parcel becomes warmer and remains undersaturated. Description A process without transfer of heat to or from a system, so that , is called adiabatic, and such a system is said to be adiabatically isolated. The simplifying assumption frequently made is that a process is adiabatic. For example, the compression of a gas within a cylinder of an engine is assumed to occur so rapidly that on the time scale of the compression process, little of the system's energy can be transferred out as heat to the surroundings. Even though the cylinders are not insulated and are quite conductive, that process is idealized to be adiabatic. The same can be said to be true for the expansion process of such a system. The assumption of adiabatic isolation is useful and often combined with other such idealizations to calculate a good first approximation of a system's behaviour. For example, according to Laplace, when sound travels in a gas, there is no time for heat conduction in the medium, and so the propagation of sound is adiabatic. For such an adiabatic process, the modulus of elasticity (Young's modulus) can be expressed as , where is the ratio of specific heats at constant pressure and at constant volume () and is the pressure of the gas. Various applications of the adiabatic assumption For a closed system, one may write the first law of thermodynamics as , where denotes the change of the system's internal energy, the quantity of energy added to it as heat, and the work done by the system on its surroundings. If the system has such rigid walls that work cannot be transferred in or out (), and the walls are not adiabatic and energy is added in the form of heat (), and there is no phase change, then the temperature of the system will rise. If the system has such rigid walls that pressure–volume work cannot be done, but the walls are adiabatic (), and energy is added as isochoric (constant volume) work in the form of friction or the stirring of a viscous fluid within the system (), and there is no phase change, then the temperature of the system will rise. If the system walls are adiabatic () but not rigid (), and, in a fictive idealized process, energy is added to the system in the form of frictionless, non-viscous pressure–volume work (), and there is no phase change, then the temperature of the system will rise. Such a process is called an isentropic process and is said to be "reversible". Ideally, if the process were reversed the energy could be recovered entirely as work done by the system. If the system contains a compressible gas and is reduced in volume, the uncertainty of the position of the gas is reduced, and seemingly would reduce the entropy of the system, but the temperature of the system will rise as the process is isentropic (). Should the work be added in such a way that friction or viscous forces are operating within the system, then the process is not isentropic, and if there is no phase change, then the temperature of the system will rise, the process is said to be "irreversible", and the work added to the system is not entirely recoverable in the form of work. If the walls of a system are not adiabatic, and energy is transferred in as heat, entropy is transferred into the system with the heat. Such a process is neither adiabatic nor isentropic, having , and according to the second law of thermodynamics. Naturally occurring adiabatic processes are irreversible (entropy is produced). The transfer of energy as work into an adiabatically isolated system can be imagined as being of two idealized extreme kinds. In one such kind, no entropy is produced within the system (no friction, viscous dissipation, etc.), and the work is only pressure-volume work (denoted by ). In nature, this ideal kind occurs only approximately because it demands an infinitely slow process and no sources of dissipation. The other extreme kind of work is isochoric work (), for which energy is added as work solely through friction or viscous dissipation within the system. A stirrer that transfers energy to a viscous fluid of an adiabatically isolated system with rigid walls, without phase change, will cause a rise in temperature of the fluid, but that work is not recoverable. Isochoric work is irreversible. The second law of thermodynamics observes that a natural process, of transfer of energy as work, always consists at least of isochoric work and often both of these extreme kinds of work. Every natural process, adiabatic or not, is irreversible, with , as friction or viscosity are always present to some extent. Adiabatic compression and expansion The adiabatic compression of a gas causes a rise in temperature of the gas. Adiabatic expansion against pressure, or a spring, causes a drop in temperature. In contrast, free expansion is an isothermal process for an ideal gas. Adiabatic compression occurs when the pressure of a gas is increased by work done on it by its surroundings, e.g., a piston compressing a gas contained within a cylinder and raising the temperature where in many practical situations heat conduction through walls can be slow compared with the compression time. This finds practical application in diesel engines which rely on the lack of heat dissipation during the compression stroke to elevate the fuel vapor temperature sufficiently to ignite it. Adiabatic compression occurs in the Earth's atmosphere when an air mass descends, for example, in a Katabatic wind, Foehn wind, or Chinook wind flowing downhill over a mountain range. When a parcel of air descends, the pressure on the parcel increases. Because of this increase in pressure, the parcel's volume decreases and its temperature increases as work is done on the parcel of air, thus increasing its internal energy, which manifests itself by a rise in the temperature of that mass of air. The parcel of air can only slowly dissipate the energy by conduction or radiation (heat), and to a first approximation it can be considered adiabatically isolated and the process an adiabatic process. Adiabatic expansion occurs when the pressure on an adiabatically isolated system is decreased, allowing it to expand in size, thus causing it to do work on its surroundings. When the pressure applied on a parcel of gas is reduced, the gas in the parcel is allowed to expand; as the volume increases, the temperature falls as its internal energy decreases. Adiabatic expansion occurs in the Earth's atmosphere with orographic lifting and lee waves, and this can form pilei or lenticular clouds. Due in part to adiabatic expansion in mountainous areas, snowfall infrequently occurs in some parts of the Sahara desert. Adiabatic expansion does not have to involve a fluid. One technique used to reach very low temperatures (thousandths and even millionths of a degree above absolute zero) is via adiabatic demagnetisation, where the change in magnetic field on a magnetic material is used to provide adiabatic expansion. Also, the contents of an expanding universe can be described (to first order) as an adiabatically expanding fluid. (See heat death of the universe.) Rising magma also undergoes adiabatic expansion before eruption, particularly significant in the case of magmas that rise quickly from great depths such as kimberlites. In the Earth's convecting mantle (the asthenosphere) beneath the lithosphere, the mantle temperature is approximately an adiabat. The slight decrease in temperature with shallowing depth is due to the decrease in pressure the shallower the material is in the Earth. Such temperature changes can be quantified using the ideal gas law, or the hydrostatic equation for atmospheric processes. In practice, no process is truly adiabatic. Many processes rely on a large difference in time scales of the process of interest and the rate of heat dissipation across a system boundary, and thus are approximated by using an adiabatic assumption. There is always some heat loss, as no perfect insulators exist. Ideal gas (reversible process) The mathematical equation for an ideal gas undergoing a reversible (i.e., no entropy generation) adiabatic process can be represented by the polytropic process equation where is pressure, is volume, and is the adiabatic index or heat capacity ratio defined as Here is the specific heat for constant pressure, is the specific heat for constant volume, and is the number of degrees of freedom (3 for a monatomic gas, 5 for a diatomic gas or a gas of linear molecules such as carbon dioxide). For a monatomic ideal gas, , and for a diatomic gas (such as nitrogen and oxygen, the main components of air), . Note that the above formula is only applicable to classical ideal gases (that is, gases far above absolute zero temperature) and not Bose–Einstein or Fermi gases. One can also use the ideal gas law to rewrite the above relationship between and as where T is the absolute or thermodynamic temperature. Example of adiabatic compression The compression stroke in a gasoline engine can be used as an example of adiabatic compression. The model assumptions are: the uncompressed volume of the cylinder is one litre (1 L = 1000 cm3 = 0.001 m3); the gas within is the air consisting of molecular nitrogen and oxygen only (thus a diatomic gas with 5 degrees of freedom, and so ); the compression ratio of the engine is 10:1 (that is, the 1 L volume of uncompressed gas is reduced to 0.1 L by the piston); and the uncompressed gas is at approximately room temperature and pressure (a warm room temperature of ~27 °C, or 300 K, and a pressure of 1 bar = 100 kPa, i.e. typical sea-level atmospheric pressure). so the adiabatic constant for this example is about 6.31 Pa m4.2. The gas is now compressed to a 0.1 L (0.0001 m3) volume, which we assume happens quickly enough that no heat enters or leaves the gas through the walls. The adiabatic constant remains the same, but with the resulting pressure unknown We can now solve for the final pressure or 25.1 bar. This pressure increase is more than a simple 10:1 compression ratio would indicate; this is because the gas is not only compressed, but the work done to compress the gas also increases its internal energy, which manifests itself by a rise in the gas temperature and an additional rise in pressure above what would result from a simplistic calculation of 10 times the original pressure. We can solve for the temperature of the compressed gas in the engine cylinder as well, using the ideal gas law, PV = nRT (n is amount of gas in moles and R the gas constant for that gas). Our initial conditions being 100 kPa of pressure, 1 L volume, and 300 K of temperature, our experimental constant (nR) is: We know the compressed gas has  = 0.1 L and  = , so we can solve for temperature: That is a final temperature of 753 K, or 479 °C, or 896 °F, well above the ignition point of many fuels. This is why a high-compression engine requires fuels specially formulated to not self-ignite (which would cause engine knocking when operated under these conditions of temperature and pressure), or that a supercharger with an intercooler to provide a pressure boost but with a lower temperature rise would be advantageous. A diesel engine operates under even more extreme conditions, with compression ratios of 16:1 or more being typical, in order to provide a very high gas pressure, which ensures immediate ignition of the injected fuel. Adiabatic free expansion of a gas For an adiabatic free expansion of an ideal gas, the gas is contained in an insulated container and then allowed to expand in a vacuum. Because there is no external pressure for the gas to expand against, the work done by or on the system is zero. Since this process does not involve any heat transfer or work, the first law of thermodynamics then implies that the net internal energy change of the system is zero. For an ideal gas, the temperature remains constant because the internal energy only depends on temperature in that case. Since at constant temperature, the entropy is proportional to the volume, the entropy increases in this case, therefore this process is irreversible. Derivation of P–V relation for adiabatic compression and expansion The definition of an adiabatic process is that heat transfer to the system is zero, . Then, according to the first law of thermodynamics, where is the change in the internal energy of the system and is work done by the system. Any work () done must be done at the expense of internal energy , since no heat is being supplied from the surroundings. Pressure–volume work done by the system is defined as However, does not remain constant during an adiabatic process but instead changes along with . It is desired to know how the values of and relate to each other as the adiabatic process proceeds. For an ideal gas (recall ideal gas law ) the internal energy is given by where is the number of degrees of freedom divided by 2, is the universal gas constant and is the number of moles in the system (a constant). Differentiating equation (a3) yields Equation (a4) is often expressed as because . Now substitute equations (a2) and (a4) into equation (a1) to obtain factorize : and divide both sides by : After integrating the left and right sides from to and from to and changing the sides respectively, Exponentiate both sides, substitute with , the heat capacity ratio and eliminate the negative sign to obtain Therefore, and At the same time, the work done by the pressure–volume changes as a result from this process, is equal to Since we require the process to be adiabatic, the following equation needs to be true By the previous derivation, Rearranging (b4) gives Substituting this into (b2) gives Integrating we obtain the expression for work, Substituting in second term, Rearranging, Using the ideal gas law and assuming a constant molar quantity (as often happens in practical cases), By the continuous formula, or Substituting into the previous expression for , Substituting this expression and (b1) in (b3) gives Simplifying, Derivation of discrete formula and work expression The change in internal energy of a system, measured from state 1 to state 2, is equal to At the same time, the work done by the pressure–volume changes as a result from this process, is equal to Since we require the process to be adiabatic, the following equation needs to be true By the previous derivation, Rearranging (c4) gives Substituting this into (c2) gives Integrating we obtain the expression for work, Substituting in second term, Rearranging, Using the ideal gas law and assuming a constant molar quantity (as often happens in practical cases), By the continuous formula, or Substituting into the previous expression for , Substituting this expression and (c1) in (c3) gives Simplifying, Graphing adiabats An adiabat is a curve of constant entropy in a diagram. Some properties of adiabats on a P–V diagram are indicated. These properties may be read from the classical behaviour of ideal gases, except in the region where PV becomes small (low temperature), where quantum effects become important. Every adiabat asymptotically approaches both the V axis and the P axis (just like isotherms). Each adiabat intersects each isotherm exactly once. An adiabat looks similar to an isotherm, except that during an expansion, an adiabat loses more pressure than an isotherm, so it has a steeper inclination (more vertical). If isotherms are concave towards the north-east direction (45°), then adiabats are concave towards the east north-east (31°). If adiabats and isotherms are graphed at regular intervals of entropy and temperature, respectively (like altitude on a contour map), then as the eye moves towards the axes (towards the south-west), it sees the density of isotherms stay constant, but it sees the density of adiabats grow. The exception is very near absolute zero, where the density of adiabats drops sharply and they become rare (see Nernst's theorem). The right diagram is a P–V diagram with a superposition of adiabats and isotherms: The isotherms are the red curves and the adiabats are the black curves. The adiabats are isentropic. Volume is the horizontal axis and pressure is the vertical axis. Etymology The term adiabatic () is an anglicization of the Greek term ἀδιάβατος "impassable" (used by Xenophon of rivers). It is used in the thermodynamic sense by Rankine (1866), and adopted by Maxwell in 1871 (explicitly attributing the term to Rankine). The etymological origin corresponds here to an impossibility of transfer of energy as heat and of transfer of matter across the wall. The Greek word ἀδιάβατος is formed from privative ἀ- ("not") and διαβατός, "passable", in turn deriving from διά ("through"), and βαῖνειν ("to walk, go, come"). Conceptual significance in thermodynamic theory The adiabatic process has been important for thermodynamics since its early days. It was important in the work of Joule because it provided a way of nearly directly relating quantities of heat and work. Energy can enter or leave a thermodynamic system enclosed by walls that prevent mass transfer only as heat or work. Therefore, a quantity of work in such a system can be related almost directly to an equivalent quantity of heat in a cycle of two limbs. The first limb is an isochoric adiabatic work process increasing the system's internal energy; the second, an isochoric and workless heat transfer returning the system to its original state. Accordingly, Rankine measured quantity of heat in units of work, rather than as a calorimetric quantity. In 1854, Rankine used a quantity that he called "the thermodynamic function" that later was called entropy, and at that time he wrote also of the "curve of no transmission of heat", which he later called an adiabatic curve. Besides its two isothermal limbs, Carnot's cycle has two adiabatic limbs. For the foundations of thermodynamics, the conceptual importance of this was emphasized by Bryan, by Carathéodory, and by Born. The reason is that calorimetry presupposes a type of temperature as already defined before the statement of the first law of thermodynamics, such as one based on empirical scales. Such a presupposition involves making the distinction between empirical temperature and absolute temperature. Rather, the definition of absolute thermodynamic temperature is best left till the second law is available as a conceptual basis. In the eighteenth century, the law of conservation of energy was not yet fully formulated or established, and the nature of heat was debated. One approach to these problems was to regard heat, measured by calorimetry, as a primary substance that is conserved in quantity. By the middle of the nineteenth century, it was recognized as a form of energy, and the law of conservation of energy was thereby also recognized. The view that eventually established itself, and is currently regarded as right, is that the law of conservation of energy is a primary axiom, and that heat is to be analyzed as consequential. In this light, heat cannot be a component of the total energy of a single body because it is not a state variable but, rather, a variable that describes a transfer between two bodies. The adiabatic process is important because it is a logical ingredient of this current view. Divergent usages of the word adiabatic This present article is written from the viewpoint of macroscopic thermodynamics, and the word adiabatic is used in this article in the traditional way of thermodynamics, introduced by Rankine. It is pointed out in the present article that, for example, if a compression of a gas is rapid, then there is little time for heat transfer to occur, even when the gas is not adiabatically isolated by a definite wall. In this sense, a rapid compression of a gas is sometimes approximately or loosely said to be adiabatic, though often far from isentropic, even when the gas is not adiabatically isolated by a definite wall. Quantum mechanics and quantum statistical mechanics, however, use the word adiabatic in a very different sense, one that can at times seem almost opposite to the classical thermodynamic sense. In quantum theory, the word adiabatic can mean something perhaps near isentropic, or perhaps near quasi-static, but the usage of the word is very different between the two disciplines. On the one hand, in quantum theory, if a perturbative element of compressive work is done almost infinitely slowly (that is to say quasi-statically), it is said to have been done adiabatically. The idea is that the shapes of the eigenfunctions change slowly and continuously, so that no quantum jump is triggered, and the change is virtually reversible. While the occupation numbers are unchanged, nevertheless there is change in the energy levels of one-to-one corresponding, pre- and post-compression, eigenstates. Thus a perturbative element of work has been done without heat transfer and without introduction of random change within the system. For example, Max Born writes "Actually, it is usually the 'adiabatic' case with which we have to do: i.e. the limiting case where the external force (or the reaction of the parts of the system on each other) acts very slowly. In this case, to a very high approximation that is, there is no probability for a transition, and the system is in the initial state after cessation of the perturbation. Such a slow perturbation is therefore reversible, as it is classically." On the other hand, in quantum theory, if a perturbative element of compressive work is done rapidly, it changes the occupation numbers and energies of the eigenstates in proportion to the transition moment integral and in accordance with time-dependent perturbation theory, as well as perturbing the functional form of the eigenstates themselves. In that theory, such a rapid change is said not to be adiabatic, and the contrary word diabatic is applied to it. Recent research suggests that the power absorbed from the perturbation corresponds to the rate of these non-adiabatic transitions. This corresponds to the classical process of energy transfer in the form of heat, but with the relative time scales reversed in the quantum case. Quantum adiabatic processes occur over relatively long time scales, while classical adiabatic processes occur over relatively short time scales. It should also be noted that the concept of 'heat' (in reference to the quantity of thermal energy transferred) breaks down at the quantum level, and the specific form of energy (typically electromagnetic) must be considered instead. The small or negligible absorption of energy from the perturbation in a quantum adiabatic process provides a good justification for identifying it as the quantum analogue of adiabatic processes in classical thermodynamics, and for the reuse of the term. Furthermore, in atmospheric thermodynamics, a diabatic process is one in which heat is exchanged. In classical thermodynamics, such a rapid change would still be called adiabatic because the system is adiabatically isolated, and there is no transfer of energy as heat. The strong irreversibility of the change, due to viscosity or other entropy production, does not impinge on this classical usage. Thus for a mass of gas, in macroscopic thermodynamics, words are so used that a compression is sometimes loosely or approximately said to be adiabatic if it is rapid enough to avoid significant heat transfer, even if the system is not adiabatically isolated. But in quantum statistical theory, a compression is not called adiabatic if it is rapid, even if the system is adiabatically isolated in the classical thermodynamic sense of the term. The words are used differently in the two disciplines, as stated just above. See also Fire piston Heat burst Related physics topics First law of thermodynamics Entropy (classical thermodynamics) Adiabatic conductivity Adiabatic lapse rate Total air temperature Magnetic refrigeration Berry phase Related thermodynamic processes Cyclic process Isobaric process Isenthalpic process Isentropic process Isochoric process Isothermal process Polytropic process Quasistatic process References General Nave, Carl Rod. "Adiabatic Processes". HyperPhysics. Thorngren, Dr. Jane R.. "Adiabatic Processes". Daphne – A Palomar College Web Server., 21 July 1995.. External links Article in HyperPhysics Encyclopaedia Thermodynamic processes Atmospheric thermodynamics Entropy
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https://en.wikipedia.org/wiki/Animism
Animism
Animism (from Latin: meaning 'breath, spirit, life') is the belief that objects, places, and creatures all possess a distinct spiritual essence. Animism perceives all things—animals, plants, rocks, rivers, weather systems, human handiwork, and in some cases words—as animated and alive. Animism is used in anthropology of religion as a term for the belief system of many Indigenous peoples in contrast to the relatively more recent development of organized religions. Animism focuses on the metaphysical universe; specifically, on the concept of the immaterial soul. Although each culture has its own mythologies and rituals, animism is said to describe the most common, foundational thread of indigenous peoples' "spiritual" or "supernatural" perspectives. The animistic perspective is so widely held and inherent to most indigenous peoples that they often do not even have a word in their languages that corresponds to "animism" (or even "religion"). The term "animism" is an anthropological construct. Largely due to such ethnolinguistic and cultural discrepancies, opinions differ on whether animism refers to an ancestral mode of experience common to indigenous peoples around the world or to a full-fledged religion in its own right. The currently accepted definition of animism was only developed in the late 19th century (1871) by Edward Tylor. It is "one of anthropology's earliest concepts, if not the first." Animism encompasses beliefs that all material phenomena have agency, that there exists no categorical distinction between the spiritual and physical world, and that soul, spirit, or sentience exists not only in humans but also in other animals, plants, rocks, geographic features (such as mountains and rivers), and other entities of the natural environment. Examples include water sprites, vegetation deities, and tree spirits, among others. Animism may further attribute a life force to abstract concepts such as words, true names, or metaphors in mythology. Some members of the non-tribal world also consider themselves animists, such as author Daniel Quinn, sculptor Lawson Oyekan, and many contemporary Pagans. Etymology English anthropologist Sir Edward Tylor initially wanted to describe the phenomenon as spiritualism, but he realized that it would cause confusion with the modern religion of spiritualism, which was then prevalent across Western nations. He adopted the term animism from the writings of German scientist Georg Ernst Stahl, who had developed the term in 1708 as a biological theory that souls formed the vital principle, and that the normal phenomena of life and the abnormal phenomena of disease could be traced to spiritual causes. The origin of the word comes from the Latin word anima, which means life or soul. The first known usage in English appeared in 1819. "Old animism" definitions Earlier anthropological perspectives, which have since been termed the old animism, were concerned with knowledge on what is alive and what factors make something alive. The old animism assumed that animists were individuals who were unable to understand the difference between persons and things. Critics of the old animism have accused it of preserving "colonialist and dualistic worldviews and rhetoric." Edward Tylor's definition The idea of animism was developed by anthropologist Sir Edward Tylor through his 1871 book Primitive Culture, in which he defined it as "the general doctrine of souls and other spiritual beings in general." According to Tylor, animism often includes "an idea of pervading life and will in nature;" a belief that natural objects other than humans have souls. This formulation was little different from that proposed by Auguste Comte as "fetishism", but the terms now have distinct meanings. For Tylor, animism represented the earliest form of religion, being situated within an evolutionary framework of religion that has developed in stages and which will ultimately lead to humanity rejecting religion altogether in favor of scientific rationality. Thus, for Tylor, animism was fundamentally seen as a mistake, a basic error from which all religions grew. He did not believe that animism was inherently illogical, but he suggested that it arose from early humans' dreams and visions and thus was a rational system. However, it was based on erroneous, unscientific observations about the nature of reality. Stringer notes that his reading of Primitive Culture led him to believe that Tylor was far more sympathetic in regard to "primitive" populations than many of his contemporaries and that Tylor expressed no belief that there was any difference between the intellectual capabilities of "savage" people and Westerners. The idea that there had once been "one universal form of primitive religion" (whether labelled animism, totemism, or shamanism) has been dismissed as "unsophisticated" and "erroneous" by archaeologist Timothy Insoll, who stated that "it removes complexity, a precondition of religion now, in all its variants." Social evolutionist conceptions Tylor's definition of animism was part of a growing international debate on the nature of "primitive society" by lawyers, theologians, and philologists. The debate defined the field of research of a new science: anthropology. By the end of the 19th century, an orthodoxy on "primitive society" had emerged, but few anthropologists still would accept that definition. The "19th-century armchair anthropologists" argued that "primitive society" (an evolutionary category) was ordered by kinship and divided into exogamous descent groups related by a series of marriage exchanges. Their religion was animism, the belief that natural species and objects had souls. With the development of private property, the descent groups were displaced by the emergence of the territorial state. These rituals and beliefs eventually evolved over time into the vast array of "developed" religions. According to Tylor, as society became more scientifically advanced, fewer members of that society would believe in animism. However, any remnant ideologies of souls or spirits, to Tylor, represented "survivals" of the original animism of early humanity. Confounding animism with totemism In 1869 (three years after Tylor proposed his definition of animism), Edinburgh lawyer John Ferguson McLennan, argued that the animistic thinking evident in fetishism gave rise to a religion he named totemism. Primitive people believed, he argued, that they were descended from the same species as their totemic animal. Subsequent debate by the "armchair anthropologists" (including J. J. Bachofen, Émile Durkheim, and Sigmund Freud) remained focused on totemism rather than animism, with few directly challenging Tylor's definition. Anthropologists "have commonly avoided the issue of animism and even the term itself, rather than revisit this prevalent notion in light of their new and rich ethnographies." According to anthropologist Tim Ingold, animism shares similarities with totemism but differs in its focus on individual spirit beings which help to perpetuate life, whereas totemism more typically holds that there is a primary source, such as the land itself or the ancestors, who provide the basis to life. Certain indigenous religious groups such as the Australian Aboriginals are more typically totemic in their worldview, whereas others like the Inuit are more typically animistic. From his studies into child development, Jean Piaget suggested that children were born with an innate animist worldview in which they anthropomorphized inanimate objects and that it was only later that they grew out of this belief. Conversely, from her ethnographic research, Margaret Mead argued the opposite, believing that children were not born with an animist worldview but that they became acculturated to such beliefs as they were educated by their society. Stewart Guthrie saw animism—or "attribution" as he preferred it—as an evolutionary strategy to aid survival. He argued that both humans and other animal species view inanimate objects as potentially alive as a means of being constantly on guard against potential threats. His suggested explanation, however, did not deal with the question of why such a belief became central to the religion. In 2000, Guthrie suggested that the "most widespread" concept of animism was that it was the "attribution of spirits to natural phenomena such as stones and trees." "New animism" non-archaic definitions Many anthropologists ceased using the term animism, deeming it to be too close to early anthropological theory and religious polemic. However, the term had also been claimed by religious groups—namely, Indigenous communities and nature worshippers—who felt that it aptly described their own beliefs, and who in some cases actively identified as "animists." It was thus readopted by various scholars, who began using the term in a different way, placing the focus on knowing how to behave toward other beings, some of whom are not human. As religious studies scholar Graham Harvey stated, while the "old animist" definition had been problematic, the term animism was nevertheless "of considerable value as a critical, academic term for a style of religious and cultural relating to the world." Hallowell and the Ojibwe The new animism emerged largely from the publications of anthropologist Irving Hallowell, produced on the basis of his ethnographic research among the Ojibwe communities of Canada in the mid-20th century. For the Ojibwe encountered by Hallowell, personhood did not require human-likeness, but rather humans were perceived as being like other persons, who for instance included rock persons and bear persons. For the Ojibwe, these persons were each willful beings, who gained meaning and power through their interactions with others; through respectfully interacting with other persons, they themselves learned to "act as a person". Hallowell's approach to the understanding of Ojibwe personhood differed strongly from prior anthropological concepts of animism. He emphasized the need to challenge the modernist, Western perspectives of what a person is, by entering into a dialogue with different worldwide views. Hallowell's approach influenced the work of anthropologist Nurit Bird-David, who produced a scholarly article reassessing the idea of animism in 1999. Seven comments from other academics were provided in the journal, debating Bird-David's ideas. Postmodern anthropology More recently, postmodern anthropologists are increasingly engaging with the concept of animism. Modernism is characterized by a Cartesian subject-object dualism that divides the subjective from the objective, and culture from nature. In the modernist view, animism is the inverse of scientism, and hence, is deemed inherently invalid by some anthropologists. Drawing on the work of Bruno Latour, some anthropologists question modernist assumptions and theorize that all societies continue to "animate" the world around them. In contrast to Tylor's reasoning, however, this "animism" is considered to be more than just a remnant of primitive thought. More specifically, the "animism" of modernity is characterized by humanity's "professional subcultures", as in the ability to treat the world as a detached entity within a delimited sphere of activity. Human beings continue to create personal relationships with elements of the aforementioned objective world, such as pets, cars, or teddy bears, which are recognized as subjects. As such, these entities are "approached as communicative subjects rather than the inert objects perceived by modernists." These approaches aim to avoid the modernist assumption that the environment consists of a physical world distinct from the world of humans, as well as the modernist conception of the person being composed dualistically of a body and a soul. Nurit Bird-David argues that: She explains that animism is a "relational epistemology" rather than a failure of primitive reasoning. That is, self-identity among animists is based on their relationships with others, rather than any distinctive features of the "self". Instead of focusing on the essentialized, modernist self (the "individual"), persons are viewed as bundles of social relationships ("dividuals"), some of which include "superpersons" (i.e. non-humans). Stewart Guthrie expressed criticism of Bird-David's attitude towards animism, believing that it promulgated the view that "the world is in large measure whatever our local imagination makes it." This, he felt, would result in anthropology abandoning "the scientific project." Like Bird-David, Tim Ingold argues that animists do not see themselves as separate from their environment: Rane Willerslev extends the argument by noting that animists reject this Cartesian dualism and that the animist self identifies with the world, "feeling at once within and apart from it so that the two glide ceaselessly in and out of each other in a sealed circuit". The animist hunter is thus aware of himself as a human hunter, but, through mimicry, is able to assume the viewpoint, senses, and sensibilities of his prey, to be one with it. Shamanism, in this view, is an everyday attempt to influence spirits of ancestors and animals, by mirroring their behaviors, as the hunter does its prey. Ethical and ecological understanding Cultural ecologist and philosopher David Abram proposed an ethical and ecological understanding of animism, grounded in the phenomenology of sensory experience. In his books The Spell of the Sensuous and Becoming Animal, Abram suggests that material things are never entirely passive in our direct perceptual experience, holding rather that perceived things actively "solicit our attention" or "call our focus," coaxing the perceiving body into an ongoing participation with those things. In the absence of intervening technologies, he suggests that sensory experience is inherently animistic in that it discloses a material field that is animate and self-organizing from the beginning. David Abram used contemporary cognitive and natural science, as well as the perspectival worldviews of diverse indigenous oral cultures, Abram proposed a richly pluralist and story-based cosmology in which matter is alive. He suggested that such a relational ontology is in close accord with humanity's spontaneous perceptual experience by drawing attention to the senses, and to the primacy of sensuous terrain, enjoining a more respectful and ethical relation to the more-than-human community of animals, plants, soils, mountains, waters, and weather-patterns that materially sustains humanity. In contrast to a long-standing tendency in the Western social sciences, which commonly provide rational explanations of animistic experience, Abram develops an animistic account of reason itself. He holds that civilised reason is sustained only by intensely animistic participation between human beings and their own written signs. For instance, as soon as someone reads letters on a page or screen, they can "see what it says"—the letters speak as much as nature spoke to pre-literate peoples. Reading can usefully be understood as an intensely concentrated form of animism, one that effectively eclipses all of the other, older, more spontaneous forms of animistic participation in which humans were once engaged. Relation to the concept of 'I-thou' Religious studies scholar Graham Harvey defined animism as the belief "that the world is full of persons, only some of whom are human, and that life is always lived in relationship with others." He added that it is therefore "concerned with learning how to be a good person in respectful relationships with other persons." In his Handbook of Contemporary Animism (2013), Harvey identifies the animist perspective in line with Martin Buber's "I-thou" as opposed to "I-it". In such, Harvey says, the animist takes an I-thou approach to relating to the world, whereby objects and animals are treated as a "thou", rather than as an "it". Religion There is ongoing disagreement (and no general consensus) as to whether animism is merely a singular, broadly encompassing religious belief or a worldview in and of itself, comprising many diverse mythologies found worldwide in many diverse cultures. This also raises a controversy regarding the ethical claims animism may or may not make: whether animism ignores questions of ethics altogether; or, by endowing various non-human elements of nature with spirituality or personhood, it in fact promotes a complex ecological ethics. Concepts Distinction from pantheism Animism is not the same as pantheism, although the two are sometimes confused. Moreover, some religions are both pantheistic and animistic. One of the main differences is that while animists believe everything to be spiritual in nature, they do not necessarily see the spiritual nature of everything in existence as being united (monism) the way pantheists do. As a result, animism puts more emphasis on the uniqueness of each individual soul. In pantheism, everything shares the same spiritual essence, rather than having distinct spirits or souls. For example, Giordano Bruno equated the world soul with God and espoused a pantheistic animism. Fetishism / totemism In many animistic world views, the human being is often regarded as on a roughly equal footing with other animals, plants, and natural forces. African indigenous religions Traditional African religions: most religious traditions of Sub-Saharan Africa are basically a complex form of animism with polytheistic and shamanistic elements and ancestor worship. In East Africa the Kerma culture display Animistic elements similar to other Traditional African religions. In contrast, the later polytheistic Napatan and Meroitic periods, with displays of animals in Amulets and the esteemed antiques of Lions, appear to be an Animistic culture rather than a polytheistic culture. The Kermans likely treated Jebel Barkal as a special sacred site, and passed it on to the Kushites and Egyptians who venerated the mesa. In North Africa, the traditional Berber religion includes the traditional polytheistic, animist, and in some rare cases, shamanistic, religions of the Berber people. Asian origin religions Indian-origin religions In the Indian-origin religions, namely Hinduism, Buddhism, Jainism, and Sikhism, the animistic aspects of nature worship and ecological conservation are part of the core belief system. Matsya Purana, a Hindu text, has a Sanskrit language shloka (hymn), which explains the importance of reverence of ecology. It states, "A pond equals ten wells, a reservoir equals ten ponds, while a son equals ten reservoirs, and a tree equals ten sons." Indian religions worship trees such as the Bodhi Tree and numerous superlative banyan trees, conserve the sacred groves of India, revere the rivers as sacred, and worship the mountains and their ecology. Panchavati are the sacred trees in Indic religions, which are sacred groves containing five type of trees, usually chosen from among the Vata (Ficus benghalensis, Banyan), Ashvattha (Ficus religiosa, Peepal), Bilva (Aegle marmelos, Bengal Quince), Amalaki (Phyllanthus emblica, Indian Gooseberry, Amla), Ashoka (Saraca asoca, Ashok), Udumbara (Ficus racemosa, Cluster Fig, Gular), Nimba (Azadirachta indica, Neem) and Shami (Prosopis spicigera, Indian Mesquite). The banyan is considered holy in several religious traditions of India. The Ficus benghalensis is the national tree of India. Vat Purnima is a Hindu festival related to the banyan tree, and is observed by married women in North India and in the Western Indian states of Maharashtra, Goa, Gujarat. For three days of the month of Jyeshtha in the Hindu calendar (which falls in May–June in the Gregorian calendar) married women observe a fast, tie threads around a banyan tree, and pray for the well-being of their husbands. Thimmamma Marrimanu, sacred to Indian religions, has branches spread over five acres and was listed as the world's largest banyan tree in the Guinness World Records in 1989. In Hinduism, the leaf of the banyan tree is said to be the resting place for the god Krishna. In the Bhagavat Gita, Krishna said, "There is a banyan tree which has its roots upward and its branches down, and the Vedic hymns are its leaves. One who knows this tree is the knower of the Vedas." (Bg 15.1) In Buddhism's Pali canon, the banyan (Pali: nigrodha) is referenced numerous times. Typical metaphors allude to the banyan's epiphytic nature, likening the banyan's supplanting of a host tree as comparable to the way sensual desire (kāma) overcomes humans. Mun (also known as Munism or Bongthingism) is the traditional polytheistic, animist, shamanistic, and syncretic religion of the Lepcha people. Chinese religions Shendao () is a term originated by Chinese folk religions influenced by, Mohist, Confucian and Taoist philosophy, referring to the divine order of nature or the Wuxing. Japan and Shinto Shinto is the traditional Japanese folk religion and has many animist aspects. The , a class of supernatural beings, are central to Shinto. All things, including natural forces and well-known geographical locations, are thought to be home to the kami. The kami are worshipped at kamidana household shrines, family shrines, and jinja public shrines. The Ryukyuan religion of the Ryukyu islands is distinct from Shinto, but shares similar characteristics. Kalash people Kalash people of Northern Pakistan follow an ancient animistic religion identified with an ancient form of Hinduism. Korea Muism, the native Korean belief, has many animist aspects. The various deities, called kwisin, are capable of interacting with humans and causing problems if they are not honoured appropriately. Philippines indigenous religions In the indigenous Philippine folk religions, pre-colonial religions of Philippines and Philippine mythology, animism is part of their core beliefs as demonstrated by the belief in Anito and Bathala as well as their conservation and veneration of sacred Indigenous Philippine shrines, forests, mountains and sacred grounds. Anito (lit. '[ancestor] spirit') refers to the various indigenous shamanistic folk religions of the Philippines, led by female or feminized male shamans known as babaylan. It includes belief in a spirit world existing alongside and interacting with the material world, as well as the belief that everything has a spirit, from rocks and trees to animals and humans to natural phenomena. In indigenous Filipino belief, the Bathala is the omnipotent deity which was derived from Sanskrit word for the Hindu supreme deity bhattara, as one of the ten avatars of the Hindu god Vishnu. The omnipotent Bathala also presides over the spirits of ancestors called Anito. Anitos serve as intermediaries between mortals and the divine, such as Agni (Hindu) who holds the access to divine realms; for this reason they are invoked first and are the first to receive offerings, regardless of the deity the worshipper wants to pray to. Abrahamic religions Animism also has influences in Abrahamic religions. The Old Testament and the Wisdom literature preach the omnipresence of God (Jeremiah 23:24; Proverbs 15:3; 1 Kings 8:27), and God is bodily present in the incarnation of his Son, Jesus Christ. (Gospel of John 1:14, Colossians 2:9). Animism is not peripheral to Christian identity but is its nurturing home ground, its axis mundi. In addition to the conceptual work the term animism performs, it provides insight into the relational character and common personhood of material existence. With rising awareness of ecological preservation, recently theologians like Mark I. Wallace argue for animistic Christianity with a biocentric approach that understands God being present in all earthly objects, such as animals, trees, and rocks. Pre-Islamic Arab religion Pre-Islamic Arab religion can refer to the traditional polytheistic, animist, and in some rare cases, shamanistic, religions of the peoples of the Arabian Peninsula. The belief in jinn, invisible entities akin to spirits in the Western sense dominant in the Arab religious systems, hardly fit the description of Animism in a strict sense. The jinn are considered to be analogous to the human soul by living lives like that of humans, but they are not exactly like human souls neither are they spirits of the dead. It is unclear if belief in jinn derived from nomadic or sedentary populations. Neopagan and New Age movements Some Neopagan groups, including Eco-pagans, describe themselves as animists, meaning that they respect the diverse community of living beings and spirits with whom humans share the world and cosmos. The New Age movement commonly demonstrates animistic traits in asserting the existence of nature spirits. Shamanism A shaman is a person regarded as having access to, and influence in, the world of benevolent and malevolent spirits, who typically enters into a trance state during a ritual, and practices divination and healing. According to Mircea Eliade, shamanism encompasses the premise that shamans are intermediaries or messengers between the human world and the spirit worlds. Shamans are said to treat ailments and illnesses by mending the soul. Alleviating traumas affecting the soul or spirit restores the physical body of the individual to balance and wholeness. The shaman also enters supernatural realms or dimensions to obtain solutions to problems afflicting the community. Shamans may visit other worlds or dimensions to bring guidance to misguided souls and to ameliorate illnesses of the human soul caused by foreign elements. The shaman operates primarily within the spiritual world, which in turn affects the human world. The restoration of balance results in the elimination of the ailment. Abram, however, articulates a less supernatural and much more ecological understanding of the shaman's role than that propounded by Eliade. Drawing upon his own field research in Indonesia, Nepal, and the Americas, Abram suggests that in animistic cultures, the shaman functions primarily as an intermediary between the human community and the more-than-human community of active agencies—the local animals, plants, and landforms (mountains, rivers, forests, winds, and weather patterns, all of which are felt to have their own specific sentience). Hence, the shaman's ability to heal individual instances of dis-ease (or imbalance) within the human community is a byproduct of their more continual practice of balancing the reciprocity between the human community and the wider collective of animate beings in which that community is embedded. Animist life Non-human animals Animism entails the belief that "all living things have a soul", and thus, a central concern of animist thought surrounds how animals can be eaten, or otherwise used for humans' subsistence needs. The actions of non-human animals are viewed as "intentional, planned and purposive", and they are understood to be persons, as they are both alive, and communicate with others. In animist worldviews, non-human animals are understood to participate in kinship systems and ceremonies with humans, as well as having their own kinship systems and ceremonies. Harvey cited an example of an animist understanding of animal behavior that occurred at a powwow held by the Conne River Mi'kmaq in 1996; an eagle flew over the proceedings, circling over the central drum group. The assembled participants called out ('eagle'), conveying welcome to the bird and expressing pleasure at its beauty, and they later articulated the view that the eagle's actions reflected its approval of the event, and the Mi'kmaq's return to traditional spiritual practices. In animism, rituals are performed to maintain relationships between humans and spirits. Indigenous peoples often perform these rituals to appease the spirits and request their assistance during activities such as hunting and healing. In the Arctic region, certain rituals are common before the hunt as a means to show respect for the spirits of animals. Flora Some animists also view plant and fungi life as persons and interact with them accordingly. The most common encounter between humans and these plant and fungi persons is with the former's collection of the latter for food, and for animists, this interaction typically has to be carried out respectfully. Harvey cited the example of Māori communities in New Zealand, who often offer karakia invocations to sweet potatoes as they dig up the latter. While doing so, there is an awareness of a kinship relationship between the Māori and the sweet potatoes, with both understood as having arrived in Aotearoa together in the same canoes. In other instances, animists believe that interaction with plant and fungi persons can result in the communication of things unknown or even otherwise unknowable. Among some modern Pagans, for instance, relationships are cultivated with specific trees, who are understood to bestow knowledge or physical gifts, such as flowers, sap, or wood that can be used as firewood or to fashion into a wand; in return, these Pagans give offerings to the tree itself, which can come in the form of libations of mead or ale, a drop of blood from a finger, or a strand of wool. The elements Various animistic cultures also comprehend stones as persons. Discussing ethnographic work conducted among the Ojibwe, Harvey noted that their society generally conceived of stones as being inanimate, but with two notable exceptions: the stones of the Bell Rocks and those stones which are situated beneath trees struck by lightning, which were understood to have become Thunderers themselves. The Ojibwe conceived of weather as being capable of having personhood, with storms being conceived of as persons known as 'Thunderers' whose sounds conveyed communications and who engaged in seasonal conflict over the lakes and forests, throwing lightning at lake monsters. Wind, similarly, can be conceived as a person in animistic thought. The importance of place is also a recurring element of animism, with some places being understood to be persons in their own right. Spirits Animism can also entail relationships being established with non-corporeal spirit entities. Other usage Science In the early 20th century, William McDougall defended a form of animism in his book Body and Mind: A History and Defence of Animism (1911). Physicist Nick Herbert has argued for "quantum animism" in which the mind permeates the world at every level: Werner Krieglstein wrote regarding his quantum Animism: In Error and Loss: A Licence to Enchantment, Ashley Curtis (2018) has argued that the Cartesian idea of an experiencing subject facing off with an inert physical world is incoherent at its very foundation and that this incoherence is consistent with rather than belied by Darwinism. Human reason (and its rigorous extension in the natural sciences) fits an evolutionary niche just as echolocation does for bats and infrared vision does for pit vipers, and is epistemologically on a par with, rather than superior to, such capabilities. The meaning or aliveness of the "objects" we encounter, rocks, trees, rivers, and other animals, thus depends for its validity not on a detached cognitive judgment, but purely on the quality of our experience. The animist experience, or the wolf's or raven's experience, thus become licensed as equally valid worldviews to the modern western scientific one; they are indeed more valid, since they are not plagued with the incoherence that inevitably arises when "objective existence" is separated from "subjective experience." Socio-political impact Harvey opined that animism's views on personhood represented a radical challenge to the dominant perspectives of modernity, because it accords "intelligence, rationality, consciousness, volition, agency, intentionality, language, and desire" to non-humans. Similarly, it challenges the view of human uniqueness that is prevalent in both Abrahamic religions and Western rationalism. Art and literature Animist beliefs can also be expressed through artwork. For instance, among the Māori communities of New Zealand, there is an acknowledgement that creating art through carving wood or stone entails violence against the wood or stone person and that the persons who are damaged therefore have to be placated and respected during the process; any excess or waste from the creation of the artwork is returned to the land, while the artwork itself is treated with particular respect. Harvey, therefore, argued that the creation of art among the Māori was not about creating an inanimate object for display, but rather a transformation of different persons within a relationship. Harvey expressed the view that animist worldviews were present in various works of literature, citing such examples as the writings of Alan Garner, Leslie Silko, Barbara Kingsolver, Alice Walker, Daniel Quinn, Linda Hogan, David Abram, Patricia Grace, Chinua Achebe, Ursula Le Guin, Louise Erdrich, and Marge Piercy. Animist worldviews have also been identified in the animated films of Hayao Miyazaki. See also Anecdotal cognitivism Animatism Anima mundi Dayawism Ecotheology Hylozoism Mana Mauri (life force) Kaitiaki Panpsychism Religion and environmentalism Sacred trees Shamanism Wildlife totemization References Sources Further reading Abram, David. 2010. Becoming Animal: An Earthly Cosmology (New York: Pantheon Books) Badenberg, Robert. 2007. "How about 'Animism'? An Inquiry beyond Label and Legacy." In Mission als Kommunikation: Festschrift für Ursula Wiesemann zu ihrem 75, Geburtstag, edited by K. W. Müller. Nürnberg: VTR () and Bonn: VKW (). Hallowell, Alfred Irving. 1960. "Ojibwa ontology, behavior, and world view." In Culture in History, edited by S. Diamond. (New York: Columbia University Press). Reprint: 2002. Pp. 17–49 in Readings in Indigenous Religions, edited by G. Harvey. London: Continuum. Harvey, Graham. 2005. Animism: Respecting the Living World. London: Hurst & Co. Ingold, Tim. 2006. "Rethinking the animate, re-animating thought." Ethnos 71(1):9–20. Käser, Lothar. 2004. Animismus. Eine Einführung in die begrifflichen Grundlagen des Welt- und Menschenbildes traditionaler (ethnischer) Gesellschaften für Entwicklungshelfer und kirchliche Mitarbeiter in Übersee. Bad Liebenzell: Liebenzeller Mission. . mit dem verkürzten Untertitel Einführung in seine begrifflichen Grundlagen auch bei: Erlanger Verlag für Mission und Okumene, Neuendettelsau 2004, Quinn, Daniel. [1996] 1997. The Story of B: An Adventure of the Mind and Spirit. New York: Bantam Books, and the essay "Our Religions: Are They the Religions of Humanity Itself?", usually available at Ishmael.org Wundt, Wilhelm. 1906. Mythus und Religion, Teil II. Leipzig 1906 (Völkerpsychologie II) External links Animism, Internet Encyclopedia of Philosophy Animism, Rinri, Modernization; the Base of Japanese Robotics Urban Legends Reference Pages: Weight of the Soul Animist Network Anthropology of religion Metaphysical theories Panentheism Philosophy of religion Polytheism Schools of thought Spiritism Spiritualism Spirituality Transtheism
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https://en.wikipedia.org/wiki/Antonio%20Vivaldi
Antonio Vivaldi
Antonio Lucio Vivaldi (4 March 1678 – 28 July 1741) was an Italian composer, virtuoso violinist and impresario of Baroque music. Along with Johann Sebastian Bach and George Frideric Handel, Vivaldi ranks amongst the greatest Baroque composers and his influence during his lifetime was widespread across Europe, giving origin to many imitators and admirers. He pioneered many developments in orchestration, violin technique and programmatic music. He consolidated the emerging concerto form into a widely accepted and followed idiom. Vivaldi composed many instrumental concertos, for the violin and a variety of other musical instruments, as well as sacred choral works and more than fifty operas. His best-known work is a series of violin concertos known as The Four Seasons. Many of his compositions were written for the all-female music ensemble of the Ospedale della Pietà, a home for abandoned children. Vivaldi began studying for the priesthood at the age of 15 and was ordained at 25, but was given dispensation to no longer say public Masses due to a health problem. Vivaldi also had some success with expensive stagings of his operas in Venice, Mantua and Vienna. After meeting the Emperor Charles VI, Vivaldi moved to Vienna, hoping for royal support. However, the Emperor died soon after Vivaldi's arrival, and Vivaldi himself died in poverty less than a year later. After almost two centuries of decline, Vivaldi's musical reputation underwent a revival in the early 20th century, with much scholarly research devoted to his work. Many of Vivaldi's compositions, once thought lost, have been rediscovered – some as recently as 2015. His music remains widely popular in the present day and is regularly played all over the world. Early life Birth and background Antonio Lucio Vivaldi was born on 4 March 1678 in Venice, then the capital of the Republic of Venice. He was son of Giovanni Battista Vivaldi and Camilla Calicchio, as recorded in the register of San Giovanni in Bragora. He was baptized immediately after his birth at his home by the midwife, the reason for which has led to speculation. Most likely it was done due either to his poor health or to an earthquake that supposedly struck the city that day. In the trauma of the earthquake, Vivaldi's mother may have dedicated him to the priesthood. However, there was no earthquake on the day Vivaldi was born, and this rumor may originate from an earthquake that struck Venice on April 17, 1688. The ceremonies which had been omitted were supplied two months later. Vivaldi had five known siblings: Bonaventura Tomaso, Margarita Gabriela, Cecilia Maria, Francesco Gaetano, and Zanetta Anna. Vivaldi's health was problematic. One of his symptoms, strettezza di petto ("tightness of the chest"), has been interpreted as a form of asthma. This did not prevent him from learning to play the violin, composing, or taking part in musical activities, although it did stop him from playing wind instruments. Youth His father, Giovanni Battista, was a barber before becoming a professional violinist and was one of the founders of the Sovvegno dei musicisti di Santa Cecilia, an association of musicians. He taught Antonio to play the violin and then toured Venice, playing the violin with his young son. Antonio was probably taught at an early age, judging by the extensive musical knowledge he had acquired by the age of 24, when he started working at the Ospedale della Pietà. The president of the Sovvegno was Giovanni Legrenzi, an early Baroque composer and the maestro di cappella at St Mark's Basilica. It is possible that Legrenzi gave the young Antonio his first lessons in composition. Vivaldi's father may have been a composer himself: in 1689, an opera titled La Fedeltà sfortunata was composed by a Giovanni Battista Rossi—the name under which Vivaldi's father had joined the Sovvegno di Santa Cecilia. Vivaldi's early liturgical work Laetatus sum (RV Anh 31) was written in 1691 at the age of thirteen. In 1693, at the age of fifteen, he began studying to become a priest. He was ordained in 1703, aged 25, and was soon nicknamed il Prete Rosso, "The Red Priest" (Rosso is Italian for "red" and would have referred to the color of his hair, a family trait.). Career Ospedale della Pietà While Vivaldi is most famous as a composer, he was regarded as an exceptional technical violinist as well. The German architect Johann Friedrich Armand von Uffenbach referred to Vivaldi as "the famous composer and violinist" and said that "Vivaldi played a solo accompaniment excellently, and at the conclusion he added a free fantasy [an improvised cadenza] which absolutely astounded me, for it is hardly possible that anyone has ever played, or ever will play, in such a fashion." In September 1703, Vivaldi (24) became maestro di violino (master of violin) at an orphanage called the Pio Ospedale della Pietà (Devout Hospital of Mercy) in Venice; although it was his talents as a violinist which probably secured him the job, he soon became a successful teacher of music there. Over the next thirty years he composed most of his major works while working at the Ospedale. There were four similar institutions in Venice; their purpose was to give shelter and education to children who were abandoned or orphaned, or whose families could not support them. They were financed by funds provided by the Republic. The boys learned a trade and had to leave when they reached the age of fifteen. The girls received a musical education, and the most talented among them stayed and became members of the Ospedale's renowned orchestra and choir. Shortly after Vivaldi's appointment, the orphans began to gain appreciation and esteem abroad, too. Vivaldi wrote concertos, cantatas and sacred vocal music for them. These sacred works, which number over 60, are varied: they included solo motets and large-scale choral works for soloists, double chorus, and orchestra. In 1704, the position of teacher of viola all'inglese was added to his duties as violin instructor. The position of maestro di coro, which was at one time filled by Vivaldi, required a lot of time and work. He had to compose an oratorio or concerto at every feast and teach the orphans both music theory and how to play certain instruments. His relationship with the board of directors of the Ospedale was often strained. The board had to vote every year on whether to keep a teacher. The vote on Vivaldi was seldom unanimous and went 7 to 6 against him in 1709. After a year as a freelance musician, he was recalled by the Ospedale with a unanimous vote in 1711; clearly during his year's absence the board had realized the importance of his role. He became responsible for all of the musical activity of the institution when he was promoted to maestro de' concerti (music director) in 1716 and responsible for composing two new concertos every month. In 1705, the first collection (Connor Cassara) of his works was published by Giuseppe Sala: his Opus 1 is a collection of 12 sonatas for two violins and basso continuo, in a conventional style. In 1709, a second collection of 12 sonatas for violin and basso continuo appeared—Opus 2. A real breakthrough as a composer came with his first collection of 12 concerti for one, two, and four violins with strings, L'estro armonico (Opus 3), which was published in Amsterdam in 1711 by Estienne Roger, dedicated to Grand Prince Ferdinand of Tuscany. The prince sponsored many musicians including Alessandro Scarlatti and George Frideric Handel. He was a musician himself, and Vivaldi probably met him in Venice. L'estro armonico was a resounding success all over Europe. It was followed in 1714 by La stravaganza (Opus 4), a collection of concerti for solo violin and strings, dedicated to an old violin student of Vivaldi's, the Venetian noble Vettor Dolfin. In February 1711, Vivaldi and his father traveled to Brescia, where his setting of the Stabat Mater (RV 621) was played as part of a religious festival. The work seems to have been written in haste: the string parts are simple, the music of the first three movements is repeated in the next three, and not all the text is set. Nevertheless, perhaps in part because of the forced essentiality of the music, the work is considered to be one of his early masterpieces. Despite his frequent travels from 1718, the Ospedale paid him 2 sequins to write two concerti a month for the orchestra and to rehearse with them at least five times when in Venice. The orphanage's records show that he was paid for 140 concerti between 1723 and 1733. Opera impresario In early 18th-century Venice, opera was the most popular musical entertainment. It proved most profitable for Vivaldi. There were several theaters competing for the public's attention. Vivaldi started his career as an opera composer as a sideline: his first opera, Ottone in villa (RV 729) was performed not in Venice, but at the Garzerie Theater in Vicenza in 1713. The following year, Vivaldi became the impresario of the Teatro San Angelo in Venice, where his opera Orlando finto pazzo (RV 727) was performed. The work was not to the public's taste, and it closed after a couple of weeks, being replaced with a repeat of a different work already given the previous year. In 1715, he presented Nerone fatto Cesare (RV 724, now lost), with music by seven different composers, of which he was the leader. The opera contained eleven arias and was a success. In the late season, Vivaldi planned to put on an opera entirely of his own creation, Arsilda, regina di Ponto (RV 700), but the state censor blocked the performance. The main character, Arsilda, falls in love with another woman, Lisea, who is pretending to be a man. Vivaldi got the censor to accept the opera the following year, and it was a resounding success. During this period, the Pietà commissioned several liturgical works. The most important were two oratorios. Moyses Deus Pharaonis, (RV 643) is now lost. The second, Juditha triumphans (RV 644), celebrates the victory of the Republic of Venice against the Turks and the recapture of the island of Corfu. Composed in 1716, it is one of his sacred masterpieces. All eleven singing parts were performed by girls of the orphanage, both the female and male roles. Many of the arias include parts for solo instruments—recorders, oboes, violas d'amore, and mandolins—that showcased the range of talents of the girls. Also in 1716, Vivaldi wrote and produced two more operas, L'incoronazione di Dario (RV 719) and La costanza trionfante degli amori e degli odi (RV 706). The latter was so popular that it was performed two years later, re-edited and retitled Artabano re dei Parti (RV 701, now lost). It was also performed in Prague in 1732. In the years that followed, Vivaldi wrote several operas that were performed all over Italy. His progressive operatic style caused him some trouble with more conservative musicians such as Benedetto Marcello, a magistrate and amateur musician who wrote a pamphlet denouncing Vivaldi and his operas. The pamphlet, Il teatro alla moda, attacks the composer even as it does not mention him directly. The cover drawing shows a boat (the Sant'Angelo), on the left end of which stands a little angel wearing a priest's hat and playing the violin. The Marcello family claimed ownership of the Teatro Sant'Angelo, and a long legal battle had been fought with the management for its restitution, without success. The obscure text under the engraving mentions non-existent places and names: for example, ALDIVIVA is an anagram of "A. Vivaldi". In a letter written by Vivaldi to his patron Marchese Bentivoglio in 1737, he makes reference to his "94 operas". Only around 50 operas by Vivaldi have been discovered, and no other documentation of the remaining operas exists. Although Vivaldi may have been exaggerating, it is plausible that, in his dual role of composer and impresario, he may have either written or been responsible for the production of as many as 94 operas—given that his career had by then spanned almost 25 years. While Vivaldi certainly composed many operas in his time, he never attained the prominence of other great composers such as Alessandro Scarlatti, Johann Adolph Hasse, Leonardo Leo, and Baldassare Galuppi, as evidenced by his inability to keep a production running for an extended period of time in any major opera house. Mantua and the Four Seasons In 1717 or 1718, Vivaldi was offered a prestigious new position as Maestro di Cappella of the court of prince Philip of Hesse-Darmstadt, governor of Mantua, in the northwest of Italy He moved there for three years and produced several operas, among them Tito Manlio (RV 738). In 1721, he was in Milan, where he presented the pastoral drama La Silvia (RV 734); nine arias from it survive. He visited Milan again the following year with the oratorio L'adorazione delli tre re magi al bambino Gesù (RV 645, now lost). In 1722 he moved to Rome, where he introduced his operas' new style. The new pope Benedict XIII invited Vivaldi to play for him. In 1725, Vivaldi returned to Venice, where he produced four operas in the same year. During this period Vivaldi wrote the Four Seasons, four violin concertos that give musical expression to the seasons of the year. The composition was probably one of his most famous. Though three of the concerti are wholly original, the first, "Spring", borrows motifs from a Sinfonia in the first act of Vivaldi's contemporaneous opera Il Giustino. The inspiration for the concertos was probably the countryside around Mantua. They were a revolution in musical conception: in them Vivaldi represented flowing creeks, singing birds (of different species, each specifically characterized), barking dogs, buzzing mosquitoes, crying shepherds, storms, drunken dancers, silent nights, hunting parties from both the hunters' and the prey's point of view, frozen landscapes, ice-skating children, and warming winter fires. Each concerto is associated with a sonnet, possibly by Vivaldi, describing the scenes depicted in the music. They were published as the first four concertos in a collection of twelve, Il cimento dell'armonia e dell'inventione, Opus 8, published in Amsterdam by Michel-Charles Le Cène in 1725. During his time in Mantua, Vivaldi became acquainted with an aspiring young singer Anna Tessieri Girò, who would become his student, protégée, and favorite prima donna. Anna, along with her older half-sister Paolina, moved in with Vivaldi and regularly accompanied him on his many travels. There was speculation as to the nature of Vivaldi's and Girò's relationship, but no evidence exists to indicate anything beyond friendship and professional collaboration. Vivaldi, in fact, adamantly denied any romantic relationship with Girò in a letter to his patron Bentivoglio dated 16 November 1737. Late period At the height of his career, Vivaldi received commissions from European nobility and royalty, some of them are: The serenata (cantata) Gloria e Imeneo (RV 687), was commissioned in 1725 by the French ambassador to Venice in celebration of the marriage of Louis XV, when Vivaldi was 48 years old. The serenata, La Sena festeggiante (RV 694), was written in 1726 for and premiered at the French embassy as well, celebrating the birth of the French royal princesses, Henriette and Louise Élisabeth. Vivaldi's Opus 9, La cetra, was dedicated to Emperor Charles VI. In 1728, Vivaldi met the emperor while the emperor was visiting Trieste to oversee the construction of a new port. Charles VI admired the music of the Red Priest so much that he is said to have spoken more with the composer during their one meeting than he spoke to his ministers in over two years. He gave Vivaldi the title of knight, a gold medal and an invitation to Vienna. Vivaldi gave Charles a manuscript copy of La cetra, a set of concerti almost completely different from the set of the same title published as Opus 9. The printing was probably delayed, forcing Vivaldi to gather an improvised collection for the emperor. His opera Farnace (RV 711) was presented in 1730; it garnered six revivals. Some of his later operas were created in collaboration with two of Italy's major writers of the time. Vivaldi was accompanied by his father and traveled to Vienna and Prague in 1730. L'Olimpiade and Catone in Utica were written by Pietro Metastasio, the major representative of the Arcadian movement and court poet in Vienna. La Griselda was rewritten by the young Carlo Goldoni from an earlier libretto by Apostolo Zeno. Like many composers of the time, Vivaldi faced financial difficulties in his later years. His compositions were no longer held in such high esteem as they once had been in Venice; changing musical tastes quickly made them outmoded. In response, Vivaldi chose to sell off sizeable numbers of his manuscripts at paltry prices to finance his migration to Vienna. The reasons for Vivaldi's departure from Venice are unclear, but it seems likely that, after the success of his meeting with Emperor Charles VI, he wished to take up the position of a composer in the imperial court. On his way to Vienna, Vivaldi may have stopped in Graz to see Anna Girò. Death Vivaldi moved to Vienna probably to stage operas, especially as he took up residence near the Kärntnertortheater. Shortly after his arrival in Vienna, Charles VI died, which left the composer without any royal protection or a steady source of income. Soon afterwards, Vivaldi became impoverished and died during the night of 27/28 July 1741, aged 63, of "internal infection", in a house owned by the widow of a Viennese saddlemaker. On 28 July, Vivaldi was buried in a simple grave in a burial ground that was owned by the public hospital fund. His funeral took place at St. Stephen's Cathedral. Contrary to popular legend, the young Joseph Haydn who was in the cathedral choir at the time had nothing to do with his burial, since no music was performed on that occasion. His funeral was attended by six pall-bearers and six choir boys (Kuttenbuben), at a "mean" cost of 19 florins and 45 kreuzer. Only a Kleingeläut (small peal of bells), the lowest class, was provided, at a cost of 2ƒ 36. Vivaldi was buried next to the Karlskirche, a baroque church in an area which is now part of the site of the TU Wien university. The house where he lived in Vienna has since been destroyed; the Hotel Sacher is built on part of the site. Memorial plaques have been placed at both locations, as well as a Vivaldi "star" in the Viennese Musikmeile and a monument at the Rooseveltplatz. Only two, possibly three, original portraits of Vivaldi are known to survive: an engraving, an ink sketch and an oil painting. The engraving, which was the basis of several copies produced later by other artists, was made in 1725 by François Morellon de La Cave for the first edition of Il cimento dell'armonia e dell'inventione, and shows Vivaldi holding a sheet of music. The ink sketch, a caricature, was done by Ghezzi in 1723 and shows Vivaldi's head and shoulders in profile. It exists in two versions: a first jotting kept at the Vatican Library, and a much lesser-known, slightly more detailed copy recently discovered in Moscow. The oil painting, which can be seen in the International Museum and Library of Music of Bologna, is anonymous and is thought to depict Vivaldi due to its strong resemblance to the La Cave engraving. During his lifetime, Vivaldi was popular in many countries throughout Europe, including France, but after his death his popularity dwindled. After the end of the Baroque period, Vivaldi's published concerti became relatively unknown, and were largely ignored. Even his most famous work, The Four Seasons, was unknown in its original edition during the Classical and Romantic periods. Vivaldi's work was rediscovered in the 20th century. Works A composition by Vivaldi is identified by RV number, which refers to its place in the "Ryom-Verzeichnis" or "Répertoire des oeuvres d'Antonio Vivaldi", a catalog created in the 20th century by the musicologist Peter Ryom. Le quattro stagioni (The Four Seasons) of 1723 is his most famous work. Part of Il cimento dell'armonia e dell'inventione ("The Contest between Harmony and Invention"), it depicts moods and scenes from each of the four seasons. This work has been described as an outstanding instance of pre-19th-century program music. Vivaldi wrote more than 500 other concertos. About 350 of these are for solo instrument and strings, of which 230 are for violin, the others being for bassoon, cello, oboe, flute, viola d'amore, recorder, lute, or mandolin. About forty concertos are for two instruments and strings, and about thirty are for three or more instruments and strings. As well as about 46 operas, Vivaldi composed a large body of sacred choral music, such as the Magnificat RV 610. Other works include sinfonias, about 90 sonatas and chamber music. Some sonatas for flute, published as Il Pastor Fido, have been erroneously attributed to Vivaldi, but were composed by Nicolas Chédeville. Catalogues of Vivaldi works Vivaldi's works attracted cataloging efforts befitting a major composer. Scholarly work intended to increase the accuracy and variety of Vivaldi performances also supported new discoveries which made old catalogs incomplete. Works still in circulation today may be numbered under several different systems (some earlier catalogs are mentioned here). Because the simply consecutive Complete Edition (CE) numbers did not reflect the individual works (Opus numbers) into which compositions were grouped, numbers assigned by Antonio Fanna were often used in conjunction with CE numbers. Combined Complete Edition (CE)/Fanna numbering was especially common in the work of Italian groups driving the mid-20th-century revival of Vivaldi, such as Gli Accademici di Milano under Piero Santi. For example, the Bassoon Concerto in B major, "La Notte" RV 501, became CE 12, F. VIII,1 Despite the awkwardness of having to overlay Fanna numbers onto the Complete Edition number for meaningful grouping of Vivaldi's oeuvre, these numbers displaced the older Pincherle numbers as the (re-)discovery of more manuscripts had rendered older catalogs obsolete. This cataloging work was led by the Istituto Italiano Antonio Vivaldi, where Gian Francesco Malipiero was both the director and the editor of the published scores (Edizioni G. Ricordi). His work built on that of Antonio Fanna, a Venetian businessman and the Institute's founder, and thus formed a bridge to the scholarly catalog dominant today. Compositions by Vivaldi are identified today by RV number, the number assigned by Danish musicologist Peter Ryom in works published mostly in the 1970s, such as the "Ryom-Verzeichnis" or "Répertoire des oeuvres d'Antonio Vivaldi". Like the Complete Edition before it, the RV does not typically assign its single, consecutive numbers to "adjacent" works that occupy one of the composer's single opus numbers. Its goal as a modern catalog is to index the manuscripts and sources that establish the existence and nature of all known works. Style and influence Vivaldi's music was innovative. He brightened the formal and rhythmic structure of the concerto, in which he looked for harmonic contrasts and innovative melodies and themes. The German scholar Walter Kolneder has discerned the influence of Legrenzi's style in Vivaldi's early liturgical work Laetatus sum (RV Anh 31), written in 1691 at the age of thirteen. Johann Sebastian Bach was deeply influenced by Vivaldi's concertos and arias (recalled in his St John Passion, St Matthew Passion, and cantatas). Bach transcribed six of Vivaldi's concerti for solo keyboard, three for organ, and one for four harpsichords, strings, and basso continuo (BWV 1065) based upon the concerto for four violins, two violas, cello, and basso continuo (RV 580). Legacy In the early 20th century, Fritz Kreisler's Concerto in C, in the Style of Vivaldi (which he passed off as an original Vivaldi work) helped revive Vivaldi's reputation. Kreisler's concerto in C spurred the French scholar Marc Pincherle to begin an academic study of Vivaldi's oeuvre. Many Vivaldi manuscripts were rediscovered, which were acquired by the Turin National University Library as a result of the generous sponsorship of Turinese businessmen Roberto Foa and Filippo Giordano, in memory of their sons. This led to a renewed interest in Vivaldi by, among others, Mario Rinaldi, Alfredo Casella, Ezra Pound, Olga Rudge, Desmond Chute, Arturo Toscanini, Arnold Schering and Louis Kaufman, all of whom were instrumental in the revival of Vivaldi throughout the 20th century. In 1926, in a monastery in Piedmont, researchers discovered fourteen bound volumes of Vivaldi's work but later on discovered to be fifteen that were previously thought to have been lost during the Napoleonic Wars. Some missing tomes in the numbered set were discovered in the collections of the descendants of the Grand Duke Durazzo, who had acquired the monastery complex in the 18th century. The volumes contained 300 concertos, 19 operas and over 100 vocal-instrumental works. The resurrection of Vivaldi's unpublished works in the 20th century greatly benefited from the noted efforts of Alfredo Casella, who in 1939 organized the historic Vivaldi Week, in which the rediscovered Gloria (RV 589) and l'Olimpiade were revived. Since World War II, Vivaldi's compositions have enjoyed wide success. Historically informed performances, often on "original instruments", have increased Vivaldi's fame still further. Recent rediscoveries of works by Vivaldi include two psalm settings: Psalm 127, Nisi Dominus (RV 803 in eight movements); and Psalm 110, Dixit Dominus (RV 807 in eleven movements). These were identified in 2003 and 2005, respectively, by the Australian scholar Janice Stockigt. The Vivaldi scholar Michael Talbot described RV 807 as "arguably the best nonoperatic work from Vivaldi's pen to come to light since […] the 1920s". Vivaldi's 1730 opera Argippo (RV 697), which had been considered lost, was rediscovered in 2006 by the harpsichordist and conductor Ondřej Macek, whose Hofmusici orchestra performed the work at Prague Castle on 3 May 2008—its first performance since 1730. Modern depictions of Vivaldi's life include a 2005 radio play, commissioned by the ABC Radio National and written by Sean Riley. Entitled The Angel and the Red Priest, the play was later adapted for the stage and was performed at the Adelaide Festival of the Arts. Films about Vivaldi include (1989), an Italian-French co-production under the direction of Étienne Périer, (2006), an Italian-French co-production under the direction of , and Vivaldi, the Red Priest (2009), loosely based on Antonio's life as both priest and composer. References Notes Citations Sources Further reading Romijn, André. Hidden Harmonies: The Secret Life of Antonio Vivaldi, 2007 Selfridge-Field, Eleanor (1994). Venetian Instrumental Music, from Gabrieli to Vivaldi. New York, Dover Publications. . External links 1678 births 1741 deaths 18th-century male musicians 18th-century Italian Roman Catholic priests Catholic liturgical composers Classical composers of church music Composers for cello Composers for violin Italian Baroque composers Italian classical violinists Italian expatriates in Austria Italian male classical composers Italian opera composers Republic of Venice clergy Male classical violinists Male opera composers Oratorio composers Musicians from Venice 18th-century Italian composers Impresarios
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https://en.wikipedia.org/wiki/Adrian
Adrian
Adrian is a form of the Latin given name Adrianus or Hadrianus. Its ultimate origin is most likely via the former river Adria from the Venetic and Illyrian word adur, meaning "sea" or "water". The Adria was until the 8th century BC the main channel of the Po River into the Adriatic Sea but ceased to exist before the 1st century BC. Hecataeus of Miletus (c.550 – c.476 BC) asserted that both the Etruscan harbor city of Adria and the Adriatic Sea had been named after it. Emperor Hadrian's family was named after the city or region of Adria/Hadria, now Atri, in Picenum, which most likely started as an Etruscan or Greek colony of the older harbor city of the same name. Several saints and six popes have borne this name, including the only English pope, Adrian IV, and the only Dutch pope, Adrian VI. As an English name, it has been in use since the Middle Ages. Religion Pope Adrian I (c. 700–795) Pope Adrian II (792–872) Pope Adrian III (died 885) Pope Adrian IV (c. 1100–1159), English pope Pope Adrian V (c. 1205–1276) Adrian of Batanea (died 308), Christian martyr and saint Adrian of Canterbury (died 710), scholar and Abbot of St Augustine's Abbey in Canterbury Adrian of Castello (1460–1521), Italian cardinal and writer Adrian of May (died 875), Scottish saint from the Isle of May, martyred by Vikings Adrian of Moscow (1627–1700), last pre-revolutionary Patriarch of Moscow and All Russia Adrian of Nicomedia (died 306), martyr and Herculian Guard of the Roman Emperor Galerius Maximian Adrian of Ondrusov (died 1549), Russian Orthodox saint and wonder-worker Adrian of Poshekhonye (died 1550), Russian Orthodox saint, hegumen of Dormition monastery in Yaroslavl region Adrian of Transylvania (fl. 1183–1201), Hungarian bishop and chancellor Adrian Fortescue (martyr) (1476–1539), English courtier at Henry VIII's court, beatified as a Roman Catholic martyr Adrian Gouffier de Boissy (1479–1523), French Roman Catholic bishop and cardinal Adrian Kivumbi Ddungu (1923–2009), Ugandan Roman Catholic bishop Adrian Leo Doyle (born 1936), Australian prelate of the Roman Catholic Church Government and politics Adrian Amstutz (born 1953), Swiss politician Adrian Arnold (1932–2018), American politician Adrian Bailey (born 1945), British politician Adrian Baillie (1898–1947), British politician Adrian A. Basora (born 1938), American diplomat Adrian Benepe, American Commissioner Adrian Bennett (1933–2006), Australian politician Adrian Benjamin Bentzon (1777–1827), Norwegian politician Adrian Berry, 4th Viscount Camrose (1937–2016), British hereditary peer and journalist Adrian P. Burke (1904–2000), American judge and politician Adrián Fernández Cabrera (born 1967), Mexican politician Adrian Cochrane-Watson (born 1967), Irish politician Adrian Davis (civil servant), British economist and civil servant Adrian Delia (born 1969), Maltese politician Adrian Fenty (born 1970), American politician, mayor of Washington D.C. Adrian Flook (born 1963), British politician Adrian Foster (politician), Canadian politician Adrian Hasler (born 1964), Liechtenstein politician Adrian Knatchbull-Hugessen (1891–1976), Canadian lawyer and senator Adrián Vázquez Lázara (born 1982), Spanish politician Adrian Molin (1880–1942), Swedish writer and political activist Adrian Năstase (born 1950), Romanian politician Adrian Neritani, former Permanent Representative of Albania to the United Nations Adrián Rivera Pérez (born 1962), Mexican politician Adrian Piccoli (born 1970), Australian politician Adrian Cola Rienzi (1905–1972), Trinidadin and Tobagonian trade unionist, civil rights activist, politician, and lawyer Adriano Sánchez Roa (born 1956), Dominican politician Adrian Rurawhe (born 1961), New Zealand politician Adrian M. Smith (born 1970), American politician Adrian Sanders (born 1959), British politician Adrian Severin (born 1954), Romanian politician and Member of the European Parliament Adrian Smith (politician) (born 1970), American politician Adrian Stokes (courtier) (1519–1586), English politician Adrian Stoughton (1556–1614), English politician Academia Adrian Albert (1905–1972), American mathematician Adrian Baddeley (born 1955), Australian scientist Adrian Bailey (academic), American scholar Adrian Bejan (born 1948), Romanian-born professor of mechanical engineering at Duke University Adrian Beverland (1650–1716), Dutch philosopher and jurist who settled in England Adrian Bird (born 1947), British geneticist Adrian Bowyer (born 1952), engineer, creator of the RepRap project Adrian John Brown (1852–1919), British professor and pioneer Adrian David Cheok (born 1971/1972), Australian electrical engineer and professor Adrian Curaj (born 1958), Romanian engineer Adrian Darby (born 1937), British conservationist and academic Adrian Goldsworthy (born 1969), British historian and author who writes mostly about ancient Roman history Adrian Hardy Haworth (1767–1833), English entomologist, botanist and carcinologist Adrian Ioana (born 1981), Romanian mathematician Adrian Mihai Ionescu, Romanian professor Adrian Ioviță (born 1954), Romanian-Canadian mathematician Adrian Jacobsen (1853–1947), Norwegian ethnologist and explorer Adrian Kaehler, American scientist, engineer, entrepreneur, inventor, and author Adrian Liston (born 1980), British immunologist and author Adrian Paterson, South African scientist and engineer Adrián Recinos (1886–1962), Guatemalan historian, Mayanist and diplomat Adrian Smith (born 1946), British statistician Adrian Stephens (1795–1876), English engineer, inventor of the steam whistle Adrian V. Stokes (1945–2020), British computer scientist Adrian Webb (born 1943), British academic and public administrator Adrian Zenz (born 1974), German anthropologist Military Adrian Becher (1897–1957), British Army officer and cricketer Adrian von Bubenberg (1434–1479), Bernese knight, military commander and mayor Adrian Carton de Wiart (1880–1963), Belgian-born British Army lieutenant-general awarded the Victoria Cross Adrian Cole (RAAF officer) (1895–1966), Australian World War I flying ace Adrian Johns (born 1951), English governor of Gibraltar and former Royal Navy vice-admiral Adrian Dietrich Lothar von Trotha (1848–1920), German military commander in Africa Adrian Marks (1917–1998), United States Navy pilot Adrian Consett Stephen (1894–1918), Australian artillery officer and playwright Adrian Warburton (1918–1944), British Second World War pilot Adrián Woll (1795–1875), French Mexican general during the Texas Revolution and the Mexican–American War Sports American football Adrian Amos (born 1993), American football player Adrian Arrington (born 1985), American football player Adrian Awasom (born 1983), Cameroon-born American football player Adrian Baird (born 1979), Canadian football player Adrian Baril (1898–1961), American football player Adrian Battles (born 1987), American football player Adrian Breen (quarterback) (born 1965), American football player Adrian Burk (1927–2003), American football player Adrian Clarke (born 1991), Canadian football player Adrian Clayborn (born 1988), American football player Adrian Colbert (born 1993), American football player Adrian Cooper (born 1968), American football player Adrian Davis (Canadian football) (born 1981), Canadian football player A. J. Davis (cornerback, born 1983), American football player known as A.J. Davis Adrian Dingle (American football) (born 1977), American football player Adrian Ealy (born 1999), American football player Adrian Ford (1904–1977), American football player Adrian Grady (born 1985), American football player Adrian Hamilton (born 1987), American football player Adrian Hardy (born 1970), American football player Adrian Hubbard (born 1992), American football player Adrian Jones (American football) (born 1981), American football player Adrian Killins (born 1998), American football player Adrian Klemm (born 1977), American football player and coach Adrian Madise (born 1980), American football player Adrian Magee (born 1996), American football player Adrian Martinez (American football) (born 2000), American football player Adrian Mayes (born 1980), American football player Adrian Moten (born 1988), American football player Adrian Murrell (born 1970), American football player Adrian Peterson (American football, born 1979), American football player Adrian Peterson (born 1985), American football player Adrian Phillips (born 1992), American football player Adrian Robinson (1989–2015), American football player Adrian Ross (born 1975), American football player Adrian Tracy (born 1988), American football player Adrian White (American football) (born 1964), American football player Adrian Wilson (American football) (born 1979), American football player Adrian Young (American football) (born 1949), American football player Association football Adrián Aldrete (born 1988), Mexican footballer Adrian Aliaj (born 1976), Albanian footballer Adrian Allenspach (born 1969), Swiss footballer Adrian Alston (born 1949), English footballer Adrián Álvarez (born 1968), Argentine footballer Adrian Anca (born 1976), Romanian footballer Adrian Antunović (born 1989), Croatian footballer Adrián Argachá (born 1986), Uruguayan footballer Adrian García Arias (born 1975), Mexican footballer Adrián Arregui (born 1992), Argentine footballer Adrián Ascues (born 2002), Peruvian footballer Adrian Ávalos (born 1974), Argentine footballer Adrian Avrămia (born 1992), Romanian footballer Adrian Bajrami (born 2002), Swiss footballer Adrian Bakalli (born 1976), Belgian footballer Adrian Bălan (born 1990), Romanian footballer Adrián Balboa (born 1994), Uruguayan footballer Adrian Baldovin (born 1971), Romanian footballer Adrian Barbullushi (born 1968), Albanian footballer Adrian Bartkowiak (born 1987), Polish footballer Adrian Basta (born 1988), Polish footballer Adrián Bastía (born 1978), Argentine footballer Adrian Beck (born 1997), German footballer Adrian Benedyczak (born 2000), Polish footballer Adrián Berbia (born 1977), Uruguayan goalkeeper Adrián Bernabé (born 2001), Spanish footballer Adrian Bevington (born c. 1971), Club England Managing Director Adrian Bielawski (born 1996), Polish footballer Adrian Billhardt (born 1997), German footballer Adrian Bird (born 1969), English footballer Adrian Błąd (born 1991), Polish footballer Adrian Blake (born 2005), English footballer Adrian Bogoi (born 1973), Romanian footballer Adrián Bone (born 1988), Ecuadorian footballer Adrian Boothroyd (born 1971), English footballer and manager Adrian Borza (born 1985), Romanian footballer Adrian Budka (born 1980), Polish footballer Adrian Bumbescu (born 1960), Romanian footballer Adrian Bumbut (born 1984), Romanian footballer Adrian Butters (born 1988), Canadian soccer player Adrián Butzke (born 1999), Spanish footballer Adrian Caceres (born 1982), Argentine footballer Adrián Calello (born 1987), Argentine footballer Adrián Cañas (born 1992), Spanish footballer Adrian Cann (born 1980), Canadian soccer player Adrian Cașcaval (born 1987), Moldovan footballer Adrián Centurión (born 1993), Argentine footballer Adrián Čermák (born 1993), Slovak footballer Adrian Chama (born 1989), Zambian footballer Adrián Chávez (born 1962), Mexican footballer Adrian Chomiuk (born 1988), Polish footballer Adrián Chovan (born 1995), Slovak footballer Adrian Cieślewicz (born 1990), Polish footballer Adrian Clarke (footballer) (born 1974), English footballer Adrian Clifton (born 1988), English footballer Adrián Colombino (born 1993), Uruguayan footballer Adrián Colunga (born 1984), Spanish footballer Adrian Coote (born 1978), English footballer Adrián Cortés (born 1983), Mexican footballer Adrian Cristea (born 1983), Romanian footballer Adrián Cruz (born 1987), Spanish footballer Adrián Cuadra (born 1997), Chilean footballer Adrian Cuciula (born 1986), Romanian footballer Adrian Cucovei (born 1982), Moldovan footballer Adrian Dabasse (born 1993), French footballer Adrián Dalmau (born 1994), Spanish footballer Adrian Danek (born 1994), Polish footballer Adrián Diéguez (born 1996), Spanish footballer Adrian Drida (born 1982), Romanian footballer Adrian Dubois (born 1987), American footballer Adrian Dulcea (born 1978), Romanian footballer and manager Adrian Durrer (born 2001), Swiss footballer Adrian Edqvist (born 1999), Swedish footballer Adrián El Charani (born 2000), Venezuelan footballer Adrian Elrick (born 1949), New Zealand footballer Adrián Escudero (1927–2011), Spanish footballer Adrián Faúndez (born 1989), Chilean footballer Adrian Fein (born 1999), German footballer Adrián Fernández (footballer, born 1980), Argentine footballer Adrián Fernández (footballer, born 1992), Paraguayan footballer Adrian Foncette (born 1988), Trinidadian footballer Adrian Forbes (born 1979), English footballer Adrian Foster (footballer) (born 1971), English footballer and manager Adrián Fuentes (born 1996), Spanish footballer Adrián Gabbarini (born 1985), Argentine footballer Adrian Dan Găman (born 1978), Romanian footballer Adrian Gheorghiu (born 1981), Romanian footballer Adrian Gîdea (born 2000), Romanian footballer Adrián González (footballer, born 1976), Argentine footballer Adrián González (footballer, born 1988), Spanish footballer Adrián González (footballer, born 1995), Argentine footballer Adrián González (footballer, born 2003), Mexican footballer Adrián Hernán González (born 1976), Argentine footballer Adrián Goransch (born 1999), Mexican footballer Adrian Grbić (born 1996), Austrian footballer Adrian Grigoruță (born 1983), Romanian footballer Adrian Gryszkiewicz (born 1999), Polish footballer Adrián Gunino (born 1989), Uruguayan footballer Adrian Hajdari (born 2000), Macedonian footballer Adrian Aleksander Hansen (born 2001), Norwegian footballer Adrian Heath (born 1961), English footballer and manager Adrian Henger (born 1996), Polish footballer Adrián José Hernández (born 1983), Spanish footballer, known as Pollo Adrián Horváth (born 1987), Hungarian footballer Adrian Iencsi (born 1975), Romanian footballer and manager Adrian Ilie (born 1974), Romanian footballer Adrian Ilie (footballer, born 1981), Romanian footballer Adrian Ionescu (footballer, born 1958), Romanian footballer Adrian Ionescu (footballer, born 1985), Romanian footballer Adrian Ioniță (born 2000), Romanian footballer Adrian Iordache (born 1980), Romanian footballer Adrian Dragoș Iordache (born 1981), Romanian footballer Adrian Jevrić (born 1986), German footballer Adrián Jusino (born 1992), Bolivian footballer Adrian Kappenberger (born 1996), Danish footballer Adrian Kasztelan (born 1986), Polish footballer Adrian Klepczyński (born 1981), Polish footballer Adrian Klimczak (born 1997), Polish footballer Adrian Knup (born 1968), Swiss footballer Adrián Kocsis (born 1991), Hungarian footballer Adrian Kunz (born 1967), Swiss footballer Adrián Lapeña (born 1996), Spanish footballer Adrián Torres Lázaro (born 1998), Spanish footballer commonly known as Lele Adrian Leijer (born 1986), Australian footballer Adrián Leites (born 1992), Uruguayan footballer Adrian LeRoy (born 1987), Canadian soccer player Adrián Leško (born 1995), Slovak footballer Adrian Liber (born 2001), Croatian footballer Adrian Lis (born 1992), Polish footballer Adrian Littlejohn (born 1970), English footballer Adrián Lois (born 1989), Spanish footballer Adrián López (footballer, born 1987), Spanish footballer Adrián López (born 1988), Spanish footballer Adrián Lozano (born 1999), Mexican footballer Adrian Lucaci (1966–2020), Romanian footballer Adrián Lucero (born 1985), Argentine footballer Adrián Marín Lugo (born 1994), Mexican footballer Adrián Luna (born 1992), Uruguayan footballer Adrian Łyszczarz (born 1999), Polish footballer Adrian Madaschi (born 1982), Australian footballer Adrian Małachowski (born 1998), Polish footballer Adrian Marek (born 1987), Polish footballer Adrian Mariappa (born 1986), English footballer Adrián Marín (footballer, born 1994), Mexican footballer Adrián Marín (footballer, born 1997), Spanish footballer Adrian Mărkuș (born 1992), Romanian footballer Adrián Martín (footballer) (born 1982), Spanish footballer Adrián Martínez (Mexican footballer) (born 1970) Adrián Martínez (Venezuelan footballer) (born 1993) Adrián Emmanuel Martínez (born 1992), Argentine footballer Adrián Nahuel Martínez (born 1992), Argentine footballer Adrian Matei (footballer) (born 1968), Romanian footballer Adrian Mierzejewski (born 1986), Polish footballer Adrian Mihalcea (born 1976), Romanian footballer Adrian Moescu (born 2001), Romanian footballer Adrián Mouriño (born 1988), Spanish footballer Adrian Mrowiec (born 1983), Polish footballer Adrian Mutu (born 1979), Romanian footballer Adrian Nalați (born 1983), Romanian footballer Adrian Napierała (born 1982), Polish footballer Adrian Neaga (born 1979), Romanian footballer Adrian Negrău (born 1968), Romanian footballer Adrian Neniță (born 1996), Romanian footballer Adrian Nikçi (born 1989), Swiss footballer Adrian Romeo Niță (born 2003), Romania footballer Adrian Olah (born 1981), Romania footballer Adrian Olegov (born 1985), Bulgarian footballer Adrian Olszewski (born 1993), Polish footballer Adrián Ortolá (born 1993), Spanish footballer Adrian Paluchowski (born 1987), Polish footballer Adrian Pătraș (born 1984), Moldovan footballer Adrian Pătulea (born 1984), Romanian footballer Adrián Paz (born 1966), Uruguayan footballer Adrian Pelka (born 1981), German footballer Adrian Pennock (born 1971), English footballer Adrián Peralta (born 1982), Argentine footballer Adrian Pereira (born 1999), Norwegian footballer Adrian Petre (born 1998), Romanian footballer Adrian Pettigrew (born 1986), English footballer Adrian Pigulea (born 1968), Romanian footballer Adrian Piț (born 1983), Romanian footballer Adrian Pitu (born 1975), Romanian footballer Adrian Popa (footballer, born 1988), Romanian footballer Adrian Popa (footballer, born 1990), Romanian footballer Adrian Poparadu (born 1987), Romanian footballer Adrian Popescu (born 1960), Romanian footballer Adrian Popescu (footballer, born 1975), Romanian footballer Adrian Pukanych (born 1981), Ukrainian footballer Adrian Pulis (born 1979), Maltan footballer Adrian Purzycki (born 1997), Polish footballer Adrian Rakowski (born 1990), Polish footballer Adrián Ramos (born 1986), Colombian footballer Adrián Ricchiuti (born 1978), Argentine footballer Adrián Riera (born 1996), Spanish footballer Adrián Ripa (born 1985), Spanish footballer Adrian Rochet (born 1987), Israel footballer Adrián Rojas (born 1977), Chilean footballer Adrian Rolko (born 1978), Czech footballer Adrián Romero (Argentine footballer) (born 1975) Adrián Romero (Uruguayan footballer) (born 1977) Adrian Ropotan (born 1986), Romanian footballer Adrián Ruelas (born 1991), American soccer player Adrian Rus (born 1996), Romanian footballer Adrian Rusu (born 1984), Romanian footballer Adrián Sahibeddine (born 1994), French footballer Adrian Sălăgeanu (born 1983), Romanian footballer Adrián Sánchez (born 1999), Argentine footballer Adrián San Miguel del Castillo (born 1987), Spanish football goalkeeper known as simply Adrián Adrián Sardinero (born 1990), Spanish footballer Adrian Sarkissian (born 1979), Uruguayan footballer Adrian Scarlatache (born 1986), Romanian footballer Adrian Schlagbauer (born 2002), German footballer Adrián Scifo (born 1987), Argentine footballer Adrian Šemper (born 1998), Croatian footballer Adrian Senin (born 1979), Romanian footballer Adrian Serioux (born 1979), Canadian soccer player Adrian Sikora (born 1980), Polish footballer Adrian Sosnovschi (born 1977), Moldovan footballer and manager Adrián Spörle (born 1995), Argentine footballer Adrian Spyrka (born 1967), German footballer Adrian Stanilewicz (born 2000), German footballer Adrian Șter (born 1998), Romanian footballer Adrian Stoian (born 1991), Romanian footballer Adrian Stoicov (1967–2017), Romanian footballer Adrian Șut (born 1999), Romanian footballer Adrian Świątek (born 1986), Polish footballer Adrián Szekeres (born 1989), Hungarian footballer Adrián Szőke (born 1998), Serbian footballer Adrian Toma (born 1976), Romanian footballer Adrián Torres (born 1989), Argentine footballer Adrian Trinidad (born 1982), Argentine footballer Adrián Turmo (born 2001), Spanish footballer Adrián Ugarriza (born 1997), Peruvian footballer Adrian Ursea (born 1967), Romanian footballer and manager Adrian Valentić (born 1987), Croatian footballer Adrian Vera (born 1997), American footballer Adrian Viciu (born 1991), Romanian footballer Adrian Viveash (born 1969), English footballer, better known as Adi Viveash Adrian Vlas (born 1982), Romanian footballer Adrian Ionuț Voicu (born 1992), Romanian footballer Adrian Voiculeț (born 1985), Romanian footballer Adrian Webster (footballer, born 1951), English footballer Adrian Webster (footballer, born 1980), New Zealand footballer Adrian Whitbread (born 1971), English footballer and manager Adrian Williams, better known as Ady Williams (born 1971), English footballer and manager Adrian Winter (born 1986), Swiss footballer Adrian Woźniczka (born 1982), Polish footballer Adrian Zahra (born 1990), Australian footballer Adrian Zaluschi (born 1989), Romanian footballer Adrián Zambrano (born 2000), Venezuelan footballer Adrián Zela (born 1989), Peruvian footballer Adrian Zendejas (born 1995), American footballer Adrián Zermeño (born 1979), Mexican footballer Baseball Adrian Constantine Anson better known as Cap Anson (1852–1922), American baseball player Adrián Beltré (born 1979), Dominican Republic baseball player Adrian Brown (baseball) (born 1974), American baseball player Adrian Burnside (born 1977), Australian baseball player Adrian Cárdenas (born 1987), American baseball player Adrian Devine (1951–2020), American baseball player Adrian Garrett (1943–2021), American baseball player and coach Adrián González (born 1982), American-Mexican baseball player Adrian Houser (born 1993), American baseball player Addie Joss (1880–1911), American baseball pitcher Adrian Lynch (1897–1934), American baseball player Adrián Morejón (born 1999), Cuban baseball player Adrián Nieto (born 1989), Cuban baseball player Adrian Sampson (born 1991), American baseball player Adrián Sánchez (born 1990), Colombian-Venezuelan baseball player Adrián Zabala (1916–2002), Cuban baseball player Basketball Adrian Autry (born 1972), American basketball player Adrian Banks (born 1986), American basketball player Adrian Bauk (born 1985), Australian basketball player Adrian Branch (born 1963), American basketball player Adrian Caldwell (born 1966), American basketball player Adrian Celada, Filipino basketball player Adrian Dantley (born 1956), American basketball player Adrian Griffin (born 1974), American basketball player Adrian Pledger (born 1976), American basketball player Adrian Smith (basketball) (born 1936), American basketball player Adrian Tudor (born 1985), Romanian basketball player Adrian Williams-Strong (born 1977), American basketball player Boxing Adrian Blair (born 1943), Australian boxer Adrian Clark (boxer) (born 1986), American boxer Adrian Diaconu (born 1978), Romanian boxer Adrián Hernández (boxer) (born 1986), Mexican boxer Adrian Mora (born 1978), American boxer Cricket Adrian Aymes (born 1964), British cricketer Adrian Barath (born 1990), West Indian cricketer Adrian Birrell (born 1960), South African cricketer and coach Adrian Brown (cricketer) (born 1962), English cricketer Adrian Jones (cricketer) (born 1961), English cricketer Adrian Rollins (born 1972), English cricketer Ice hockey Adrian Aucoin (born 1973), Canadian ice hockey player Adrian Foster (ice hockey) (born 1982), Canadian ice hockey player Adrian Kempe (born 1996), Swedish ice hockey player Adrian Wichser (born 1980), Swiss ice hockey player Racing Adrian Adgar (born 1965), English cyclist Adrian Archibald (born 1969), British motorcycle racer Adrian Banaszek (born 1993), Polish cyclist Adrián Campos (1960-2021), Spanish racing driver Adrián Campos Jr. (born 1988), Spanish racing driver Adrian Carrio (born 1989), American racing driver Adrian "Wildman" Cenni, American off-road racing driver Adrián Fernández (born 1965), Mexican racing driver and team owner Adrián Fernández (motorcyclist) (born 2004), Spanish motorcycle racer Adrián González (cyclist) (born 1992), Spanish cyclist Adrian Kurek (born 1988), Polish road bicycle racer Adrián Martín (motorcyclist) (born 1992), Spanish motorcycle racer Adrian Newey (born 1958), British race car engineer and designer Adrian Quaife-Hobbs (born 1991), British racing driver Adrian Aas Stien (born 1992), Norwegian cyclist Adrian Sutil (born 1983), German racing driver Adrián Vallés (born 1986), Spanish race car driver Adrian Zaugg (born 1986), South African racing driver Rugby Adrian Apostol (born 1990), Romanian rugby player Adrian Barich (born 1963), Australian rules footballer and television and radio presenter Adrian Barone (born 1987), New Zealand rugby union footballer Adrian Bassett (born 1967), Australian rules footballer Adrian Battiston (born 1963), Australian rules footballer Adrian Beer (born 1943), Australian rules footballer Adrian Clarke (rugby union) (born 1938), New Zealand rugby player Adrian Davies (born 1969), English rugby player Adrian Davis (rugby league) (born 1990), Australian rugby player Adrian Garvey (born 1968), Zimbabwean-born South African rugby union player Adrian Lungu (born 1960), Romanian rugby player Adrian Morley (born 1977), English rugby player Adrian Pllotschi (born 1959), Romanian rugby player and coach Adrian Stoop (1883–1957), English rugby union player Adrian Young (footballer) (1943–2020), Australian rugby player Swimming Adrian Andermatt (born 1969), Swiss swimmer Adrian Moorhouse (born 1964), English swimmer Adrian O'Connor (born 1972), Irish backstroke swimmer Adrian Radley (born 1976), Australian swimmer Adrian Robinson (swimmer) (born 2000), Botswanan swimmer Adrian Romero (swimmer) (born 1972), Guamanian swimmer Adrian Turner (born 1977), British Olympic swimmer Tennis Adrian Andreev (born 2001), Bulgarian tennis player Adrian Bey (1938 – 2019), Rhodesian-born American professional tennis player Adrian Bodmer (born 1995), Swiss tennis player Adrian Bohane (born 1981), Irish-American former professional tennis player Adrian Cruciat (born 1983), Romanian tennis player Adrian Gavrilă (born 1984), Romanian tennis player Adrian Mannarino (born 1988), French tennis player Adrian Marcu (born 1961), professional tennis player from Romania Adrián Menéndez Maceiras (born 1985), Spanish tennis player Adrian Quist (1913–1991), Australian tennis player Adrian Ungur (born 1985), Romanian tennis player Adrian Voinea (born 1974), Romanian tennis player Other Adrian Adonis (1954–1988), American professional wrestler Adrian Alvarado (figure skater) (born 1983), Mexican figure skater Adrian Ang (born 1988), Malaysian bowler Adrián Annus (born 1973), Hungarian hammer thrower Adrian Bachmann (born 1976), Swiss sprint canoer Adrian Ballinger (born 1976), British-American climber, skier, and mountain guide Adrián Ben (born 1998) Spanish middle-distance runner Adrian Berce (born 1958), Australian field hockey player Adrian Blincoe (born 1979), New Zealand runner Adrian Błocki (born 1990), Polish racewalker Adrian Breen (hurler) (born 1992), Irish hurler Adrian Cosma (1950–1996), Romanian handball player Adrian Crișan (born 1980), Romanian table tennis player Adrián Gavira (born 1987), Spanish beach volleyball player Adrian Gomes (born 1990), Brazilian gymnast Adrian Gray (born 1981), English darts player Adrian Gunnell (born 1972), English snooker player Adrian Hansen (born 1971), South African squash player Adrian Lewis (born 1985), English darts player Adrian Matei (born 1985), Romanian figure skater Adrian Metcalfe (1942–2021), British runner and sports broadcaster Adrian Neville (born 1986), English professional wrestler, known professionally as Pac Adrian Parker (born 1951), British modern pentathlete and Olympic champion Adrian Patrick (born 1973), English former sprinter Adrián Alonso Pereira (born 1988), Spanish futsal player Adrián Popa (born 1971), Hungarian weightlifter Adrian Rollinson (born 1965), British strongman Adrian Schultheiss (born 1988), Swedish figure skater Adrian Smith (strongman) (born 1964), British strongman Adrian Street (born 1940), Welsh wrestler and author Adrian Strzałkowski (born 1990), Polish long jumper Adrián Paz Velázquez (born 1964), Mexican Paralympic athlete Adrian Watt (born 1947), American ski jumper Adrian White (equestrian) (born 1933), New Zealand equestrian Adrian Alejandro Wittwer (born 1986), Swiss extreme athlete and ice swimmer Adrian Zieliński (born 1989), Polish weightlifter Arts and entertainment Adrian Adlam (born 1963), British violinist and conductor Adrian Aeschbacher (1912–2002), Swiss classical pianist Adrian Alandy (born 1980), Filipino actor and model Adrian Allinson (1890–1959), British painter, potter and engraver Adrián Alonso (born 1994), Mexican actor Adrian Alphona, Canadian comic book artist Adrian Alvarado (actor) (born 1976), American actor Adrian Anantawan (born 1986), Canadian violinist Adrian Augier, St. Lucian poet and producer Adrian Bică Bădan (born 1988), Romanian footballer Adrian Baker (born 1951), English singer, songwriter, and record producer Adrian Bărar (1960–2021), Romanian guitarist and composer Adrian Barber (1938–2020), English musician and producer Adrian Batten (1591–1637), English organist Adrian Bawtree (born 1968), English composer and organist Adrian Beaumont (born 1937), British composer, conductor, and professor Adrian Beers (1916–2004), British double bass player and teacher Adrian Belew (born 1949), American guitarist, singer, songwriter, multi-instrumentalist and record producer Adrian Benjamin (born 1942), actor and prebendary emeritus Adrian Biddle (1952–2005), English cinematographer Adrian Blevins (born 1964), American poet Adrian Borland (1957–1999), English singer, songwriter, guitarist and record producer Adrian Boult (1889–1983), English conductor Adrian Brown (1929–2019), British director and poet Adrian Brown (born 1949), British conductor Adrian Brunel (1892–1958), English film director and screenwriter Adrian Bustamante (born 1981), American actor Adrián Caetano (born 1969), Uruguayan-Argentine film director, producer and screenplay writer Adrian Carmack (born 1969), American video game artist Adrián Carrio (born 1986), Spanish pianist Adrian Chiles (born 1967), British television and radio presenter Adrian Clarke (photographer), English photographer Adrian Clarke (poet), British poet Adrian Conan Doyle (1910–1970), English race-car driver, big-game hunter, explorer, and writer Adrian Dingle (artist) (1911–1974), Welsh-Canadian painter and comic book artist Adrian Dunbar (born 1958), Northern Ireland actor Adrian Edmondson better known as Ade Edmondson (born 1957), English actor, comedian, director, writer and musician Adrian Enescu (1948–2016), Romanian composer Adrian Erlandsson (born 1970), Swedish heavy metal drummer Adrian Fisher (musician) (1952-2000), former guitarist for Sparks (band) Adrian Gaxha (born 1984), Macedonian singer-songwriter and producer Adrian Ghenie (born 1977), Romanian painter Adrian Gonzales (1937-1998), Filipino comic book artist Adrián Luis González (born 1939), Mexican potter Adrian Gray (born 1961), British artist Adrian Adolph Greenburg (1903–1959), costume designer for over 250 films known as simply Adrian Adrian Grenier (born 1976), American actor, producer, director, musician and environmentalist Adrian Griffin (drummer), Australian drummer Adrian Gurvitz (born 1949), English singer, musician and songwriter Adrian Hall (actor) (born 1959), British actor and co-director Adrian Hall (artist) (born 1943), British artist Adrian Hall (director) (1927–2023), American theatre director Adrian Hates (born 1973), German dark wave musician Adrian Heath (1920–1992), British painter Adrian Heathfield, British writer and curator Adrian Hoven (1922–1981), Austrian actor, producer and film director Adrian A. Husain (born 1945), Pakistani poet Adrian Ivaniţchi (born 1947), Romanian folk musician and guitarist Adrian Jones (sculptor) (1845–1938), English sculptor and painter who specialized in animals, particularly horses Adrian Jones (born 1978), Swedish musician, member of Gjallarhorn Adrian Karsten (1960–2005), American sports reporter Adrian Kowanek (born 1977), Polish musician Adrian Le Roy (1520–1598), French string player, composer, music publisher and educator Adrian Leaper (born 1953), English conductor Adrian Legg (born 1948), English guitar player Adrian Lester (born 1968), British actor Adrian Lucas (born 1962), English organist, tutor, and composer Adrian Lulgjuraj (born 1980), Albanian rock singer Adrian Lukis (born 1957), British actor Adrian Lux (born 1986), Swedish disc jockey and music producer Adrian Lyne (born 1941), English filmmaker and producer Adrian Martin (born 1959), Australian film and arts critic Adrian Martinez (actor) (born 1972), American actor and comedian Adrian McKinty (writer) (born 1968), Northern Irish writer of crime and mystery novels Adrian Minune (born 1974), Romani-Romanian manele singer Adrian Mitchell (1932–2008), English poet, novelist and playwright Adrian William Moore (born 1956), British philosopher and broadcaster Adrián Navarro (born 1969), Argentine actor Adrian Noble (born 1950), English theatre director Adrian Pasdar (born 1965), American actor and film director Adrian Paul (born 1959), English actor Adrian Pecknold (1920–1999), Canadian mime, director, and author Adrian Petriw (born 1987), Canadian actor Adrian Picardi (born 1987), American filmmaker Adrian Pintea (1954–2007), Romanian actor Adrian Piotrovsky (1898–1937), Russian dramaturge Adrian Piper (born 1948), American conceptual artist and philosophy professor Adrian Pisarello (born 1970), Gibraltarian musician and songwriter Adrian R'Mante (born 1978), American television actor Adrian Rawlins (born 1958), English actor Adrian Ludwig Richter (1803–1884), German painter and etcher Adrian Rodriguez (DJ), German DJ Adrián Rodríguez (born 1988), Spanish actor and singer from Catalonia Adrian Rodriguez, American bass guitarist for The Airborne Toxic Event Adrian Rollini (1903–1956), American multi-instrumentalist best known for his jazz music Adrian Ross (1859–1933), British lyricist Adrián Rubio, Mexican actor and model Adrian Scarborough (born 1968), English character actor Adrian Scott (1912–1972), American screenwriter and film producer Adrian Shaposhnikov (1888–1967), Russian classical composer Adrian Sherwood (born 1958), English record producer Adrian Sînă (born 1977), Romanian singer-songwriter and record producer Adrian D. Smith (born 1944), American architect Adrian Smith (born 1957), English musician and one of three guitarists/songwriters in the English band Iron Maiden Adrian Smith (illustrator), British illustrator Adrian Steirn, photographer and filmmaker Adrian Consett Stephen (1894–1918), Australian artillery officer and playwright Adrian Stokes (critic) (1902–1972), British art critic Adrian Scott Stokes (1854–1935), English landscape painter Adrian Stroe (born 1959), Romanian serial killer Adrian Sturges (born 1976), British film producer Adrián Suar (born 1968), Argentine actor and media producer Adrian Tanner, English writer and director Adrian Taylor (producer) (1954–2014), American television news producer Adrian Tchaikovsky (born 1972), British fantasy and science fiction author Adrián Terrazas-González (born 1975), Mexican jazz composer and wind player Adrian Thaws (born 1968), English musician and actor Adrian Tomine (born 1974), American cartoonist Adrian Truss (born 1953), British-Canadian actor Adrian Utley (born 1957), English musician best known as a member of the band Portishead Adrian Vandenberg (born 1954), Dutch rock guitarist Adrian Wells (born 1989), British-American clinical psychologist, singer and songwriter Adrian White (musician), Canadian drummer Adrian White (author), Anglo-Irish writer Adrian Willaert (c. 1490–1562), Flemish composer of the Renaissance and founder of the Venetian School Adrian Wilson (actor) (born 1969), South African model and actor Adrian Wilson (artist) (born 1964), British artist and photographer Adrian Wong (born 1990), Hong Kong actress Adrian Wright (1947–2015), English-Australian actor Adrian Young (born 1969), American drummer for the rock band No Doubt Adrian Younge (born 1978), American composer, arranger, and music producer Adrian Zagoritis (born 1968), British songwriter and record producer Adrian Zingg (1734–1816), Swiss painter Adrian Zmed (born 1954), American television personality and film actor Other Adrian Arendt (born 1952), Romanian sailor Adrian Bancker (1703–1772), American silversmith Adrian Beecroft (born 1947), British venture capitalist Adrian Bell (1901–1980), English ruralist journalist, crossword compiler, and farmer Adrian Bellamy (born 1941/1942), British businessman Adrian Block (1567–1627), Dutch explorer of the American East Coast Adrian Brown (archivist) (born 1969), British archivist Adrian Brown (journalist), Australian journalist Adrian Cheng (born 1979), Hong Kong entrepreneur and business executive Adrian Cioroianu (born 1967), Romanian historian, politician, journalist, and essayist Adrian Cronauer (1938–2018), American former lawyer and radio speaker Adrian Diel (1756–1839), German physician Adrian Finighan (born 1964), British journalist Adrian Frutiger (1928–2015), Swiss typeface designer Adrian Fulford (born 1953), British judge Adrian Geiges (born 1960), German writer and journalist Adrian Anthony Gill (1954–2016), British writer and critic Adrian Gonzalez (kidnapper) (born 2000), American kidnapper Adrián Gómez González, Mexican drug lord Adrián Arroyo Gutiérrez (born 1976), Costa Rican serial killer and rapist, known as The Southern Psychopath Adrian Hanauer (born 1966), American businessman and minority owner and general manager of the Seattle Sounders FC Adrian Hayes (adventurer) (born 1959), British explorer Adrian Holovaty (born 1981), American web developer, journalist and entrepreneur Adrian van Hooydonk (born 1964), Dutch automobile designer Adrian Albert Jurgens (1886–1953), South African philatelist Adrian Kantrowitz (1918–2008), American cardiac surgeon Adrian Kashchenko (1858–1921), Ukrainian writer, historian of the Zaporozhian Cossacks Adrian Knox (1863–1932), Australian judge Adrian Künzi (born 1973), Swiss banker Adrian Lamo (born 1981), Colombian-American threat analyst and "grey hat" hacker Adrian Lim (1942–1988), Singaporean serial killer Adrian Long, British civil engineer Adrian Mikhalchishin (born 1954), Ukrainian chess grandmaster Adrian von Mynsicht (1603–1638), German alchemist Adrian Parr (born 1967), Australian philosopher and cultural critic Adrian Păunescu (1943–2010), Romanian poet, journalist, and politician Adrian Plass (born 1948), English author and speaker Adrian Rogers (1931–2005), American pastor, conservative and author Adrian Andrei Rusu (born 1951), Romanian medieval archaeologist Adrian Anthony Spears (1910–1991), American judge Adrián Steckel, Mexican businessman Adrian Stephen (1883–1948), British author and psychoanalyst, brother of Virginia Woolf and Vanessa Bell Adrian Stroe (born 1959), Romanian serial killer Adrian Swire (1932 – 2018), billionaire British heir and businessman Adrian Ursu (born 1968), Romanian journalist Adrian Weale (born 1964), English writer, journalist, illustrator and photographer Adrian Wewer (1836–1914), German-born American architect and Franciscan friar Adrian White (businessman) (born 1942), British businessman, founder of Biwater Adrian Zecha (born 1933), Indonesian hotelier Adrian Yeboah Otoo (born 1985) Pharmacist and Entrepreneur Ghanaian Fictional characters Adrien Agreste, a superhero and male protagonist of Miraculous: Tales of Ladybug & Cat Noir Adrian Andrews, Ace Attorney character from Justice for All Adrian Chase, DC Comics superhero Adrian Corbo, alias Flex, a Marvel Comics superhero Adrian "Fletch" Fletcher, character on the British medical dramas Casualty and Holby City Adrian Hall, character on the soap opera Home and Away Adrian Ivashkov, character in Richelle Mead's Vampire Academy and protagonist in Bloodlines Adrian Leverkühn, protagonist of Thomas Mann's Doctor Faustus Adrian Mole, protagonist of The Secret Diary of Adrian Mole Adrian Monk, protagonist of the television series Monk Adrian Pennino, wife of Rocky Balboa Adrian Seidelman, character from the Cybersix comic and television series Adrian Shephard, protagonist of the Half-Life expansion "Half-Life: Opposing Force" Adrian Fahrenheit Ţepeş, alias Alucard, character in the Castlevania video games Adrian Toomes, alias Vulture, a Marvel Comics villain Adrian Veidt, alias Ozymandias, character in the Watchmen graphic novel series Adrian Woodhouse, spawn of Satan in the film Rosemary's Baby Adrian, a character in Shakespeare's Coriolanus, is a Volscian who is oddly friendly with a Roman named Nicanor, and acts as a spy for the state. Adrian, a mental woman in The Crush (1993 film) Adrian, a son of Satan in Little Nicky See also Adreian Hadrien References Sources English masculine given names Masculine given names German masculine given names Dutch masculine given names Norwegian masculine given names Swedish masculine given names Danish masculine given names Icelandic masculine given names Romanian masculine given names Spanish masculine given names
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https://en.wikipedia.org/wiki/Abraham
Abraham
Abraham (originally Abram) is the common Hebrew patriarch of the Abrahamic religions, including Judaism, Christianity, and Islam. In Judaism, he is the founding father of the special relationship between the Jews and God; in Christianity, he is the spiritual progenitor of all believers, whether Jewish or non-Jewish; and in Islam, he is a link in the chain of Islamic prophets that begins with Adam and culminates in Muhammad. The story of the life of Abraham as told in the narrative of the Book of Genesis revolves around the themes of posterity and land. He is said to have been called by God to leave the house of his father Terah and settle in the land of Canaan, which God now promises to Abraham and his progeny. This promise is subsequently inherited by Isaac, Abraham's son, by his wife Sarah, while Isaac's half-brother Ishmael is also promised that he will be the founder of a great nation. Abraham purchases a tomb (the Cave of the Patriarchs) at Hebron to be Sarah's grave, thus establishing his right to the land; and, in the second generation, his heir Isaac is married to a woman from his own kin, thus ruling the Canaanites out of any inheritance. Abraham later marries Keturah and has six more sons; but, on his death, when he is buried beside Sarah, it is Isaac who receives "all Abraham's goods" while the other sons receive only "gifts". Most scholars view the patriarchal age, along with the Exodus and the period of the biblical judges, as a late literary construct that does not relate to any particular historical era, and after a century of exhaustive archaeological investigation, no evidence has been found for a historical Abraham. It is largely concluded that the Torah, the series of books that includes Genesis, was composed during the early Persian period, , as a result of tensions between Jewish landowners who had stayed in Judah during the Babylonian captivity and traced their right to the land through their "father Abraham", and the returning exiles who based their counterclaim on Moses and the Exodus tradition of the Israelites. The Abraham cycle Structure and narrative programs The Abraham cycle is not structured by a unified plot centered on a conflict and its resolution or a problem and its solution. The episodes are often only loosely linked, and the sequence is not always logical, but it is unified by the presence of Abraham himself, as either actor or witness, and by the themes of posterity and land. These themes form "narrative programs" set out in Genesis 11:27–31 concerning the sterility of Sarah and 12:1–3 in which Abraham is ordered to leave the land of his birth for the land YHWH will show him. Origins and calling Terah, the ninth in descent from Noah, was the father of Abram, Nahor, and Haran ( Hārān). Haran was the father of Lot, who was Abram's nephew; the entire family lived in Ur of the Chaldees. Haran died in his native city, Ur of the Chaldees. Abram married Sarah (Sarai), who was barren. Terah, Abram, Sarai, and Lot departed for Canaan, but settled in a place named Haran ( Ḥārān), where Terah died at the age of 205. God had told Abram to leave his country and kindred and go to a land that he would show him, and promised to make of him a great nation, bless him, make his name great, bless them that bless him, and curse them who may curse him. Abram was 75 years old when he left Haran with his wife Sarai, his nephew Lot, and the substance and souls that they had acquired, and traveled to Shechem in Canaan. Then he pitched his tent in the east of Bethel, and built an altar which was between Bethel and Ai. Sarai There was a severe famine in the land of Canaan, so that Abram and Lot and their households traveled to Egypt. On the way Abram told Sarai to say that she was his sister, so that the Egyptians would not kill him. When they entered Egypt, the Pharaoh's officials praised Sarai's beauty to Pharaoh, and they took her into the palace and gave Abram goods in exchange. God afflicted Pharaoh and his household with plagues, which led Pharaoh to try to find out what was wrong. Upon discovering that Sarai was a married woman, Pharaoh demanded that Abram and Sarai leave. Abram and Lot separate When they lived for a while in the Negev after being banished from Egypt and came back to the Bethel and Ai area, Abram's and Lot's sizable herds occupied the same pastures. This became a problem for the herdsmen, who were assigned to each family's cattle. The conflicts between herdsmen had become so troublesome that Abram suggested that Lot choose a separate area, either on the left hand or on the right hand, that there be no conflict amongst brethren. Lot decided to go eastward to the plain of Jordan, where the land was well watered everywhere as far as Zoar, and he dwelled in the cities of the plain toward Sodom. Abram went south to Hebron and settled in the plain of Mamre, where he built another altar to worship God. Chedorlaomer During the rebellion of the Jordan River cities, Sodom and Gomorrah, against Elam, Abram's nephew, Lot, was taken prisoner along with his entire household by the invading Elamite forces. The Elamite army came to collect the spoils of war, after having just defeated the king of Sodom's armies. Lot and his family, at the time, were settled on the outskirts of the Kingdom of Sodom which made them a visible target. One person who escaped capture came and told Abram what happened. Once Abram received this news, he immediately assembled 318 trained servants. Abram's force headed north in pursuit of the Elamite army, who were already worn down from the Battle of Siddim. When they caught up with them at Dan, Abram devised a battle plan by splitting his group into more than one unit, and launched a night raid. Not only were they able to free the captives, Abram's unit chased and slaughtered the Elamite King Chedorlaomer at Hobah, just north of Damascus. They freed Lot, as well as his household and possessions, and recovered all of the goods from Sodom that had been taken. Upon Abram's return, Sodom's king came out to meet with him in the Valley of Shaveh, the "king's dale". Also, Melchizedek king of Salem (Jerusalem), a priest of El Elyon, brought out bread and wine and blessed Abram and God. Abram then gave Melchizedek a tenth of everything. The king of Sodom then offered to let Abram keep all the possessions if he would merely return his people. Abram refused any deal from the king of Sodom, other than the share to which his allies were entitled. Covenant of the pieces The voice of the Lord came to Abram in a vision and repeated the promise of the land and descendants as numerous as the stars. Abram and God made a covenant ceremony, and God told of the future bondage of Israel in Egypt. God described to Abram the land that his offspring would claim: the land of the Kenites, Kenizzites, Kadmonites, Hittites, Perizzites, Rephaims, Amorites, Canaanites, Girgashites, and Jebusites. Hagar Abram and Sarai tried to make sense of how he would become a progenitor of nations, because after 10 years of living in Canaan, no child had been born. Sarai then offered her Egyptian slave, Hagar, to Abram with the intention that she would bear him a son. After Hagar found she was pregnant, she began to despise her mistress, Sarai. Sarai responded by mistreating Hagar, and Hagar fled into the wilderness. An angel spoke with Hagar at the fountain on the way to Shur. He instructed her to return to Abram's camp and that her son would be "a wild ass of a man; his hand shall be against every man, and every man's hand against him; and he shall dwell in the face of all his brethren." She was told to call her son Ishmael. Hagar then called God who spoke to her "El-roi", ("Thou God seest me:" KJV). From that day onward, the well was called Beer-lahai-roi, ("The well of him that liveth and seeth me." KJV margin), located between Kadesh and Bered. She then did as she was instructed by returning to her mistress in order to have her child. Abram was 86 years of age when Ishmael was born. Sarah Thirteen years later, when Abram was 99 years of age, God declared Abram's new name: "Abraham" – "a father of many nations". Abraham then received the instructions for the covenant of the pieces, of which circumcision was to be the sign. God declared Sarai's new name: "Sarah", blessed her, and told Abraham, "I will give thee a son also of her". Abraham laughed, and "said in his heart, 'Shall a child be born unto him that is a hundred years old? and shall Sarah, that is ninety years old, bear [a child]?'" Immediately after Abraham's encounter with God, he had his entire household of men, including himself (age 99) and Ishmael (age 13), circumcised. Three visitors Not long afterward, during the heat of the day, Abraham had been sitting at the entrance of his tent by the terebinths of Mamre. He looked up and saw three men in the presence of God. Then he ran and bowed to the ground to welcome them. Abraham then offered to wash their feet and fetch them a morsel of bread, to which they assented. Abraham rushed to Sarah's tent to order ash cakes made from choice flour, then he ordered a servant-boy to prepare a choice calf. When all was prepared, he set curds, milk and the calf before them, waiting on them, under a tree, as they ate. One of the visitors told Abraham that upon his return next year, Sarah would have a son. While at the tent entrance, Sarah overheard what was said and she laughed to herself about the prospect of having a child at their ages. The visitor inquired of Abraham why Sarah laughed at bearing a child at her age, as nothing is too hard for God. Frightened, Sarah denied laughing. Abraham's plea After eating, Abraham and the three visitors got up. They walked over to the peak that overlooked the 'cities of the plain' to discuss the fate of Sodom and Gomorrah for their detestable sins that were so great, it moved God to action. Because Abraham's nephew was living in Sodom, God revealed plans to confirm and judge these cities. At this point, the two other visitors left for Sodom. Then Abraham turned to God and pleaded decrementally with Him (from fifty persons to less) that "if there were at least ten righteous men found in the city, would not God spare the city?" For the sake of ten righteous people, God declared that he would not destroy the city. When the two visitors arrived in Sodom to conduct their report, they planned on staying in the city square. However, Abraham's nephew, Lot, met with them and strongly insisted that these two "men" stay at his house for the night. A rally of men stood outside of Lot's home and demanded that Lot bring out his guests so that they may "know" ( 5) them. However, Lot objected and offered his virgin daughters who had not "known" (v. 8) man to the rally of men instead. They rejected that notion and sought to break down Lot's door to get to his male guests, thus confirming the wickedness of the city and portending their imminent destruction. Early the next morning, Abraham went to the place where he stood before God. He "looked out toward Sodom and Gomorrah" and saw what became of the cities of the plain, where not even "ten righteous" (v. 18:32) had been found, as "the smoke of the land went up as the smoke of a furnace." Abimelech Abraham settled between Kadesh and Shur in what the Bible anachronistically calls "the land of the Philistines". While he was living in Gerar, Abraham openly claimed that Sarah was his sister. Upon discovering this news, King Abimelech had her brought to him. God then came to Abimelech in a dream and declared that taking her would result in death because she was a man's wife. Abimelech had not laid hands on her, so he inquired if he would also slay a righteous nation, especially since Abraham had claimed that he and Sarah were siblings. In response, God told Abimelech that he did indeed have a blameless heart and that is why he continued to exist. However, should he not return the wife of Abraham back to him, God would surely destroy Abimelech and his entire household. Abimelech was informed that Abraham was a prophet who would pray for him. Early next morning, Abimelech informed his servants of his dream and approached Abraham inquiring as to why he had brought such great guilt upon his kingdom. Abraham stated that he thought there was no fear of God in that place, and that they might kill him for his wife. Then Abraham defended what he had said as not being a lie at all: "And yet indeed she is my sister; she is the daughter of my father, but not the daughter of my mother; and she became my wife." Abimelech returned Sarah to Abraham, and gave him gifts of sheep, oxen, and servants; and invited him to settle wherever he pleased in Abimelech's lands. Further, Abimelech gave Abraham a thousand pieces of silver to serve as Sarah's vindication before all. Abraham then prayed for Abimelech and his household, since God had stricken the women with infertility because of the taking of Sarah. After living for some time in the land of the Philistines, Abimelech and Phicol, the chief of his troops, approached Abraham because of a dispute that resulted in a violent confrontation at a well. Abraham then reproached Abimelech due to his Philistine servant's aggressive attacks and the seizing of Abraham's well. Abimelech claimed ignorance of the incident. Then Abraham offered a pact by providing sheep and oxen to Abimelech. Further, to attest that Abraham was the one who dug the well, he also gave Abimelech seven ewes for proof. Because of this sworn oath, they called the place of this well: Beersheba. After Abimelech and Phicol headed back to Philistia, Abraham planted a tamarisk grove in Beersheba and called upon "the name of the , the everlasting God." Isaac As had been prophesied in Mamre the previous year, Sarah became pregnant and bore a son to Abraham, on the first anniversary of the covenant of circumcision. Abraham was "an hundred years old", when his son whom he named Isaac was born; and he circumcised him when he was eight days old. For Sarah, the thought of giving birth and nursing a child, at such an old age, also brought her much laughter, as she declared, "God hath made me to laugh, so that all who hear will laugh with me." Isaac continued to grow and on the day he was weaned, Abraham held a great feast to honor the occasion. During the celebration, however, Sarah found Ishmael mocking; an observation that would begin to clarify the birthright of Isaac. Ishmael Ishmael was fourteen years old when Abraham's son Isaac was born to Sarah. When she found Ishmael teasing Isaac, Sarah told Abraham to send both Ishmael and Hagar away. She declared that Ishmael would not share in Isaac's inheritance. Abraham was greatly distressed by his wife's words and sought the advice of his God. God told Abraham not to be distressed but to do as his wife commanded. God reassured Abraham that "in Isaac shall seed be called to thee." He also said that Ishmael would make a nation, "because he is thy seed". Early the next morning, Abraham brought Hagar and Ishmael out together. He gave her bread and water and sent them away. The two wandered in the wilderness of Beersheba until her bottle of water was completely consumed. In a moment of despair, she burst into tears. After God heard the boy's voice, an angel of the Lord confirmed to Hagar that he would become a great nation, and will be "living on his sword". A well of water then appeared so that it saved their lives. As the boy grew, he became a skilled archer living in the wilderness of Paran. Eventually his mother found a wife for Ishmael from her home country, the land of Egypt. Binding of Isaac At some point in Isaac's youth, Abraham was commanded by God to offer his son up as a sacrifice in the land of Moriah. The patriarch traveled three days until he came to the mount that God told him of. He then commanded the servants to remain while he and Isaac proceeded alone into the mount. Isaac carried the wood upon which he would be sacrificed. Along the way, Isaac asked his father where the animal for the burnt offering was, to which Abraham replied "God will provide himself a lamb for a burnt offering". Just as Abraham was about to sacrifice his son, he was interrupted by the angel of the Lord, and he saw behind him a "ram caught in a thicket by his horns", which he sacrificed instead of his son. The place was later named as Jehovah-jireh. For his obedience he received another promise of numerous descendants and abundant prosperity. After this event, Abraham went to Beersheba. Later years Sarah died, and Abraham buried her in the Cave of the Patriarchs (the "cave of Machpelah"), near Hebron which he had purchased along with the adjoining field from Ephron the Hittite. After the death of Sarah, Abraham took another wife, a concubine named Keturah, by whom he had six sons: Zimran, Jokshan, Medan, Midian, Ishbak, and Shuah. According to the Bible, reflecting the change of his name to "Abraham" meaning "a father of many nations", Abraham is considered to be the progenitor of many nations mentioned in the Bible, among others the Israelites, Ishmaelites, Edomites, Amalekites, Kenizzites, Midianites and Assyrians, and through his nephew Lot he was also related to the Moabites and Ammonites. Abraham lived to see his son marry Rebekah, and to see the birth of his twin grandsons Jacob and Esau. He died at age 175, and was buried in the cave of Machpelah by his sons Isaac and Ishmael. Historicity and origins of the narrative Historicity In the early and middle 20th century, leading archaeologists such as William F. Albright and G. Ernest Wright and biblical scholars such as Albrecht Alt and John Bright believed that the patriarchs and matriarchs were either real individuals or believable composites of people who lived in the "patriarchal age", the 2nd millennium BCE. But, in the 1970s, new arguments concerning Israel's past and the biblical texts challenged these views; these arguments can be found in Thomas L. Thompson's The Historicity of the Patriarchal Narratives (1974), and John Van Seters' Abraham in History and Tradition (1975). Thompson, a literary scholar, based his argument on archaeology and ancient texts. His thesis centered on the lack of compelling evidence that the patriarchs lived in the 2nd millennium BCE, and noted how certain biblical texts reflected first millennium conditions and concerns. Van Seters examined the patriarchal stories and argued that their names, social milieu, and messages strongly suggested that they were Iron Age creations. Van Seter and Thompson's works were a paradigm shift in biblical scholarship and archaeology, which gradually led scholars to no longer consider the patriarchal narratives as historical. Some conservative scholars attempted to defend the Patriarchal narratives in the following years, but this has not found acceptance among scholars. By the beginning of the 21st century, archaeologists had given up hope of recovering any context that would make Abraham, Isaac or Jacob credible historical figures. Origins of the narrative Abraham's story, like those of the other patriarchs, most likely had a substantial oral prehistory (he is mentioned in the Book of Ezekiel and the Book of Isaiah). As with Moses, Abraham's name is apparently very ancient, as the tradition found in the Book of Genesis no longer understands its original meaning (probably "Father is exalted" – the meaning offered in Genesis 17:5, "Father of a multitude", is a false etymology). At some stage the oral traditions became part of the written tradition of the Pentateuch; a majority of scholars believe this stage belongs to the Persian period, roughly 520–320 BCE. The mechanisms by which this came about remain unknown, but there are currently at least two hypotheses. The first, called Persian Imperial authorisation, is that the post-Exilic community devised the Torah as a legal basis on which to function within the Persian Imperial system; the second is that the Pentateuch was written to provide the criteria for determining who would belong to the post-Exilic Jewish community and to establish the power structures and relative positions of its various groups, notably the priesthood and the lay "elders". The completion of the Torah and its elevation to the centre of post-Exilic Judaism was as much or more about combining older texts as writing new ones – the final Pentateuch was based on existing traditions. In the Book of Ezekiel, written during the Exile (i.e., in the first half of the 6th century BCE), Ezekiel, an exile in Babylon, tells how those who remained in Judah are claiming ownership of the land based on inheritance from Abraham; but the prophet tells them they have no claim because they do not observe Torah. The Book of Isaiah similarly testifies of tension between the people of Judah and the returning post-Exilic Jews (the "gôlâ"), stating that God is the father of Israel and that Israel's history begins with the Exodus and not with Abraham. The conclusion to be inferred from this and similar evidence (e.g., Ezra–Nehemiah), is that the figure of Abraham must have been preeminent among the great landowners of Judah at the time of the Exile and after, serving to support their claims to the land in opposition to those of the returning exiles. Religious traditions Abraham is given a high position of respect in three major world faiths, Judaism, Christianity and Islam. In Judaism, he is the founding father of the covenant, the special relationship between the Jewish people and God – leading to the belief that the Jews are the chosen people of God. In Christianity, Paul the Apostle taught that Abraham's faith in God – preceding the Mosaic law – made him the prototype of all believers, Jewish or gentile; and in Islam he is seen as a link in the chain of prophets that begins with Adam and culminates in Muhammad. Judaism In Jewish tradition, Abraham is called Avraham Avinu (אברהם אבינו), "our father Abraham," signifying that he is both the biological progenitor of the Jews and the father of Judaism, the first Jew. His story is read in the weekly Torah reading portions, predominantly in the parashot: Lech-Lecha (לֶךְ-לְךָ), Vayeira (וַיֵּרָא), Chayei Sarah (חַיֵּי שָׂרָה), and Toledot (תּוֹלְדֹת). Hanan bar Rava taught in Abba Arikha's name that Abraham's mother was named ʾĂmatlaʾy bat Karnebo. Hiyya bar Abba taught that Abraham worked in Teraḥ's idol shop in his youth. In Legends of the Jews, God created heaven and earth for the sake of the merits of Abraham. After the biblical flood, Abraham was the only one among the pious who solemnly swore never to forsake God, studied in the house of Noah and Shem to learn about the "Ways of God," continued the line of High Priest from Noah and Shem, and assigning the office to Levi and his seed forever. Before leaving his father's land, Abraham was miraculously saved from the fiery furnace of Nimrod following his brave action of breaking the idols of the Chaldeans into pieces. During his sojourning in Canaan, Abraham was accustomed to extend hospitality to travelers and strangers and taught how to praise God also knowledge of God to those who had received his kindness. Along with Isaac and Jacob, he is the one whose name would appear united with God, as God in Judaism was called Elohei Abraham, Elohei Yitzchaq ve Elohei Ya'aqob ("God of Abraham, God of Isaac, and God of Jacob") and never the God of anyone else. He was also mentioned as the father of thirty nations. Abraham is generally credited as the author of the Sefer Yetzirah, one of the earliest extant books on Jewish mysticism. According to Pirkei Avot, Abraham underwent ten tests at God's command. The Binding of Isaac is specified in the Bible as a test; the other nine are not specified, but later rabbinical sources give various enumerations. Christianity In Christianity, Abraham is revered as the prophet to whom God chose to reveal himself and with whom God initiated a covenant (cf. Covenant Theology). Paul the Apostle declared that all who believe in Jesus (Christians) are "included in the seed of Abraham and are inheritors of the promise made to Abraham." In Romans 4, Abraham is praised for his "unwavering faith" in God, which is tied into the concept of partakers of the covenant of grace being those "who demonstrate faith in the saving power of Christ". Throughout history, church leaders, following Paul, have emphasized Abraham as the spiritual father of all Christians. Augustine of Hippo declared that Christians are "children (or "seed") of Abraham by faith", Ambrose stated that "by means of their faith Christians possess the promises made to Abraham", and Martin Luther recalled Abraham as "a paradigm of the man of faith." The Roman Catholic Church, the largest Christian denomination, calls Abraham "our father in Faith" in the Eucharistic prayer of the Roman Canon, recited during the Mass. He is also commemorated in the calendars of saints of several denominations: on 20 August by the Maronite Church, 28 August in the Coptic Church and the Assyrian Church of the East (with the full office for the latter), and on 9 October by the Roman Catholic Church and the Lutheran Church–Missouri Synod. In the introduction to his 15th-century translation of the Golden Legend's account of Abraham, William Caxton noted that this patriarch's life was read in church on Quinquagesima Sunday. He is the patron saint of those in the hospitality industry. The Eastern Orthodox Church commemorates him as the "Righteous Forefather Abraham", with two feast days in its liturgical calendar. The first time is on 9 October (for those churches which follow the traditional Julian Calendar, 9 October falls on 22 October of the modern Gregorian Calendar), where he is commemorated together with his nephew "Righteous Lot". The other is on the "Sunday of the Forefathers" (two Sundays before Christmas), when he is commemorated together with other ancestors of Jesus. Abraham is also mentioned in the Divine Liturgy of Basil the Great, just before the Anaphora, and Abraham and Sarah are invoked in the prayers said by the priest over a newly married couple. Some Christian theologians equate the "three visitors" with the Holy Trinity, seeing in their apparition a theophany experienced by Abraham (see also the articles on the Constantinian basilica at Mamre and the church at the so-called "Oak of Mamre"). Islam Islam regards Abraham as a link in the chain of prophets that begins with Adam and culminates in Muhammad. Ibrāhīm is mentioned in 35 chapters of the Quran, more often than any other biblical personage apart from Moses. He is called both a hanif (monotheist) and muslim (one who submits), and Muslims regard him as a prophet and patriarch, the archetype of the perfect Muslim, and the revered reformer of the Kaaba in Mecca. Islamic traditions consider Ibrāhīm the first Pioneer of Islam (which is also called millat Ibrahim, the "religion of Abraham"), and that his purpose and mission throughout his life was to proclaim the Oneness of God. In Islam, Abraham holds an exalted position among the major prophets and he is referred to as "Ibrahim Khalilullah", meaning "Abraham the Beloved of God". Besides Ishaq and Yaqub, Ibrahim is among the most honorable and the most excellent men in sight of God. Ibrahim was also mentioned in Quran as "Father of Muslims" and the role model for the community. Druze The Druze regard Abraham as the third spokesman (natiq) after Adam and Noah, who helped transmit the foundational teachings of monotheism (tawhid) intended for the larger audience. He is also among the seven prophets who appeared in different periods of history according to the Druze faith. Mandaeism In Mandaeism, Abraham () is mentioned in Book 18 of the Right Ginza as the patriarch of the Jewish people. Mandaeans consider Abraham to have been originally a Mandaean priest, however they differ with Abraham and Jews regarding circumcision which they consider to be bodily mutilation and therefore forbidden. In the arts Painting and sculpture Paintings on the life of Abraham tend to focus on only a few incidents: the sacrifice of Isaac; meeting Melchizedek; entertaining the three angels; Hagar in the desert; and a few others. Additionally, Martin O'Kane, a professor of Biblical Studies, writes that the parable of Lazarus resting in the "Bosom of Abraham", as described in the Gospel of Luke, became an iconic image in Christian works. According to O'Kane, artists often chose to divert from the common literary portrayal of Lazarus sitting next to Abraham at a banquet in Heaven and instead focus on the "somewhat incongruous notion of Abraham, the most venerated of patriarchs, holding a naked and vulnerable child in his bosom". Several artists have been inspired by the life of Abraham, including Albrecht Dürer (1471–1528), Caravaggio (1573–1610), Donatello, Raphael, Philip van Dyck (Dutch painter, 1680–1753), and Claude Lorrain (French painter, 1600–1682). Rembrandt (Dutch, 1606–1669) created at least seven works on Abraham, Peter Paul Rubens (1577–1640) did several, Marc Chagall did at least five on Abraham, Gustave Doré (French illustrator, 1832–1883) did six, and James Tissot (French painter and illustrator, 1836–1902) did over twenty works on the subject. The Sarcophagus of Junius Bassus depicts a set of biblical stories, including Abraham about to sacrifice Isaac. These sculpted scenes are on the outside of a marble Early Christian sarcophagus used for the burial of Junius Bassus. He died in 359. This sarcophagus has been described as "probably the single most famous piece of early Christian relief sculpture." The sarcophagus was originally placed in or under Old St. Peter's Basilica, was rediscovered in 1597, and is now below the modern basilica in the Museo Storico del Tesoro della Basilica di San Pietro (Museum of St. Peter's Basilica) in the Vatican. The base is approximately . The Old Testament scenes depicted were chosen as precursors of Christ's sacrifice in the New Testament, in an early form of typology. Just to the right of the middle is Daniel in the lion's den and on the left is Abraham about to sacrifice Isaac. George Segal created figural sculptures by molding plastered gauze strips over live models in his 1987 work Abraham's Farewell to Ishmael. The human condition was central to his concerns, and Segal used the Old Testament as a source for his imagery. This sculpture depicts the dilemma faced by Abraham when Sarah demanded that he expel Hagar and Ishmael. In the sculpture, the father's tenderness, Sarah's rage, and Hagar's resigned acceptance portray a range of human emotions. The sculpture was donated to the Miami Art Museum after the artist's death in 2000. Christian iconography Usually Abraham can be identified by the context of the image the meeting with Melchizedek, the three visitors, or the sacrifice of Isaac. In solo portraits a sword or knife may be used as his attribute, as in this statue by Gian Maria Morlaiter or this painting by Lorenzo Monaco. He always wears a gray or white beard. As early as the beginning of the 3rd century, Christian art followed Christian typology in making the sacrifice of Isaac a foreshadowing of Christ's sacrifice on the cross and its memorial in the sacrifice of the Mass. See for example this 11th-century Christian altar engraved with Abraham's and other sacrifices taken to prefigure that of Christ in the Eucharist. Some early Christian writers interpreted the three visitors as the triune God. Thus in Santa Maria Maggiore, Rome, a 5th-century mosaic portrays only the visitors against a gold ground and puts semitransparent copies of them in the "heavenly" space above the scene. In Eastern Orthodox art, the visit is the chief means by which the Trinity is pictured (example). Some images do not include Abraham and Sarah, like Andrei Rublev's Trinity, which shows only the three visitors as beardless youths at a table. Literature Fear and Trembling (original Danish title: Frygt og Bæven) is an influential philosophical work by Søren Kierkegaard, published in 1843 under the pseudonym Johannes de silentio (John the Silent). Kierkegaard wanted to understand the anxiety that must have been present in Abraham when God asked him to sacrifice his son. W. G. Hardy's novel Father Abraham (1935) tells the fictionalized life story of Abraham. In her short story collection Sarah and After, Lynne Reid Banks tells the story of Abraham and Sarah, with an emphasis on Sarah's view of events. Music In 1681, Marc-Antoine Charpentier released a Dramatic motet (Oratorio), Sacrificim Abrahae H.402 – 402 a – 402 b, for soloists, chorus, doubling instruments and continuo. Sébastien de Brossard released a cantate Abraham (date unknown). In 1994, Steve Reich released an opera named The Cave. The title refers to the Cave of the Patriarchs. The narrative of the opera is based on the story of Abraham and his immediate family as it is recounted in the various religious texts, and as it is understood by individual people from different cultures and religious traditions. Bob Dylan's "Highway 61 Revisited" is the title track for his 1965 album Highway 61 Revisited. In 2004, Rolling Stone magazine ranked the song as number 364 in their 500 Greatest Songs of All Time. The song has five stanzas. In each stanza, someone describes an unusual problem that is ultimately resolved on Highway 61. In Stanza 1, God tells Abraham to "kill me a son". God wants the killing done on Highway 61. Abram, the original name of the biblical Abraham, is also the name of Dylan's own father. See also Notes References Bibliography External links Abraham smashes the idols (accessed 24 March 2011). "Journey and Life of the Patriarch Abraham", a map dating back to 1590. Kitáb-i-Íqán 21st-century BC people Angelic visionaries Biblical patriarchs Book of Genesis people Christian saints from the Old Testament Founders of religions Lech-Lecha Legendary progenitors People whose existence is disputed Prophets in the Druze faith Ur of the Chaldees Vayeira People from Harran Slave owners Converts to Judaism from paganism
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https://en.wikipedia.org/wiki/Abraxas
Abraxas
Abraxas (, variant form romanized: ) is a word of mystic meaning in the system of the Gnostic Basilides, being there applied to the "Great Archon" (), the princeps of the 365 spheres (). The word is found in Gnostic texts such as the Holy Book of the Great Invisible Spirit, and also appears in the Greek Magical Papyri. It was engraved on certain antique gemstones, called on that account Abraxas stones, which were used as amulets or charms. As the initial spelling on stones was (), the spelling of seen today probably originates in the confusion made between the Greek letters sigma (Σ) and xi (Ξ) in the Latin transliteration. The seven letters spelling its name may represent each of the seven classic planets. The word may be related to Abracadabra, although other explanations exist. There are similarities and differences between such figures in reports about Basilides's teaching, ancient Gnostic texts, the larger Greco-Roman magical traditions, and modern magical and esoteric writings. Speculations have proliferated on Abraxas in recent centuries, who has been claimed to be both an Egyptian god and a demon. Etymology Gaius Julius Hyginus (Fab. 183) gives Abrax Aslo Therbeeo as names of horses of the sun mentioned by 'Homerus'. The passage is miserably corrupt: but it may not be accidental that the first three syllables make Abraxas. The proper form of the name is evidently Abrasax, as with the Greek writers, Hippolytus, Epiphanius, Didymus (De Trin. iii. 42), and Theodoret; also Augustine and Praedestinatus; and in nearly all the legends on gems. By a probably euphonic inversion the translator of Irenaeus and the other Latin authors have Abraxas, which is found in the magical papyri, and even, though most sparingly, on engraved stones. The attempts to discover a derivation for the name, Greek, Hebrew, Coptic, or other, have not been entirely successful: Egyptian Claudius Salmasius (1588-1653) thought it Egyptian, but never gave the proofs which he promised. J. J. Bellermann thinks it is a compound of the Egyptian words and , meaning "the honorable and hallowed word", or "the word is adorable". Samuel Sharpe finds in it an Egyptian invocation to the Godhead, meaning "hurt me not". Hebrew Abraham Geiger sees in it a Grecized form of , "the blessing", a meaning which Charles William King declares philologically untenable. J. B. Passerius derives it from , "father", , "to create", and negative—"the uncreated Father". Giuseppe Barzilai goes back for explanation to the first verse of the prayer attributed to Nehunya ben HaKanah, the literal rendering of which is "O [God], with thy mighty right hand deliver the unhappy [people]", forming from the initial and final letters of the words the word Abrakd (pronounced Abrakad), with the meaning "the host of the winged ones", i.e., angels. While this theory can explain the mystic word Abracadabra, the association of this phrase with Abrasax is uncertain. Greek Wendelin discovers a compound of the initial letters, amounting to 365 in numerical value, of four Hebrew and three Greek words, all written with Greek characters: ("Father, Son, Spirit, holy; salvation from the cross"). According to a note of Isaac de Beausobre's, Jean Hardouin accepted the first three of these, taking the four others for the initials of the Greek , "saving mankind by the holy cross". Isaac de Beausobre derives Abraxas from the Greek and , "the beautiful, the glorious Savior". Perhaps the word may be included among those mysterious expressions discussed by Adolf von Harnack, "which belong to no known speech, and by their singular collocation of vowels and consonants give evidence that they belong to some mystic dialect, or take their origin from some supposed divine inspiration". The Egyptian author of the book De Mysteriis in reply to Porphyry (vii. 4) admits a preference of 'barbarous' to vernacular names in sacred things, urging a peculiar sanctity in the languages of certain nations, as the Egyptians and Assyrians; and Origen (Contra Cels. i. 24) refers to the 'potent names' used by Egyptian sages, Persian Magi, and Indian Brahmins, signifying deities in the several languages. Sources It is uncertain what the actual role and function of Abraxas was in the Basilidian system, as our authorities (see below) often show no direct acquaintance with the doctrines of Basilides himself. As an archon In the system described by Irenaeus, "the Unbegotten Father" is the progenitor of Nous, and Nous produced Logos, Logos produced Phronesis, Phronesis produced Sophia and Dynamis, Sophia and Dynamis produced principalities, powers, and angels, the last of whom create "the first heaven". They in turn originate a second series, who create a second heaven. The process continues in like manner until 365 heavens are in existence, the angels of the last or visible heaven being the authors of our world. "The ruler" [principem, i.e., probably ton archonta] of the 365 heavens "is Abraxas, and for this reason he contains within himself 365 numbers". The name occurs in the Refutation of all Heresies (vii. 26) by Hippolytus, who appears in these chapters to have followed the Exegetica of Basilides. After describing the manifestation of the Gospel in the Ogdoad and Hebdomad, he adds that the Basilidians have a long account of the innumerable creations and powers in the several 'stages' of the upper world (diastemata), in which they speak of 365 heavens and say that "their great archon" is Abrasax, because his name contains the number 365, the number of the days in the year; i.e. the sum of the numbers denoted by the Greek letters in ΑΒΡΑΣΑΞ according to the rules of isopsephy is 365: As a god Epiphanius (Haer. 69, 73 f.) appears to follow partly Irenaeus, partly the lost Compendium of Hippolytus. He designates Abraxas more distinctly as "the power above all, and First Principle", "the cause and first archetype" of all things; and mentions that the Basilidians referred to 365 as the number of parts (mele) in the human body, as well as of days in the year. The author of the appendix to Tertullian De Praescr. Haer. (c. 4), who likewise follows Hippolytus's Compendium, adds some further particulars; that 'Abraxas' gave birth to Mind (nous), the first in the series of primary powers enumerated likewise by Irenaeus and Epiphanius; that the world, as well as the 365 heavens, was created in honour of 'Abraxas'; and that Christ was sent not by the Maker of the world but by 'Abraxas'. Nothing can be built on the vague allusions of Jerome, according to whom 'Abraxas' meant for Basilides "the greatest God" (De vir. ill. 21), "the highest God" (Dial. adv. Lucif. 23), "the Almighty God" (Comm. in Amos iii. 9), and "the Lord the Creator" (Comm. in Nah. i. 11). The notices in Theodoret (Haer. fab. i. 4), Augustine (Haer. 4), and 'Praedestinatus' (i. 3), have no independent value. It is evident from these particulars that Abrasax was the name of the first of the 365 Archons, and accordingly stood below Sophia and Dynamis and their progenitors; but his position is not expressly stated, so that the writer of the supplement to Tertullian had some excuse for confusing him with "the Supreme God". As an aeon With the availability of primary sources, such as those in the Nag Hammadi library, the identity of Abrasax remains unclear. The Holy Book of the Great Invisible Spirit, for instance, refers to Abrasax as an Aeon dwelling with Sophia and other Aeons of the Pleroma in the light of the luminary Eleleth. In several texts, the luminary Eleleth is the last of the luminaries (Spiritual Lights) that come forward, and it is the Aeon Sophia, associated with Eleleth, who encounters darkness and becomes involved in the chain of events that leads to the Demiurge's rule of this world, and the salvage effort that ensues. As such, the role of Aeons of Eleleth, including Abraxas, Sophia, and others, pertains to this outer border of the Pleroma that encounters the ignorance of the world of Lack and interacts to rectify the error of ignorance in the world of materiality. As a demon The Catholic church later deemed Abraxas a pagan god, and ultimately branded him a demon as documented in J. Collin de Plancy's Infernal Dictionary, Abraxas (or Abracax) is labeled the "supreme God" of the Basilidians, whom he describes as "heretics of the second century". He further indicated the Basilidians attributed to Abraxas the rule over "365 skies" and "365 virtues". In a final statement on Basilidians, de Plancy states that their view was that Jesus Christ was merely a "benevolent ghost sent on Earth by Abraxas". Abraxas stones A vast number of engraved stones are in existence, to which the name "Abraxas-stones" has long been given. One particularly fine example was included as part of the Thetford treasure from fourth century Norfolk, England. The subjects are mythological, and chiefly grotesque, with various inscriptions, in which ΑΒΡΑΣΑΞ often occurs, alone or with other words. Sometimes the whole space is taken up with the inscription. In certain obscure magical writings of Egyptian origin ἀβραξάς or ἀβρασάξ is found associated with other names which frequently accompany it on gems; it is also found on the Greek metal tesseræ among other mystic words. The meaning of the legends is seldom intelligible: but some of the gems are amulets; and the same may be the case with nearly all. The Abrasax-image alone, without external Iconisms, and either without, or but a simple, inscription. The Abrasax-imago proper is usually found with a shield, a sphere or wreath and whip, a sword or sceptre, a cock's head, the body clad with armor, and a serpent's tail. There are, however, innumerable modifications of these figures: Lions', hawks', and eagles' skins, with or without mottos, with or without a trident and star, and with or without reverses. Abrasax combined with other Gnostic Powers. If, in a single instance, this supreme being was represented in connection with powers of subordinate rank, nothing could have been more natural than to represent it also in combination with its emanations, the seven superior spirits, the thirty Aeons, and the three hundred and sixty-five cosmical Genii; and yet this occurs upon none of the relics as yet discovered, whilst those with Powers not belonging to the Gnostic system are frequently met with. Abrasax with Jewish symbols. This combination predominates, not indeed with symbolical figures, but in the form of inscriptions, such as: Iao, Eloai, Adonai, Sabaoth, Michael, Gabriel, Uriel, Onoel, Ananoel, Raphael, Japlael, and many others. The name ΙΑΩ, to which ΣΑΒΑΩΘ is sometimes added, is found with this figure even more frequently than ΑΒΡΑΣΑΞ, and they are often combined. Beside an Abrasax figure the following, for instance, is found: ΙΑΩ ΑΒΡΑΣΑΞ ΑΔΩΝ ΑΤΑ, "Iao Abrasax, thou art the Lord". With the Abrasax-shield are also found the divine names Sabaoth Iao, Iao Abrasax, Adonai Abrasax, etc. Abrasax with Persian deities. Chiefly, perhaps exclusively, in combination with Mithras, and possibly a few specimens with the mystical gradations of mithriaca, upon Gnostic relics. Abrasax with Egyptian deities. It is represented as a figure, with the sun-god Phre leading his chariot, or standing upon a lion borne by a crocodile; also as a name, in connection with Isis, Phtha, Neith, Athor, Thot, Anubis, Horus, and Harpocrates in a Lotus-leaf; also with a representation of the Nile, the symbol of prolificacy, with Agathodaemon (Chnuphis), or with scarabs, the symbols of the revivifying energies of nature. Abrasax with Grecian deities, sometimes as a figure, and again with the simple name, in connection with the planets, especially Venus, Hecate, and Zeus, richly engraved. Simple or ornamental representations of the journey of departed spirits through the starry world to Amenti, borrowed, as those above-named, from the Egyptian religion. The spirit wafted from the earth, either with or without the corpse, and transformed at times into Osiris or Helios, is depicted as riding upon the back of a crocodile, or lion, guided in some instances by Anubis, and other genii, and surrounded by stars; and thus attended hastening to judgment and a higher life. Representations of the judgment, which, like the preceding, are either ornamental or plain, and imitations of Egyptian art, with slight modifications and prominent symbols, as the vessel in which Anubis weighs the human heart, as comprehending the entire life of man, with all its errors. Worship and consecrating services were, according to the testimony of Origen in his description of the ophitic diagram, conducted with figurative representations in the secret assemblies of the Gnostics unless indeed the statement on which this opinion rests designates, as it readily may, a statue of glyptic workmanship. It is uncertain if any of the discovered specimens actually represent the Gnostic cultus and religious ceremonies, although upon some may be seen an Abrasax-figure laying its hand upon a person kneeling, as though for baptism or benediction. Astrological groups. The Gnostics referred everything to astrology. Even the Bardesenists located the inferior powers, the seven, twelve and thirty-six, among the planets, in the zodiac and starry region, as rulers of the celestial phenomena which influence the earth and its inhabitants. Birth and health, wealth and allotment, are considered to be mainly under their control. Other sects betray still stronger partiality for astrological conceits. Many of these specimens also are improperly ascribed to Gnosticism, but the Gnostic origin of others is too manifest to allow of contradiction. Inscriptions, of which there are three kinds: Those destitute of symbols or iconisms, engraved upon stone, iron, lead and silver plates, in Greek, Latin, Coptic or other languages, of amuletic import, and in the form of prayers for health and protection. Those with some symbol, as a serpent in an oval form. Those with iconisms, at times very small, but often made the prominent object, so that the legend is limited to a single word or name. Sometimes the legends are as important as the images. It is remarkable, however, that thus far none of the plates or medals found seem to have any of the forms or prayers reported by Origen. It is necessary to distinguish those specimens that belong to the proper Gnostic period from such as are indisputably of later origin, especially since there is a strong temptation to place those of more recent date among the older class. Gallery Anguipede In a great majority of instances the name Abrasax is associated with a singular composite figure, having a Chimera-like appearance somewhat resembling a basilisk or the Greek primordial god Chronos (not to be confused with the Greek titan Cronus). According to E. A. Wallis Budge, "as a Pantheus, i.e. All-God, he appears on the amulets with the head of a cock (Phœbus) or of a lion (Ra or Mithras), the body of a man, and his legs are serpents which terminate in scorpions, types of the Agathodaimon. In his right hand he grasps a club, or a flail, and in his left is a round or oval shield." This form was also referred to as the Anguipede. Budge surmised that Abrasax was "a form of the Adam Kadmon of the Kabbalists and the Primal Man whom God made in His own image". Some parts at least of the figure mentioned above are solar symbols, and the Basilidian Abrasax is manifestly connected with the sun. J. J. Bellermann has speculated that "the whole represents the Supreme Being, with his Five great Emanations, each one pointed out by means of an expressive emblem. Thus, from the human body, the usual form assigned to the Deity, forasmuch as it is written that God created man in his own image, issue the two supporters, Nous and Logos, symbols of the inner sense and the quickening understanding, as typified by the serpents, for the same reason that had induced the old Greeks to assign this reptile for an attribute to Pallas. His head—a cock's—represents Phronesis, the fowl being emblematical of foresight and vigilance. His two hands bear the badges of Sophia and Dynamis, the shield of Wisdom, and the scourge of Power." Origin In the absence of other evidence to show the origin of these curious relics of antiquity the occurrence of a name known as Basilidian on patristic authority has not unnaturally been taken as a sufficient mark of origin, and the early collectors and critics assumed this whole group to be the work of Gnostics. During the last three centuries attempts have been made to sift away successively those gems that had no claim to be considered in any sense Gnostic, or specially Basilidian, or connected with Abrasax. The subject is one which has exercised the ingenuity of many savants, but it may be said that all the engraved stones fall into three classes: Abrasax, or stones of Basilidian origin Abrasaxtes, or stones originating in ancient forms of worship and adapted by the Gnostics Abraxoïdes, or stones absolutely unconnected with the doctrine of Basilides While it would be rash to assert positively that no existing gems were the work of Gnostics, there is no valid reason for attributing all of them to such an origin. The fact that the name occurs on these gems in connection with representations of figures with the head of a cock, a lion, or an ass, and the tail of a serpent was formerly taken in the light of what Irenaeus says about the followers of Basilides: Incantations by mystic names were characteristic of the hybrid Gnosticism planted in Spain and southern Gaul at the end of the fourth century and at the beginning of the fifth, which Jerome connects with Basilides and which (according to his Epist., lxxv.) used the name Abrasax. It is therefore not unlikely that some Gnostics used amulets, though the confident assertions of modern writers to this effect rest on no authority. Isaac de Beausobre properly calls attention to the significant silence of Clement in the two passages in which he instructs the Christians of Alexandria on the right use of rings and gems, and the figures which may legitimately be engraved on them (Paed. 241 ff.; 287 ff.). But no attempt to identify the figures on existing gems with the personages of Gnostic mythology has had any success, and Abrasax is the only Gnostic term found in the accompanying legends that is not known to belong to other religions or mythologies. The present state of the evidence therefore suggests that their engravers and the Basilidians received the mystic name from a common source now unknown. Magical papyri Having due regard to the magic papyri, in which many of the unintelligible names of the Abrasax-stones reappear, besides directions for making and using gems with similar figures and formulas for magical purposes, it can scarcely be doubted that many of these stones are pagan amulets and instruments of magic. The magic papyri reflect the same ideas as the Abrasax-gems and often bear Hebraic names of God. The following example is illustrative: "I conjure you by Iaō Sabaōth Adōnai Abrasax, and by the great god, Iaeō". The patriarchs are sometimes addressed as deities; for which fact many instances may be adduced. In the group "Iakoubia, Iaōsabaōth Adōnai Abrasax", the first name seems to be composed of Jacob and Ya. Similarly, entities considered angels in Judaism are invoked as gods alongside Abrasax: thus "I conjure you ... by the god Michaēl, by the god Souriēl, by the god Gabriēl, by the god Raphaēl, by the god Abrasax Ablathanalba Akrammachari ...". In text PGM V. 96-172, Abrasax is identified as part of the "true name which has been transmitted to the prophets of Israel" of the "Headless One, who created heaven and earth, who created night and day ... Osoronnophris whom none has ever seen ... awesome and invisible god with an empty spirit"; the name also includes Iaō and Adōnai. "Osoronnophris" represents Egyptian Wsir Wn-nfr, "Osiris the Perfect Being". Another identification with Osiris is made in PGM VII. 643-51: "you are not wine, but the guts of Osiris, the guts of ... Ablanathanalba Akrammachamarei Eee, who has been stationed over necessity, Iakoub Ia Iaō Sabaōth Adōnai Abrasax." PGM VIII. 1-63, on the other hand, identifies Abrasax as a name of "Hermes" (i.e. Thoth). Here the numerological properties of the name are invoked, with its seven letters corresponding to the seven planets and its isopsephic value of 365 corresponding to the days of the year. Thoth is also identified with Abrasax in PGM LXXIX. 1-7: "I am the soul of darkness, Abrasax, the eternal one, Michaēl, but my true name is Thōouth, Thōouth." One papyrus titled the "Monad" or the "Eighth Book of Moses" (PGM XIII. 1–343) contains an invocation to a supreme creator God; Abrasax is given as being the name of this God in the language of the baboons. The papyrus goes on to describe a cosmogonic myth about Abrasax, describing how he created the Ogdoad by laughing. His first laughter created light; his second divided the primordial waters; his third created the mind; his fourth created fertility and procreation; his fifth created fate; his sixth created time (as the sun and moon); and his seventh and final laughter created the soul. Then, from various sounds made by Abrasax, there arose the serpent Python who "foreknew all things", the first man (or Fear), and the god Iaō, "who is lord of all". The man fought with Iaō, and Abrasax declared that Iaō's power would derive from both of the others, and that Iaō would take precedence over all the other gods. This text also describes Helios as an archangel of God/Abrasax. The Leyden Papyrus recommends that this invocation be pronounced to the moon: The magic word "Ablanathanalba", which reads in Greek the same backward as forward, also occurs in the Abrasax-stones as well as in the magic papyri. This word is usually conceded to be derived from the Hebrew (Aramaic), meaning "Thou art our father" (אב לן את), and also occurs in connection with Abrasax; the following inscription is found upon a metal plate in the Karlsruhe Museum: In literature In popular culture In the 2022 folk horror video game The Excavation of Hob's Barrow, published by Wadjet Eye Games, Abraxas features as a long-dormant god/demon inspired by the original Gnostic Mythology. In Marvel comics, the character Abraxas embodies the destruction of the multiverse (first appearance: 2001). "Mt. Abraxas" is the title of the first track of occult rock band Uncle Acid & the Deadbeats's third studio album Mind Control (2013). Abraxas appears as a demon in Charmed season 2 (1999–2000). Abraxas appears as a demon in Supernatural season 14 (2018–2019). In the 2008 visual novel 11eyes: Tsumi to Batsu to Aganai no Shōjo, Kukuri can summon her soul in the form of a chained guardian angel named Abraxas. When released from his chains, he becomes a godlike entity named Demiurge. The 2018 video game Darksiders III features a demon named Abraxis. South Korean band BTS's videos frequently mention Abraxas and much of their storyline is based around the deity. In 1970, the second studio album of Latin rock band Santana was named Abraxas, derived from a passage in the Hermann Hesse novel Demian. In 1987 The Abraxas Foundation was founded by Boyd Rice as a Social Darwinist think tank. In the 2018 thriller Mandy, the "horn of Abraxas" is a sort of stone flute with magical properties. Brother Swan uses it to summon the Black Skulls, a demonic biker gang. In the 2019 role-playing game Fire Emblem: Three Houses, Abraxas is the name of a damage-dealing Faith spell. On their 2004 album Lemuria, symphonic metal band Therion has a track titled Abraxas, with lyrics delving into the Gnostic mythologies of the word. In the 2010 song "Lead Poisoning" by Alkaline Trio, Matt Skiba sings the line "Now I pray to Abraxas my soul to keep". In season 1, episode 2 of Netflix's 2020 animated show The Midnight Gospel the main character, Clancy Gilroy, purchases an avatar named Braxis, which he then uses to explore alternate universes. Braxis looks like the traditional images of Abraxas where the creature has a human body and the head of a rooster. Like the traditional images, Braxis has serpents for legs and his arms are also like those in traditional representations. In the 2018 video game Assassin's Creed Odyssey, Abraxas is the name of the legendary fiery horse the player acquires if they reach the Tier 1 level in the hierarchy of mercenaries. In J. K. Rowling's Harry Potter series (1997–2007), Abraxas is the name of Lucius Malfoy's father, as well as the name of a race of winged horses in the same fictional world. In the 2015 sci-fi/action movie Jupiter Ascending, the most powerful family in the Cosmos known as the House of Abrasax. Abraxas, in the Gnostic role of Great Archon, is the antagonist of the 2021 video game Cruelty Squad. In the 2021 TV-adaptation of Isaac Asimov's Foundation series, the Abraxas Conjecture is the name of the mathematical proof that Gaal Dornick solves using Kalle's Ninth Proof of Folding. In Sarah J. Maas' Throne of Glass series (2014–2018), the similarly-named Abraxos is the wyvern mount of Manon Blackbeak. In the 1992 Discworld novel Small Gods by Terry Pratchett, Abraxas was an Ephebian philosopher who wrote about the nature of gods in his scroll On Religion, theorising that gods died if belief in them is diverted towards a rigid, hierarchical church structure, as had nearly happened with the Great God Om due to fear of the Omnian Quisition. Having survived being struck by lightning fifteen times as a result, he earned the nickname 'Charcoal'. In the Shin Megami Tensei video game franchise (first release: 1987), Abraxas is a demon. In the 1997 animated series Revolutionary Girl Utena by animation studio Be-Papas, Abraxas is referenced in the series soundtrack. The title being; "The God's Name Is Abraxas". In the 1999 movie Adolescence of Utena by animation studio Be-Papas, Abraxas is referenced in the film's soundtrack. The title of the song being; "Abraxas ~ Sunny Garden". In 2019, electronic music producers Seven Lions and Dimibo formed a psytrance trio called “Abraxis.” The project consists of a back story in which Reginald Abraxis formed the Abraxis Institute, in order to help people explore their full potential and achieve self-actualization. In the 2022 song 'Nihilistic Violence' by American Technical Death Metal band Revocation, third track on the album 'Netherheaven', the lyric "Hear the bellowing horn of Abraxas, it calls to the beast that lives in the heart of every man" appears at 1:10. This is most likely a reference to the Horn of Abraxas that features in the movie Mandy. In architecture Les Espaces d'Abraxas is a high-density housing complex in Noisy-le-Grand near Paris, France designed by Spanish architect Ricardo Bofill and opened in 1983. See also Arimanius Chronos Sator Square References Citations Works cited General references Wendelin, in a letter in Idem, Abraxas in Herzog, RE, 2d ed., 1877. Idem, Appendice alla dissertazione sugli Abraxas, ib. 1874. Harnack, Geschichte, i. 161. The older material is listed by Matter, ut sup., and Wessely, Ephesia grammata, vol. ii., Vienna, 1886. Eng. transl., 10 vols., London, 1721–2725. Attribution Further reading External links The complete texts of Carl Jung's "The Seven Sermons To The Dead" Abraxas article from The Mystica Gnostic deities Magic words Mythological hybrids Names of God in Gnosticism Theophoric names
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https://en.wikipedia.org/wiki/Absalom
Absalom
Absalom ( ʾAḇšālōm, "father of peace") was the third son of David, King of Israel with Maacah, daughter of Talmai, King of Geshur. 2 Samuel 14:25 describes him as the handsomest man in the kingdom. Absalom eventually rebelled against his father and was killed during the Battle of Ephraim's Wood. Biblical account Background Absalom, David's third son, by Maacah, was born in Hebron. At an early age, he moved, along with the transfer of the capital, to Jerusalem, where he spent most of his life. He was a great favorite of his father and of the people. His charming manners, personal beauty, insinuating ways, love of pomp, and royal pretensions captivated the hearts of the people from the beginning. He lived in great style, drove in a magnificent chariot, and had fifty men run before him. Little is known of Absalom's family life, but the biblical narrative states that he had three sons and one daughter, Tamar, who is described as a beautiful woman. From the language of 2 Samuel 18:18, Absalom states, "I have no son to keep my name in remembrance". It may be that his sons died before his statement, or, as Matthew Henry suggests, Absalom's three sons may have been born after his statement. Aside from his daughter Tamar, Absalom had another daughter or granddaughter named Maacah, who later became the favorite wife of Rehoboam. Maacah was the mother of Abijah of Judah and the grandmother of Asa of Judah. She served as queen mother for Asa until he deposed her for idolatry. Murder of Amnon Absalom also had a sister named Tamar, who was raped by her half-brother Amnon, David's eldest son. After the rape, Absalom waited two years and then avenged Tamar by sending his servants to murder a drunken Amnon at a feast to which Absalom had invited all of King David's sons. After this murder Absalom fled to Talmai, who was the king of Geshur and Absalom's maternal grandfather. Not until three years later was Absalom fully reinstated in David's favour and finally returned to Jerusalem. The revolt at Hebron While at Jerusalem, Absalom built support for himself by speaking to those who came to King David for justice, saying, "See, your claims are good and right; but there is no one deputed by the king to hear you", perhaps reflecting flaws in the judicial system of the united monarchy. "If only I were the judge of the land! Then all who had a suit or cause might come to me, and I would give them justice." He made gestures of flattery by kissing those who bowed before him instead of accepting supplication. He "stole the hearts of the people of Israel". After four years he declared himself king, raised a revolt at Hebron, the former capital, and had sexual relations with his father's concubines. All Israel and Judah flocked to him, and David, attended only by the Cherethites and Pelethites and his former bodyguard, which had followed him from Gath, found it expedient to flee. The priests Zadok and Abiathar remained in Jerusalem, and their sons Jonathan and Ahimaaz served as David's spies. Absalom reached the capital and consulted with the renowned Ahithophel (sometimes spelled Achitophel). (Although Absalom did avenge his sister's defilement, ironically he himself showed himself not to be very much different from Amnon; examples of Lifnei iver as Amnon had sought the advice of Jonadab in order to rape his half sister Tamar, Absalom had sought the advice of Ahitophel who advised Absalom to have incestuous relations with his father's concubines in order to show all Israel how odious he was to his father [2 Samuel 16:20]. In regard to Ahitophel's motives: "..and great as was his wisdom, it was equalled by his scholarship. Therefore David did not hesitate to submit himself to his instruction, even though Ahithophel was a very young man, at the time of his death not more than thirty-three years old. The one thing lacking in him was sincere piety, and this it was that proved his undoing in the end, for it induced him to take part in Absalom's rebellion against David. Thus he forfeited even his share in the world to come. To this dire course of action he was misled by astrologic and other signs, which he interpreted as prophecies of his own kingship, when in reality they pointed to the royal destiny of his granddaughter Bath-sheba. Possessed by his erroneous belief, he cunningly urged Absalom to commit an unheard-of crime. Thus Absalom would profit nothing by his rebellion, for, though he accomplished his father's ruin, he would yet be held to account and condemned to death for his violation of family purity, and the way to the throne would be clear for Ahithophel, the great sage in Israel.") David took refuge from Absalom's forces beyond the Jordan River. However, he took the precaution of instructing a servant, Hushai, to infiltrate Absalom's court and subvert it. Once in place, Hushai convinced Absalom to ignore Ahithophel's advice to attack his father while he was on the run, and instead to prepare his forces for a major attack. This gave David critical time to prepare his own troops for the battle. When Ahithophel saw that his advice was not followed, he committed suicide by hanging himself. Battle of Ephraim's Wood A fateful battle was fought in the Wood of Ephraim (the name suggests a locality west of the Jordan) and Absalom's army was completely routed. When Absalom fled from David's army, his head was caught in the boughs of an oak tree as the mule he was riding ran beneath it. He was discovered there still alive by one of David's men, who reported this to Joab, the king's commander. Joab, accustomed to avenging himself, took this opportunity to even the score with Absalom. Absalom had once set Joab's field of barley on fire and then made Amasa Captain of the Host instead of Joab. Killing Absalom was against David's explicit command, "Beware that none touch the young man Absalom". Joab injured Absalom with three darts through the heart and Absalom was subsequently killed by ten of Joab's armor-bearers. When David heard that Absalom was killed, although not how he was killed, he greatly sorrowed. David withdrew to the city of Mahanaim in mourning, until Joab roused him from "the extravagance of his grief" and called on him to fulfill his duty to his people. Memorial Absalom had erected a monument near Jerusalem to perpetuate his name: An ancient monument in the Kidron Valley near the Old City of Jerusalem, known as the Tomb of Absalom or Absalom's Pillar and traditionally identified as the monument of the biblical narrative, is now dated by modern archeologists to the first century AD. The Jewish Encyclopedia reports: "A tomb twenty feet high and twenty-four feet square, which late tradition points out as the resting-place of Absalom. It is situated in the eastern part of the valley of Kidron, to the east of Jerusalem. In all probability it is the tomb of Alexander Jannæus (Conder, in Hastings' Dict. Bible, article "Jerusalem", p. 597). It existed in the days of Josephus. However, archaeologists have now dated the tomb to the 1st century AD. In a 2013 conference, Professor Gabriel Barkay suggested that it could be the tomb of Herod Agrippa, the grandson of Herod the Great, based in part on the similarity to Herod's newly discovered tomb at Herodium. For centuries, it was the custom among passers-by—Jews, Christians and Muslims—to throw stones at the monument. Residents of Jerusalem would bring their unruly children to the site to teach them what became of a rebellious son. Rabbinic literature The life and death of Absalom offered to the rabbis a welcome theme wherewith to warn the people against false ambition, vainglory, and unfilial conduct. The vanity with which he displayed his beautiful hair, the rabbis say, became his snare and his stumbling-block. "By his long hair the Nazirite entangled the people to rebel against his father, and by it he himself became entangled, to fall a victim to his pursuers". And again, elsewhere: "By his vile stratagem he deceived and stole three hearts, that of his father, of the elders, and finally of the whole nation of Israel, and for this reason three darts were thrust into his heart to end his treacherous life". More striking is the following: "Did one ever hear of an oak-tree having a heart? And yet in the oak-tree in whose branches Absalom was caught, we read that upon its heart he was held up still alive while the darts were thrust through him. This is to show that when a man becomes so heartless as to make war against his own father, nature itself takes on a heart to avenge the deed." "The knowledge that a part of Absalom's following sided with him in secret,--that, though he was pursued by his son, his friends remained true to him,--somewhat consoled David in his distress. He thought that in these circumstances, if the worst came to the worst, Absalom would at least feel pity for him. At first, however, the despair of David knew no bounds. He was on the point of worshipping an idol, when his friend Hushai the Archite approached him, saying: "The people will wonder that such a king should serve idols." David replied: "Should a king such as I am be killed by his own son? It is better for me to serve idols than that God should be held responsible for my misfortune, and His Name thus be desecrated." Hushai reproached him: "Why didst thou marry a captive?" "There is no wrong in that," replied David, "it is permitted according to the law." Thereupon Hushai: "But thou didst disregard the connection between the passage permitting it and the one that follows almost immediately after it in the Scriptures, dealing with the disobedient and rebellious son, the natural issue of such a marriage." Absalom's end was beset with terrors. When he was caught in the branches of the oak-tree, he was about to sever his hair with a sword stroke, but suddenly he saw hell yawning beneath him, and he preferred to hang in the tree to throwing himself into the abyss alive. Absalom's crime was, indeed, of a nature to deserve the supreme torture, for which reason he is one of the few Jews who have no portion in the world to come. Popular legend states that the eye of Absalom was of immense size, signifying his insatiable greed. Indeed, "hell itself opened beneath him, and David, his father, cried seven times: 'My son! my son!' while bewailing his death, praying at the same time for his redemption from the seventh section of Gehenna, to which he was consigned". According to R. Meir, "he has no share in the life to come". And according to the description of Gehenna by Joshua ben Levi, who, like Dante, wandered through hell under the guidance of the angel Duma, Absalom still dwells there, having the rebellious heathen in charge; and when the angels with their fiery rods run also against Absalom to smite him like the rest, a heavenly voice says: "Spare Absalom, the son of David, My servant." "That the extreme penalties of hell were thus averted from him, was on account of David's eightfold repetition of his son's name in his lament over him. Besides, David's intercession had the effect of re-attaching Absalom's severed head to his body. At his death Absalom was childless, for all his children, his three sons and his daughter, died before him, as a punishment for his having set fire to a field of grain belonging to Joab." Art and literature Poetry The Love of King David and Fair Bethsabe, with the Tragedie of Absalon, a play by George Peele, written before 1594 and published in 1599. Absalom and Achitophel (1681), a satirical poem by John Dryden, uses the biblical story as an allegory for contemporary politics. "Absalom" by Nathaniel Parker Willis (1806–1867). "Absaloms Abfall" by Rainer Maria Rilke ("The Fall of Absalom", trans. Stephen Cohn). "Absalom" is a section in Muriel Rukeyser's long poem The Book of the Dead (1938), inspired by the biblical text, spoken by a mother who lost three sons to silicosis. "Avshalom" by Yona Wallach, published in her first poetry collection Devarim (1966), alludes to the biblical character. Fiction In the 1946 short story "Absalom" by C.L. Moore and Henry Kuttner, the character Absalom is a child prodigy, who does non-consensual brain surgery on his father (a former child prodigy, though not as intelligent as his son) to make the father totally focused on Absalom's success. This relates to the Biblical story of the son usurping his father. Georg Christian Lehms, Des israelitischen Printzens Absolons und seiner Prinzcessin Schwester Thamar Staats- Lebens- und Helden-Geschichte (The Heroic Life and History of the Israelite Prince Absolom and his Princess Sister Tamar), novel in German published in Nuremberg, 1710. Absalom, Absalom! is a novel by William Faulkner, and refers to the return of the main character Thomas Sutpen's son. Oh Absalom! was the original title of Howard Spring's novel My Son, My Son!, later adapted for the film of the latter name. Cry, the Beloved Country by Alan Paton. Absalom was the name of Stephen Kumalo's son in the novel. Like the Biblical Absalom, Absalom Kumalo was at odds with his father, the two fighting a moral and ethical battle of sorts over the course of some of the novel's most important events. Absalom kills and murders a man, and also meets an untimely death. Throughout Robertson Davies's The Manticore a comparison is repeatedly made between the protagonist's problematic relations with his father and those of the Biblical Absalom and King David. Paradoxically, in the modern version, it is the rebellious son who has the first name "David". The book also introduces the term "Absalonism", as a generic term for a son's rebellion against his father. Absalom appears as a prominent character in Peter Shaffer's play Yonadab, which portrays Amnon's rape of Tamar and his murder at Absalom's hands. A scene in the Swedish writer Frans G. Bengtsson's historical novel "The Long Ships" depicts a 10th Century Christian missionary recounting the story of Absalom's rebellion to the assembled Danish court, including the aging King Harald Bluetooth and his son Sweyn Forkbeard; thereupon, King Harald exclaims "Some people can learn a lesson from this story!", casting a meaningful glance at his son Sweyn—whom the King (rightly) suspects of plotting a rebellion. In the novel The Book of Tamar by Nel Havas, the story of Absalom is presented from the viewpoint of his sister. While closely following the main events as related in the Bible, Havas concentrates on the motives behind Absalom's actions, which Havas presents as more complex than depicted in the scriptures. In the novel Ender's Shadow by Orson Scott Card, the main character Bean invokes the quote to give solace to the kamikaze pilots Ender had unknowingly sent to their deaths to defeat the Formics. The role played by luxuriant hair in the death of Absalom is referenced to telling effect in the ghost story The Diary of Mr Poynter by master of the genre M.R. James. The ghost in question is that of dissolute young nobleman Sir Everard Charlett, known to his Oxford University cronies by the nickname Absalom, on account of his beautiful, long hair and debauched lifestyle. Sir Everard has commemorated his flowing locks by the unusual expedient of having them portrayed in a wallpaper pattern, which later proves to have the power to summon his malign, hair-covered ghost - much to the horror of James’s unfortunate protagonist, Mr. James Denton. Music Josquin des Prez composed the motet "Absalon, fili mi" on the occasion of the death of Juan Borgia (Absalon being a further alternative spelling). Nicholas Gombert composed the two-part, eight-voice motet "Lugebat David Absalon". Heinrich Schütz (1585–1672) composed "Fili mi, Absalon" as part of his Sinfoniae Sacrae, op. 6. The single verse, 2 Samuel 18:33, regarding David's grief at the loss of his son ("And the king was much moved, and went up to the chamber over the gate, and wept: and as he went, thus he said, O my son Absalom, my son, my son Absalom! would God I had died for thee, O Absalom, my son, my son!"), is the inspiration for the text of several pieces of choral music, usually entitled When David Heard (such as those by Renaissance composers Thomas Tomkins and Thomas Weelkes, or modern composers Eric Whitacre, Joshua Shank, and Norman Dinerstein). This verse is also used in "David's Lamentation" by William Billings, first published in 1778. Leonard Cohen's poem "Prayer for Sunset" compares the setting sun to the raving Absalom, and asks whether another Joab will arrive tomorrow night to kill Absalom again. "Absalom, Absalom" is a song on the 1996 Compass CD Making Light of It by singer/songwriter Pierce Pettis, incorporating several elements of the biblical narrative. The Australian composer Nigel Butterley set the verse in his 2008 choral work "Beni Avshalom", commissioned by the Sydney Chamber Choir. During the finale of the song "Distant Early Warning" by Canadian band Rush, Geddy Lee sings, "Absalom, Absalom, Absalom"; lyrics written by drummer Neil Peart. David Olney's 2000 CD Omar's Blues includes the song "Absalom". The song depicts David grieving over the death of his son. The story of Absalom is referred to several places in folk singer Adam Arcuragi's song "Always Almost Crying". The San Francisco–based band Om mentions Absalom in their song "Kapila's Theme" from their debut album Variations on a Theme. The garage folk band David's Doldrums references Absalom in their song, "My Name Is Absalom". The song alludes to Absalom's feelings of solemnity and abandonment of love and hope. In "Every Kind Word" by Lackthereof, Danny Seim's project parallel to Menomena, Seim sings "... and your hair is long like Absalom." "Barach Hamelech", an Israeli song by Amos Etinger and Yosef Hadar. The grindcore band Discordance Axis references Absalom at the end of the track entitled "Castration Rite". In 2007 Ryland Angel released "Absalom" on Ryland Angel-Manhattan Records. "Hanging By His Hair" from the 1998 Wormwood album by The Residents recounts Absalom's defiance and death. Also performed on Roadworms (The Berlin Sessions) and Wormwood Live. "Absalom" is a song on Brand New Shadows's debut album, White Flags. It is a mournful lament from King David's perspective. "Absalom" is an album by the experimental/progressive band Stick Men featuring Tony Levin, Markus Reuter and Pat Mastelotto. The American Rock band Little Feat reference Absalom in their song "Gimme a Stone" on the album entitled Chinese Work Songs. This song is written from the perspective of King David—mainly focusing on the task of fighting Goliath—but contains a lament to Absalom. This was a cover of the song, the original being on the 1998 Americana concept album Largo, by David Forman and Levon Helm. References Notes Citations Sources External links Some musical scores of David's lament for Absalom: Absalon, fili mi () Biblical murderers Biblical murder victims Children of David Fratricides Jewish rebels Jewish royalty Male murder victims Rebellious princes
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https://en.wikipedia.org/wiki/Abydos%2C%20Egypt
Abydos, Egypt
Abydos ( or ; Sahidic ) is one of the oldest cities of ancient Egypt, and also of the eighth nome in Upper Egypt. It is located about west of the Nile at latitude 26° 10' N, near the modern Egyptian towns of El Araba El Madfuna and El Balyana. In the ancient Egyptian language, the city was called Abdju (ꜣbḏw or AbDw)(Arabic Abdu عبد-و). The English name Abydos comes from the Greek , a name borrowed by Greek geographers from the unrelated city of Abydos on the Hellespont. Abydos name in hieroglyphs Considered one of the most important archaeological sites in Egypt, the sacred city of Abydos was the site of many ancient temples, including Umm el-Qa'ab, a royal necropolis where early pharaohs were entombed. These tombs began to be seen as extremely significant burials and in later times it became desirable to be buried in the area, leading to the growth of the town's importance as a cult site. Today, Abydos is notable for the memorial temple of Seti I, which contains an inscription from the Nineteenth Dynasty known to the modern world as the Abydos King List. This is a chronological list showing cartouches of most dynastic pharaohs of Egypt from Menes until Seti I's father, Ramesses I. It is also notable for the Abydos graffiti, ancient Phoenician and Aramaic graffiti found on the walls of the Temple of Seti I. The Great Temple and most of the ancient town are buried under the modern buildings to the north of the Seti temple. Many of the original structures and the artifacts within them are considered irretrievable and lost; many may have been destroyed by the new construction. History Most of Upper Egypt became unified under rulers from Abydos during the Naqada III period (3200–3000 BCE), at the expense of rival cities such as Hierakonpolis. The conflicts leading to the supremacy of Abydos may appear on numerous reliefs of the Naqada II period, such as the Gebel el-Arak Knife, or the frieze of Tomb 100 at Hierakonpolis. Tombs and at least one temple of rulers of the Predynastic period have been found at Umm El Qa'ab including that of Narmer, dating to . The temple and town continued to be rebuilt at intervals down to the times of the Thirtieth Dynasty, and the cemetery was in continuous use. The pharaohs of the First Dynasty were buried in Abydos, including Narmer, who is regarded as the founder of the First Dynasty, and his successor, Aha. It was in this time period that the Abydos boats were constructed. Some pharaohs of the Second Dynasty were also buried in Abydos. The temple was renewed and enlarged by these pharaohs as well. Funerary enclosures, misinterpreted in modern times as great 'forts', were built on the desert behind the town by three kings of the Second Dynasty; the most complete is that of Khasekhemwy, the Shunet El Zebib. From the Fifth Dynasty, the deity Khentiamentiu, foremost of the Westerners, came to be seen as a manifestation of the dead pharaoh in the underworld. Pepi I (Sixth Dynasty) constructed a funerary chapel which evolved over the years into the Great Temple of Osiris, the ruins of which still exist within the town enclosure. Abydos became the centre of the worship of the Isis and Osiris cult. During the First Intermediate Period, the principal deity of the area, Khentiamentiu, began to be seen as an aspect of Osiris, and the deities gradually merged and came to be regarded as one. Khentiamentiu's name became an epithet of Osiris. King Mentuhotep II was the first to build a royal chapel. In the Twelfth Dynasty a gigantic tomb was cut into the rock by Senusret III. Associated with this tomb was a cenotaph, a cult temple and a small town known as "Wah-Sut", that was used by the workers for these structures. Next to the cenotaph at least two kings of the Thirteenth Dynasty were buried (in tombs S9 and S10) as well as some rulers of the Second Intermediate Period, such as Senebkay. An indigenous line of kings, the Abydos Dynasty, may have ruled the region from Abydos at the time. New construction during the Eighteenth Dynasty began with a large chapel of Ahmose I. The Pyramid of Ahmose I was also constructed at Abydos—the only pyramid in the area; very little of it remains today. Thutmose III built a far larger temple, about . He also made a processional way leading past the side of the temple to the cemetery beyond, featuring a great gateway of granite. Seti I, during the Nineteenth Dynasty, founded a temple to the south of the town in honor of the ancestral pharaohs of the early dynasties; this was finished by Ramesses II, who also built a lesser temple of his own. Merneptah added the Osireion, just to the north of the temple of Seti. Ahmose II in the Twenty-sixth Dynasty rebuilt the temple again, and placed in it a large monolith shrine of red granite, finely wrought. The foundations of the successive temples were comprised within approximately . depth of the ruins discovered in modern times; these needed the closest examination to discriminate the various buildings, and were recorded by more than 4,000 measurements and 1,000 levellings. The last building added was a new temple of Nectanebo I, built in the Thirtieth Dynasty. From the Ptolemaic times of the Greek occupancy of Egypt, that began three hundred years before the Roman occupancy that followed, the structures began to decay and no later works are known. Cult centre From earliest times, Abydos was a cult centre, first of the local deity, Khentiamentiu, and from the end of the Old Kingdom, the rising cult of Osiris. A tradition developed that the Early Dynastic cemetery was the burial place of Osiris and the tomb of Djer was reinterpreted as that of Osiris. Decorations in tombs throughout Egypt, such as the one displayed to the right, record pilgrimages to Abydos by wealthy families. Great Osiris Temple From the First Dynasty to the Twenty-sixth Dynasty, nine or ten temples were successively built on one site at Abydos. The first was an enclosure, about , enclosed by a thin wall of unbaked bricks. Incorporating one wall of this first structure, the second temple of about square was built with walls about thick. An outer temenos (enclosure) wall surrounded the grounds. This outer wall was made wider some time around the Second or Third Dynasty. The old temple entirely vanished in the Fourth Dynasty, and a smaller building was erected behind it, enclosing a wide hearth of black ashes. Pottery models of offerings are found in these ashes and were probably the substitutes for live sacrifices decreed by Khufu (or Cheops) in his temple reforms. At an undetermined date, a great clearance of temple offerings had been made and the modern discovery of a chamber into which they were gathered yielded the fine ivory carvings and the glazed figures and tiles that demonstrate the splendid work of the First Dynasty. A vase of Menes with purple hieroglyphs inlaid into a green glaze and tiles with relief figures are the most important pieces found. The Khufu Statuette in ivory, found in the stone chamber of the temple, gives the only portrait of this great pharaoh. The temple was entirely rebuilt on a larger scale by Pepi I in the Sixth Dynasty. He placed a great stone gateway to the temenos, an outer wall and gateway, with a colonnade between the gates. His temple was about inside, with stone gateways front and back, showing that it was of the processional type. In the Eleventh Dynasty Mentuhotep II added a colonnade and altars. Soon after, Mentuhotep III entirely rebuilt the temple, laying a stone pavement over the area, about square. He also added subsidiary chambers. Soon thereafter, in the Twelfth Dynasty, Senusret I laid massive foundations of stone over the pavement of his predecessor. A great temenos was laid out enclosing a much larger area and the new temple itself was about three times the earlier size. Brewery On 14 February 2021, Egyptian and American archaeologists discovered what could be the oldest brewery in the world dating from around 3100 BCE at the reign of King Narmer. Dr. Matthew Adams, one of the leaders of the mission, stated that it was used to make beer for royal rituals. Main sites Temple of Seti I The temple of Seti I was built on entirely new ground half a mile to the south of the long series of temples just described. This surviving building is best known as the Great Temple of Abydos, being nearly complete and an impressive sight. A principal purpose of the temple was to serve as a memorial to king Seti I, as well as to show reverence for the early pharaohs, which is incorporated within as part of the "Rite of the Ancestors". The long list of the pharaohs of the principal dynasties—recognized by Seti—are carved on a wall and known as the "Abydos King List" (showing the cartouche name of many dynastic pharaohs of Egypt from the first, Narmer or Menes, until Seti's time). There were significant names deliberately left off of the list. So rare, as an almost complete list of pharaoh names, the Table of Abydos, rediscovered by William John Bankes, has been called the "Rosetta Stone" of Egyptian archaeology, analogous to the Rosetta Stone for Egyptian writing, beyond the Narmer Palette. There were also seven chapels built for the worship of the pharaoh and principal deities. These included three chapels for the "state" deities Ptah, Re-Horakhty, and (centrally positioned) Amun and the challenge for the Abydos triad of Osiris, Isis and Horus. The rites recorded in the deity chapels represent the first complete form known of the Daily Ritual, which was performed daily in temples across Egypt throughout the pharaonic period. At the back of the temple is an enigmatic structure known as the Osireion, which served as a cenotaph for Seti-Osiris, and is thought to be connected with the worship of Osiris as an "Osiris tomb". It is possible that from those chambers was led out the great Hypogeum for the celebration of the Osiris mysteries, built by Merenptah. The temple was originally long, but the forecourts are scarcely recognizable, and the part still in good condition is about long and wide, including the wing at the side. Magazines for food and offerings storage were built to either side of the forecourts, as well as a small palace for the king and his retinue, to the southeast of the first forecourt (Ghazouli, The Palace and Magazines Attached to the Temple of Sety I at Abydos and the Facade of This Temple. ASAE 58 (1959)). Except for the list of pharaohs and a panegyric on Ramesses II, the subjects are not historical, but religious in nature, dedicated to the transformation of the king after his death. The temple reliefs are celebrated for their delicacy and artistic refinement, utilizing both the archaism of earlier dynasties with the vibrancy of late 18th Dynasty reliefs. The sculptures had been published mostly in hand copy, not facsimile, by Auguste Mariette in his Abydos, I. The temple has been partially recorded epigraphically by Amice Calverley and Myrtle Broome in their 4 volume publication of The Temple of King Sethos I at Abydos (1933–1958). Osireion The Osirion or Osireon is an ancient Egyptian temple. It is located to the rear of the temple of Seti I. It is an integral part of Seti I's funeral complex and is built to resemble an 18th Dynasty Valley of the Kings tomb. Helicopter hieroglyphs Some of the hieroglyphs carved over an arch on the site have been interpreted in esoteric and "ufological" circles as depicting modern technology. The "helicopter" image is the result of carved stone being re-used over time. The initial carving was made during the reign of Seti I and translates to "He who repulses the nine [enemies of Egypt]". This carving was later filled in with plaster and re-carved during the reign of Ramesses II with the title "He who protects Egypt and overthrows the foreign countries". Over time, the plaster has eroded away, leaving both inscriptions partially visible and creating a palimpsest-like effect of overlapping hieroglyphs. Ramesses II temple The adjacent temple of Ramesses II was much smaller and simpler in plan, but it had a fine historical series of scenes around the outside that lauded his achievements, of which the lower parts remain. The outside of the temple was decorated with scenes of the Battle of Kadesh. His list of pharaohs, similar to that of Seti I, formerly stood here; the fragments were removed by the French consul and sold to the British Museum. Umm El Qa'ab The royal necropolises of the earliest dynasties were placed about a mile into the great desert plain, in a place now known as Umm El Qa'ab "The Mother of Pots" because of the shards remaining from all of the devotional objects left by religious pilgrims. The earliest burial is about inside, a pit lined with brick walls and originally roofed with timber and matting. Other tombs also built before Menes are . The probable tomb of Menes is of the latter size. Afterwards, the tombs increased in size and complexity. The tomb-pit was surrounded by chambers to hold offerings, the sepulchre being a great wooden chamber in the midst of the brick-lined pit. Rows of small pits, tombs for the servants of the pharaoh, surrounded the royal chamber, many dozens of such burials being usual. Some of the offerings included sacrificed animals, such as the asses found in the tomb of Merneith. Evidence of human sacrifice exists in the early tombs, such as the 118 servants in the tomb of Merneith, but this practice was changed later into symbolic offerings. By the end of the Second Dynasty the type of tomb constructed changed to a long passage with chambers on either side, the royal burial being in the middle of the length. The greatest of these tombs with its dependencies, covered a space of over , however it is possible for this to have been several tombs which abutted one another during construction; the Egyptians had no means of mapping the positioning of the tombs. The contents of the tombs have been nearly destroyed by successive plunderers; but enough remained to show that rich jewellery was placed on the mummies, a profusion of vases of hard and valuable stones from the royal table service stood about the body, the store-rooms were filled with great jars of wine, perfumed ointments, and other supplies, and tablets of ivory and of ebony were engraved with a record of the yearly annals of the reigns. The seals of various officials, of which over 200 varieties have been found, give an insight into the public arrangements. A cemetery for private persons was put into use during the First Dynasty, with some pit-tombs in the town. It was extensive in the Twelfth and Thirteenth Dynasties and contained many rich tombs. A large number of fine tombs were made in the Eighteenth to Twentieth Dynasties, and members of later dynasties continued to bury their dead here until the Roman period. Many hundreds of funeral steles were removed by Auguste Mariette's workmen, without any details of the burials being noted. Later excavations have been recorded by Edward R. Ayrton, Abydos, iii.; Maclver, El Amrah and Abydos; and Garstang, El Arabah. "Forts" Some of the tomb structures, referred to as "forts" by modern researchers, lay behind the town. Known as Shunet ez Zebib, it is about over all, and one still stands high. It was built by Khasekhemwy, the last pharaoh of the Second Dynasty. Another structure nearly as large adjoined it, and probably is older than that of Khasekhemwy. A third "fort" of a squarer form is now occupied by a convent of the Coptic Orthodox Church of Alexandria; its age cannot be ascertained. Kom El Sultan The area now known as Kom El Sultan is a big mudbrick structure, the purpose of which is not clear and thought to have been at the original settlement area, dated to the Early Dynastic Period. The structure includes the early temple of Osiris. See also List of ancient Egyptian towns and cities S 9 (Abydos) S 10 (Abydos) Mahat chapel of Mentuhotep II Notes References Mariette, Auguste, Abydos, ii. and iii. William Flinders Petrie, Abydos, i. and ii. William Flinders Petrie, Royal Tombs, i. and ii. External links Encyclopædia Britannica Online, "Abydos" search: EncBrit-Abydos, importance of Abydos The Mortuary Temple of Seti I at Abydos University of Pennsylvania Museum excavations at Abydos Populated places established in the 4th millennium BC Populated places disestablished in the 4th century BC Cities in ancient Egypt Populated places in Sohag Governorate Former populated places in Egypt Archaeological sites in Egypt Naqada III
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https://en.wikipedia.org/wiki/August%2015
August 15
Events Pre-1600 636 – Arab–Byzantine wars: The Battle of Yarmouk between the Byzantine Empire and the Rashidun Caliphate begins. 717 – Arab–Byzantine wars: Maslama ibn Abd al-Malik begins the Second Arab Siege of Constantinople, which will last for nearly a year. 718 – Arab–Byzantine wars: Raising of the Second Arab Siege of Constantinople. 747 – Carloman, mayor of the palace of Austrasia, renounces his position as majordomo and retires to a monastery near Rome. His brother, Pepin the Short, becomes the sole ruler (de facto) of the Frankish Kingdom. 778 – The Battle of Roncevaux Pass takes place between the army of Charlemagne and a Basque army. 805 – Noble Erchana of Dahauua grants the Bavarian town of Dachau to the Diocese of Freising 927 – The Saracens conquer and destroy Taranto. 982 – Holy Roman Emperor Otto II is defeated by the Saracens in the Battle of Capo Colonna, in Calabria. 1018 – Byzantine general Eustathios Daphnomeles blinds and captures Ibatzes of Bulgaria by a ruse, thereby ending Bulgarian resistance against Emperor Basil II's conquest of Bulgaria. 1038 – King Stephen I, the first king of Hungary, dies; his nephew, Peter Orseolo, succeeds him. 1057 – King Macbeth is killed at the Battle of Lumphanan by the forces of Máel Coluim mac Donnchada. 1070 – The Pavian-born Benedictine Lanfranc is appointed as the new Archbishop of Canterbury in England. 1096 – Starting date of the First Crusade as set by Pope Urban II. 1185 – The cave city of Vardzia is consecrated by Queen Tamar of Georgia. 1224 – The Livonian Brothers of the Sword, a Catholic military order, occupy Tarbatu (today Tartu) as part of the Livonian Crusade. 1237 – Spanish Reconquista: The Battle of the Puig between the Moorish forces of Taifa of Valencia against the Kingdom of Aragon culminates in an Aragonese victory. 1248 – The foundation stone of Cologne Cathedral, built to house the relics of the Three Wise Men, is laid. (Construction is eventually completed in 1880.) 1261 – Michael VIII Palaiologos is crowned as the first Byzantine emperor in fifty-seven years. 1281 – Mongol invasion of Japan: The Mongolian fleet of Kublai Khan is destroyed by a "divine wind" for the second time in the Battle of Kōan. 1310 – The city of Rhodes surrenders to the forces of the Knights of St. John, completing their conquest of Rhodes. The knights establish their headquarters on the island and rename themselves the Knights of Rhodes. 1430 – Francesco Sforza, lord of Milan, conquers Lucca. 1461 – The Empire of Trebizond surrenders to the forces of Sultan Mehmed II. This is regarded by some historians as the real end of the Byzantine Empire. Emperor David is exiled and later murdered. 1483 – Pope Sixtus IV consecrates the Sistine Chapel. 1511 – Afonso de Albuquerque of Portugal conquers Malacca, the capital of the Malacca Sultanate. 1517 – Seven Portuguese armed vessels led by Fernão Pires de Andrade meet Chinese officials at the Pearl River estuary. 1519 – Panama City, Panama is founded. 1534 – Ignatius of Loyola and six classmates take initial vows, leading to the creation of the Society of Jesus in September 1540. 1537 – Asunción, Paraguay is founded. 1540 – Arequipa, Peru is founded. 1549 – Jesuit priest Francis Xavier comes ashore at Kagoshima (Traditional Japanese date: 22 July 1549). 1592 – Imjin War: At the Battle of Hansan Island, the Korean Navy, led by Yi Sun-sin, Yi Eok-gi, and Won Gyun, decisively defeats the Japanese Navy, led by Wakisaka Yasuharu. 1599 – Nine Years' War: Battle of Curlew Pass: Irish forces led by Hugh Roe O'Donnell successfully ambush English forces, led by Sir Conyers Clifford, sent to relieve Collooney Castle. 1601–1900 1695 – French forces end the bombardment of Brussels. 1760 – Seven Years' War: Battle of Liegnitz: Frederick the Great's victory over the Austrians under Ernst Gideon von Laudon. 1824 – The Marquis de Lafayette, the last surviving French general of the American Revolutionary War, arrives in New York and begins a tour of 24 states. 1843 – The Cathedral of Our Lady of Peace in Honolulu, Hawaii is dedicated. Now the cathedral of the Roman Catholic Diocese of Honolulu, it is the oldest Roman Catholic cathedral in continuous use in the United States. 1843 – Tivoli Gardens, one of the oldest still intact amusement parks in the world, opens in Copenhagen, Denmark. 1863 – The Anglo-Satsuma War begins between the Satsuma Domain of Japan and the United Kingdom (Traditional Japanese date: July 2, 1863). 1893 – Ibadan area becomes a British Protectorate after a treaty signed by Fijabi, the Baale of Ibadan with the British acting Governor of Lagos, George C. Denton. 1899 – Fratton Park football ground in Portsmouth, England is officially first opened. 1901–present 1907 – Ordination in Constantinople of Fr. Raphael Morgan, the first African-American Orthodox priest, "Priest-Apostolic" to America and the West Indies. 1914 – A servant of American architect, Frank Lloyd Wright, sets fire to the living quarters of Wright's Wisconsin home, Taliesin, and murders seven people there. 1914 – The Panama Canal opens to traffic with the transit of the cargo ship . 1914 – World War I: The First Russian Army, led by Paul von Rennenkampf, enters East Prussia. 1914 – World War I: Beginning of the Battle of Cer, the first Allied victory of World War I. 1915 – A story in New York World newspaper reveals that the Imperial German government had purchased excess phenol from Thomas Edison that could be used to make explosives for the war effort and diverted it to Bayer for aspirin production. 1920 – Polish–Soviet War: Battle of Warsaw, so-called Miracle at the Vistula. 1935 – Will Rogers and Wiley Post are killed after their aircraft develops engine problems during takeoff in Barrow, Alaska. 1939 – Twenty-six Junkers Ju 87 bombers commanded by Walter Sigel meet unexpected ground fog during a dive-bombing demonstration for Luftwaffe generals at Neuhammer. Thirteen of them crash and burn. 1939 – The Wizard of Oz premieres at Grauman's Chinese Theater in Los Angeles, California. 1940 – An Italian submarine torpedoes and sinks the at Tinos harbor during peacetime, marking the most serious Italian provocation prior to the outbreak of the Greco-Italian War in October. 1941 – Corporal Josef Jakobs is executed by firing squad at the Tower of London at 07:12, making him the last person to be executed at the Tower for espionage. 1942 – World War II: Operation Pedestal: The oil tanker reaches the island of Malta barely afloat carrying vital fuel supplies for the island's defenses. 1943 – World War II: Battle of Trahili: Superior German forces surround Cretan partisans, who manage to escape against all odds. 1944 – World War II: Operation Dragoon: Allied forces land in southern France. 1945 – Emperor Hirohito broadcasts his declaration of surrender following the effective surrender of Japan in World War II; Korea gains independence from the Empire of Japan. 1947 – India gains independence from British rule after near 190 years of British company and crown rule and joins the Commonwealth of Nations. 1947 – Founder of Pakistan, Muhammad Ali Jinnah is sworn in as first Governor-General of Pakistan in Karachi. 1948 – The First Republic of Korea (South Korea) is established in the southern half of the peninsula. 1950 – Measuring 8.6, the largest earthquake on land occurs in the Assam-Tibet-Myanmar border, killing 4,800. 1952 – A flash flood drenches the town of Lynmouth, England, killing 34 people. 1954 – Alfredo Stroessner begins his dictatorship in Paraguay. 1959 – American Airlines Flight 514, a Boeing 707, crashes near the Calverton Executive Airpark in Calverton, New York, killing all five people on board. 1960 – Republic of the Congo (Brazzaville) becomes independent from France. 1961 – Border guard Conrad Schumann flees from East Germany while on duty guarding the construction of the Berlin Wall. 1962 – James Joseph Dresnok defects to North Korea after running across the Korean Demilitarized Zone. Dresnok died in 2016. 1963 – Execution of Henry John Burnett, the last man to be hanged in Scotland. 1963 – President Fulbert Youlou is overthrown in the Republic of the Congo, after a three-day uprising in the capital. 1965 – The Beatles play to nearly 60,000 fans at Shea Stadium in New York City, an event later regarded as the birth of stadium rock. 1969 – The Woodstock Music & Art Fair opens in Bethel, New York, featuring some of the top rock musicians of the era. 1970 – Patricia Palinkas becomes the first woman to play professionally in an American football game. 1971 – President Richard Nixon completes the break from the gold standard by ending convertibility of the United States dollar into gold by foreign investors. 1971 – Bahrain gains independence from the United Kingdom. 1973 – Vietnam War: The USAF bombing of Cambodia ends. 1974 – Yuk Young-soo, First Lady of South Korea, is killed during an apparent assassination attempt upon President Park Chung Hee. 1975 – Bangladeshi leader Sheikh Mujibur Rahman is killed along with most members of his family during a military coup. 1975 – Takeo Miki makes the first official pilgrimage to Yasukuni Shrine by an incumbent prime minister on the anniversary of the end of World War II. 1976 – SAETA Flight 232 crashes into the Chimborazo volcano in Ecuador, killing all 59 people on board; the wreckage is not discovered until 2002. 1977 – The Big Ear, a radio telescope operated by Ohio State University as part of the SETI project, receives a radio signal from deep space; the event is named the "Wow! signal" from the notation made by a volunteer on the project. 1984 – The Kurdistan Workers' Party in Turkey starts a campaign of armed attacks upon the Turkish Armed Forces with an attack on police and gendarmerie bases in Şemdinli and Eruh. 1985 – Signing of the Assam Accord, an agreement between representatives of the Government of India and the leaders of the Assam Movement to end the movement. 1989 – China Eastern Airlines Flight 5510 crashes after takeoff from Shanghai Hongqiao International Airport, killing 34 of the 40 people on board. 1995 – In South Carolina, Shannon Faulkner becomes the first female cadet matriculated at The Citadel (she drops out less than a week later). 1995 – Tomiichi Murayama, Prime Minister of Japan, releases the Murayama Statement, which formally expresses remorse for Japanese war crimes committed during World War II. 1998 – Northern Ireland: Omagh bombing takes place; 29 people (including a woman pregnant with twins) killed and some 220 others injured. 1998 – Apple introduces the iMac computer. 1999 – Beni Ounif massacre in Algeria: Some 29 people are killed at a false roadblock near the Moroccan border, leading to temporary tensions with Morocco. 2005 – Israel's unilateral disengagement plan to evict all Israelis from the Gaza Strip and from four settlements in the northern West Bank begins. 2005 – The Helsinki Agreement between the Free Aceh Movement and the Government of Indonesia was signed, ending almost three decades of fighting. 2007 – An 8.0-magnitude earthquake off the Pacific coast devastates Ica and various regions of Peru killing 514 and injuring 1,090. 2013 – At least 27 people are killed and 226 injured in an explosion in southern Beirut near a complex used by Lebanon's militant group Hezbollah in Lebanon. A previously unknown Syrian Sunni group claims responsibility in an online video. 2013 – The Smithsonian announces the discovery of the olinguito, the first new carnivorous species found in the Americas in 35 years. 2015 – North Korea moves its clock back half an hour to introduce Pyongyang Time, 8 hours ahead of UTC. 2020 – Russia begins production on the Sputnik V COVID-19 vaccine. 2021 – Kabul falls into the hands of the Taliban as Ashraf Ghani flees Afghanistan along with local residents and foreign nationals, effectively reestablishing the Islamic Emirate of Afghanistan. Births Pre-1600 1013 – Teishi, empress of Japan (d. 1094) 1171 – Alfonso IX, king of León and Galicia (d. 1230) 1195 – Anthony of Padua, Portuguese priest and saint (d. 1231) 1385 – Richard de Vere, 11th Earl of Oxford, English commander (d. 1417) 1432 – Luigi Pulci, Italian poet (d. 1484) 1455 – George, duke of Bavaria (d. 1503) 1507 – George III, Prince of Anhalt-Dessau, German prince (d. 1553) 1575 – Bartol Kašić, Croatian linguist and lexicographer (d. 1650) 1589 – Gabriel Báthory, Prince of Transylvania (d. 1613) 1601–1900 1607 – Herman IV, landgrave of Hesse-Rotenburg (d. 1658) 1608 – Henry Howard, 22nd Earl of Arundel, English politician (d. 1652) 1613 – Gilles Ménage, French lawyer, philologist, and scholar (d. 1692) 1615 – Marie de Lorraine, duchess of Guise (d. 1688) 1652 – John Grubb, American politician (d. 1708) 1702 – Francesco Zuccarelli, Italian painter and Royal Academician (d. 1788) 1717 – Blind Jack, English engineer (d. 1810) 1736 – Johann Christoph Kellner, German organist and composer (d. 1803) 1740 – Matthias Claudius, German poet and author (d. 1815) 1769 – Napoleon Bonaparte, French general and emperor (d. 1821) 1771 – Walter Scott, Scottish novelist, playwright, and poet (d. 1832) 1785 – Thomas De Quincey, English journalist and author (d. 1859) 1787 – Eliza Lee Cabot Follen, American writer, editor, abolitionist (d. 1860) 1798 – Sangolli Rayanna, Indian warrior (d. 1831) 1807 – Jules Grévy, French lawyer and politician, 4th President of the French Republic (d. 1891) 1810 – Louise Colet, French poet (d. 1876) 1824 – John Chisum, American businessman (d. 1884) 1839 – Antonín Petrof, Czech piano maker (d. 1915) 1844 – Thomas-Alfred Bernier, Canadian journalist, lawyer, and politician (d. 1908) 1845 – Walter Crane, English artist and book illustrator (d. 1915) 1856 – Keir Hardie, Scottish politician and trade unionist (d. 1915) 1857 – Albert Ballin, German businessman (d. 1918) 1858 – E. Nesbit, English author and poet (d. 1924) 1859 – Charles Comiskey, American baseball player and manager (d. 1931) 1860 – Florence Harding, American publisher, 31st First Lady of the United States (d. 1924) 1863 – Aleksey Krylov, Russian mathematician and engineer (d. 1945) 1865 – Mikao Usui, Japanese spiritual leader, founded Reiki (d. 1926) 1866 – Italo Santelli, Italian fencer (d. 1945) 1872 – Sri Aurobindo, Indian guru, poet, and philosopher (d. 1950) 1873 – Ramaprasad Chanda, Indian archaeologist and historian (d. 1942) 1875 – Samuel Coleridge-Taylor, English pianist, violinist, and composer (d. 1912) 1876 – Stylianos Gonatas, Greek colonel and politician, 111th Prime Minister of Greece (d. 1966) 1877 – Tachiyama Mineemon, Japanese sumo wrestler, the 22nd Yokozuna (d. 1941) 1879 – Ethel Barrymore, American actress (d. 1959) 1881 – Alfred Wagenknecht, German-American activist and politician (d. 1956) 1882 – Marion Bauer, American composer and critic (d. 1955) 1882 – Gisela Richter, English archaeologist and art historian (d. 1972) 1883 – Ivan Meštrović, Croatian sculptor and architect (d. 1962) 1885 – Edna Ferber, American novelist, short story writer, and playwright (d. 1968) 1886 – Bill Whitty, Australian cricketer (d. 1974) 1890 – Jacques Ibert, French composer and educator (d. 1962) 1892 – Louis de Broglie, French physicist and academic, Nobel Prize laureate (d. 1987) 1892 – Abraham Wachner, New Zealand politician, 35th Mayor of Invercargill (d. 1950) 1893 – Leslie Comrie, New Zealand astronomer and academic (d. 1950) 1896 – Gerty Cori, Czech-American biochemist and physiologist, Nobel Prize laureate (d. 1957) 1896 – Catherine Doherty, Russian-Canadian activist, founded the Madonna House Apostolate (d. 1985) 1896 – Paul Outerbridge, American photographer and educator (d. 1958) 1898 – Jan Brzechwa, Polish author and poet (d. 1966) 1900 – Estelle Brody, American silent film actress (d. 1995) 1900 – Jack Tworkov, Polish-American painter and educator (d. 1982) 1901–present 1901 – Arnulfo Arias Madrid, 21st president of the republic of Panamá (d. 1988) 1901 – Pyotr Novikov, Russian mathematician and theorist (d. 1975) 1902 – Jan Campert, Dutch journalist and critic (d. 1943) 1904 – George Klein, Canadian inventor, invented the motorized wheelchair (d. 1992) 1909 – Hugo Winterhalter, American composer and bandleader (d. 1973) 1912 – Julia Child, American chef and author (d. 2004) 1912 – Wendy Hiller, English actress (d. 2003) 1914 – Paul Rand, American graphic designer and art director (d. 1996) 1915 – Signe Hasso, Swedish-American actress (d. 2002) 1916 – Aleks Çaçi, Albanian journalist and author (d. 1989) 1917 – Jack Lynch, Irish footballer and politician, 5th Taoiseach of Ireland (d. 1999) 1917 – Óscar Romero, Salvadoran archbishop (d. 1980) 1919 – Huntz Hall, American actor (d. 1999) 1919 – Benedict Kiely, Irish journalist and author (d. 2007) 1920 – Judy Cassab, Austrian-Australian painter (d. 2008) 1921 – August Kowalczyk, Polish actor and director (d. 2012) 1922 – Leonard Baskin, American sculptor and illustrator (d. 2000) 1922 – Giorgos Mouzakis, Greek trumpet player and composer (d. 2005) 1922 – Sabino Barinaga, Spanish footballer and manager (d. 1988) 1923 – Rose Marie, American actress and singer (d. 2017) 1924 – Robert Bolt, English playwright and screenwriter (d. 1995) 1924 – Hedy Epstein, German-American Holocaust survivor and activist (d. 2016) 1924 – Yoshirō Muraki, Japanese production designer, art director, and fashion designer (d. 2009) 1924 – Phyllis Schlafly, American lawyer, writer, and political activist (d. 2016) 1925 – Mike Connors, American actor and producer (d. 2017) 1925 – Rose Maddox, American singer-songwriter and fiddle player (d. 1998) 1925 – Oscar Peterson, Canadian pianist and composer (d. 2007) 1925 – Bill Pinkney, American singer (d. 2007) 1925 – Erik Schmidt, Swedish-Estonian painter and author (d. 2014) 1926 – Julius Katchen, American pianist and composer (d. 1969) 1926 – Eddie Little Sky, American actor (d. 1997) 1926 – Sami Michael, Iraqi-Israeli author and playwright 1926 – John Silber, American philosopher and academic (d. 2012) 1926 – Konstantinos Stephanopoulos, Greek lawyer and politician, 6th President of Greece (d. 2016) 1927 – Eddie Leadbeater, English cricketer (d. 2011) 1927 – Oliver Popplewell, English cricketer and judge 1928 – Carl Joachim Classen, German scholar and academic (d. 2013) 1928 – Malcolm Glazer, American businessman (d. 2014) 1928 – Nicolas Roeg, English director and cinematographer (d. 2018) 1931 – Ernest C. Brace, American captain and pilot (d. 2014) 1931 – Richard F. Heck, American chemist and academic, Nobel Prize laureate (d. 2015) 1932 – Abby Dalton, American actress (d. 2020) 1932 – Robert L. Forward, American physicist and engineer (d. 2002) 1932 – Jim Lange, American game show host and DJ (d. 2014) 1932 – Johan Steyn, Baron Steyn, South African-English lawyer and judge (d. 2017) 1933 – Bobby Helms, American singer-songwriter and guitarist (d. 1997) 1933 – Stanley Milgram, American social psychologist (d. 1984) 1933 – Mike Seeger, American folk musician and folklorist (d. 2009) 1934 – Bobby Byrd, American singer-songwriter and producer (d. 2007) 1934 – Reginald Scarlett, Jamaican cricketer and coach (d. 2019) 1934 – Valentin Varlamov, Soviet pilot and cosmonaut instructor (d. 1980) 1935 – Jim Dale, English actor, narrator, singer, director, and composer 1935 – Régine Deforges, French author, playwright, and director (d. 2014) 1936 – Pat Priest, American actress 1936 – Rita Shane, American soprano and educator (d. 2014) 1938 – Stephen Breyer, American lawyer and jurist, Associate Justice of the Supreme Court of the United States 1938 – Stix Hooper, American jazz drummer 1938 – Pran Kumar Sharma, Indian cartoonist (d. 2014) 1938 – Maxine Waters, American educator and politician 1938 – Janusz Zajdel, Polish engineer and author (d. 1985) 1940 – Gudrun Ensslin, German militant leader, founded Red Army Faction (d. 1977) 1941 – Jim Brothers, American sculptor (d. 2013) 1941 – Don Rich, American country musician (d. 1974) 1942 – Pete York, English rock drummer 1943 – Eileen Bell, Northern Irish civil servant and politician, 2nd Speaker of the Northern Ireland Assembly 1944 – Dimitris Sioufas, Greek lawyer and politician, Greek Minister of Health (d. 2019) 1945 – Khaleda Zia, Bangladeshi politician, Prime Minister of Bangladesh 1946 – Jimmy Webb, American singer-songwriter and pianist 1947 – Rakhee Gulzar, Indian film actress 1948 – Patsy Gallant, Canadian singer-songwriter and actress 1948 – Tom Johnston, American singer-songwriter and guitarist 1949 – Phyllis Smith, American actress 1950 – Tommy Aldridge, American drummer 1950 – Tess Harper, American actress 1950 – Tom Kelly, American baseball player 1950 – Anne, Princess Royal of the United Kingdom 1951 – Ann Biderman, American screenwriter and producer 1951 – Bobby Caldwell, American singer-songwriter (d. 2023) 1951 – John Childs, English cricketer 1952 – Chuck Burgi, American drummer 1953 – Carol Thatcher, English journalist and author 1953 – Mark Thatcher, English businessman 1953 – Wolfgang Hohlbein, German author 1954 – Stieg Larsson, Swedish journalist and author (d. 2004) 1956 – Lorraine Desmarais, Canadian pianist and composer 1956 – Freedom Neruda, Ivorian journalist 1956 – Robert Syms, English businessman and politician 1957 – Željko Ivanek, Slovenian-American actor 1958 – Simon Baron-Cohen, English-Canadian psychiatrist and author 1958 – Craig MacTavish, Canadian ice hockey player and coach 1958 – Simple Kapadia, Indian actress and costume designer (d. 2009) 1958 – Victor Shenderovich, Russian journalist and radio host 1958 – Rondell Sheridan, American actor and comedian 1959 – Scott Altman, American captain, pilot, and astronaut 1961 – Ed Gillespie, American political strategist 1961 – Matt Johnson, English singer-songwriter and musician 1961 – Gary Kubiak, American football player and coach 1961 – Suhasini Maniratnam, Indian actress and screenwriter 1962 – Tom Colicchio, American chef and author 1962 – Rıdvan Dilmen, Turkish footballer and manager 1962 – Inês Pedrosa, Portuguese writer 1962 – Vilja Savisaar-Toomast, Estonian lawyer and politician 1963 – Alejandro González Iñárritu, Mexican director, producer, and screenwriter 1963 – Simon Hart, Welsh soldier and politician 1963 – Jack Russell, England cricketer and coach 1964 – Jane Ellison, English lawyer and politician 1964 – Melinda Gates, American businesswoman and philanthropist, co-founded the Bill & Melinda Gates Foundation 1965 – Rob Thomas, American author, screenwriter, and producer 1966 – Scott Brosius, American baseball player and coach 1966 – Dimitris Papadopoulos, Greek basketball player and coach 1967 – Tony Hand, Scottish ice hockey player and coach 1967 – Peter Hermann, American actor 1968 – Debra Messing, American actress 1969 – Bernard Fanning, Australian singer-songwriter 1969 – Carlos Roa, Argentine footballer 1970 – Anthony Anderson, American comedian, actor, and producer 1970 – Ben Silverman, American actor, producer, and screenwriter, founded Electus Studios 1971 – Adnan Sami, Indian singer, musician, music composer, pianist and actor 1972 – Ben Affleck, American actor, director, producer, and screenwriter 1972 – Jennifer Alexander, Canadian ballerina (d. 2007) 1972 – Mikey Graham, Irish singer 1974 – Natasha Henstridge, Canadian model and actress 1974 – Tomasz Suwary, Polish footballer 1975 – Bertrand Berry, American football player and radio host 1975 – Vijay Bharadwaj, Indian cricketer and coach 1975 – Brendan Morrison, Canadian ice hockey player 1975 – Kara Wolters, American basketball player 1976 – Boudewijn Zenden, Dutch footballer and manager 1977 – Martin Biron, Canadian ice hockey player 1977 – Anthony Rocca, Australian footballer and coach 1978 – Waleed Aly, Australian journalist and television host 1978 – Lilia Podkopayeva, Ukrainian gymnast 1978 – Stavros Tziortziopoulos, Greek footballer 1978 – Kerri Walsh Jennings, American volleyball player 1979 – Carl Edwards, American race car driver 1980 – Fiann Paul, Icelandic explorer 1981 – Brendan Hansen, American swimmer 1981 – Óliver Pérez, American baseball player 1982 – Casey Burgener, American weightlifter 1982 – Germán Caffa, Argentine footballer 1982 – David Harrison, American basketball player 1983 – Siobhan Chamberlain, English association football goalkeeper 1984 – Jarrod Dyson, American baseball player 1984 – Emily Kinney, American actress and singer-songwriter 1985 – Nipsey Hussle, American rapper (d. 2019) 1985 – Emily Kinney, American actress, singer, and songwriter 1987 – Ryan D'Imperio, American football player 1987 – Michel Kreder, Dutch cyclist 1987 – Sean McAllister, English footballer 1988 – Oussama Assaidi, Moroccan footballer 1989 – Joe Jonas, American singer-songwriter 1989 – Ryan McGowan, Australian footballer 1989 – Carlos PenaVega, American actor and singer 1989 – Jordan Rapana, New Zealand rugby league player 1990 – Jennifer Lawrence, American actress 1991 – Petja Piiroinen, Finnish snowboarder 1992 – Baskaran Adhiban, Indian chess player 1992 – Matthew Judon, American football player 1993 – Rieah Holder, Barbadian netball player 1993 – Clinton N'Jie, Cameroonian footballer 1993 – Alex Oxlade-Chamberlain, English footballer 1994 – Lasse Vigen Christensen, Danish footballer 1994 – Kosuke Hagino, Japanese swimmer 1995 – Chief Keef, American rapper 1999 – Paola Reis, BMX rider Deaths Pre-1600 398 – Lan Han, official of the Xianbei state Later Yan 423 – Honorius, Roman emperor (b. 384) 465 – Libius Severus, Roman emperor (b. 420) 698 – Theodotus of Amida, Syrian Orthodox holy man 767 – Abu Hanifa, Iraqi scholar and educator (b. 699) 778 – Roland, Frankish military leader 873 – Yi Zong, Chinese emperor (b. 833) 874 – Altfrid, bishop of Hildesheim 912 – Han Jian, Chinese warlord (b. 855) 932 – Ma Xisheng, Chinese governor and king (b. 899) 978 – Li Yu, ruler ('king') of Southern Tang 986 – Minnborinus, Irish missionary and abbot 1022 – Nikephoros Phokas Barytrachelos, Byzantine rebel 1038 – Stephen I, Hungarian king (b. 975) 1057 – Macbeth, King of Scotland 1118 – Alexios I Komnenos, Byzantine emperor (b. 1048) 1196 – Conrad II, Duke of Swabia (b. 1173) 1224 – Marie of France, Duchess of Brabant (b. 1198) 1257 – Saint Hyacinth of Poland 1274 – Robert de Sorbon, French theologian and educator, founded the College of Sorbonne (b. 1201) 1275 – Lorenzo Tiepolo, Doge of Venice 1328 – Yesün Temür, emperor of the Yuan dynasty (b. 1293) 1369 – Philippa of Hainault, Queen consort of Edward III of England (b. 1314) 1388 – Adalbertus Ranconis de Ericinio, Bohemian theologian and rector of the University of Paris (b. circa 1320) 1399 – Ide Pedersdatter Falk, Danish noblewoman (b. 1358) 1496 – Infanta Isabella of Portugal, Queen of Castile and León (b. 1428) 1506 – Alexander Agricola, Flemish composer (b. c. 1445) 1507 – John V, Duke of Saxe-Lauenburg (b. 1439) 1528 – Odet of Foix, Viscount of Lautrec, French general (b. 1485) 1552 – Hermann of Wied, German archbishop (b. 1477) 1594 – Thomas Kyd, English playwright (b. 1558) 1601–1900 1621 – John Barclay, Scottish poet and author (b. 1582) 1666 – Johann Adam Schall von Bell, German missionary and astronomer (b. 1591) 1714 – Constantin Brâncoveanu, Romanian prince (b. 1654) 1728 – Marin Marais, French viol player and composer (b. 1656) 1758 – Pierre Bouguer, French mathematician, geophysicist, and astronomer (b. 1698) 1799 – Giuseppe Parini, Italian poet and author (b. 1729) 1844 – José María Coppinger, governor of Spanish East Florida (b. 1733) 1852 – Johan Gadolin, Finnish chemist, physicist, and mineralogist (b. 1760) 1859 – Nathaniel Claiborne, American farmer and politician (b. 1777) 1901–present 1907 – Joseph Joachim, Hungarian violinist, composer, and conductor (b. 1831) 1909 – Euclides da Cunha, Brazilian sociologist and journalist (b. 1866) 1917 – Thomas J. Higgins, American sergeant, Medal of Honor recipient (b. 1831) 1925 – Konrad Mägi, Estonian painter and educator (b. 1878) 1928 – Anatole von Hügel, Italian ethnologist and academic, co-founded St Edmund's College, Cambridge (b. 1854) 1935 – Wiley Post, American pilot (b. 1898) 1935 – Will Rogers, American actor, comedian, and screenwriter (b. 1879) 1935 – Paul Signac, French painter and author (b. 1863) 1936 – Grazia Deledda, Italian novelist and poet, Nobel Prize laureate (b. 1871) 1942 – Mahadev Desai, Indian activist and author (b. 1892) 1945 – Korechika Anami, Japanese general and politician, 54th Japanese Minister of the Army (b. 1887) 1945 – Fred Hockley, English lieutenant and pilot (b. 1923) 1951 – Artur Schnabel, Polish pianist and composer (b. 1882) 1953 – Ludwig Prandtl, German physicist and engineer (b. 1875) 1962 – Lei Feng, Chinese soldier (b. 1940) 1967 – René Magritte, Belgian painter (b. 1898) 1971 – Paul Lukas, Hungarian-American actor (b. 1887) 1975 – Sheikh Mujibur Rahman, Bengali politician, 1st President of Bangladesh (b. 1920) 1975 – Clay Shaw, American businessman (b. 1913) 1975 – Harun Karadeniz, Turkish political activist and author (b. 1942) 1981 – Carol Ryrie Brink, American author (b. 1895) 1981 – Jørgen Løvset, Norwegian gynaecologist and academic (b. 1896) 1982 – Ernie Bushmiller, American cartoonist (b. 1905) 1982 – Jock Taylor, Scottish motorcycle sidecar racer (b. 1954) 1982 – Hugo Theorell, Swedish biochemist and academic, Nobel Prize laureate (b. 1903) 1989 – Minoru Genda, Japanese general, pilot, and politician (b. 1904) 1989 – Thrasyvoulos Tsakalotos, Greek general and diplomat (b. 1897) 1990 – Viktor Tsoi, Russian musician and actor (b. 1962) 1992 – Linda Laubenstein, American physician and academic (b. 1947) 1994 – Wout Wagtmans, Dutch cyclist (b. 1929) 1995 – John Cameron Swayze, American journalist and actor (b. 1906) 1997 – Ida Gerhardt, Dutch poet and educator (b. 1905) 1999 – Hugh Casson, English architect and interior designer (b. 1910) 2000 – Lancelot Ware, English barrister and biochemist, co-founder of Mensa (b. 1915) 2001 – Yavuz Çetin, Turkish singer-songwriter (b. 1970) 2001 – Richard Chelimo, Kenyan runner (b. 1972) 2001 – Kateryna Yushchenko, Ukrainian computer scientist and academic (b. 1919) 2004 – Sune Bergström, Swedish biochemist and academic, Nobel Prize laureate (b. 1916) 2004 – Amarsinh Chaudhary, Indian politician, 8th Chief Minister of Gujarat (b. 1941) 2005 – Bendapudi Venkata Satyanarayana, Indian dermatologist and academic (b. 1927) 2006 – Te Atairangikaahu, New Zealand queen (b. 1931) 2006 – Rick Bourke, Australian rugby league player (b. 1955) 2006 – Coenraad Bron, Dutch computer scientist and academic (b. 1937) 2006 – Faas Wilkes, Dutch footballer and manager (b. 1923) 2007 – Richard Bradshaw, English conductor and director (b. 1944) 2007 – John Gofman, American biologist, chemist, and physicist (b. 1918) 2007 – Geoffrey Orbell, New Zealand physician (b. 1908) 2007 – Sam Pollock, Canadian businessman (b. 1925) 2008 – Vic Toweel, South African-Australian boxer (b. 1929) 2008 – Jerry Wexler, American journalist and producer (b. 1917) 2011 – Rick Rypien, Canadian ice hockey player (b. 1984) 2012 – Bob Birch, American bass player and saxophonist (b. 1956) 2012 – Altamiro Carrilho, Brazilian flute player and composer (b. 1924) 2012 – Harry Harrison, American author and illustrator (b. 1925) 2013 – Rosalía Mera, Spanish businesswoman, co-founded Inditex and Zara (b. 1944) 2013 – Sławomir Mrożek, Polish-French author and playwright (b. 1930) 2013 – Marich Man Singh Shrestha, Nepali politician, 28th Prime Minister of Nepal (b. 1942) 2013 – August Schellenberg, Canadian actor (b. 1936) 2014 – Licia Albanese, Italian-American soprano and actress (b. 1909) 2015 – Julian Bond, American academic, leader of the civil rights movement, and politician (b. 1940) 2015 – Hamid Gul, Pakistani general (b. 1936) 2017 – Gunnar Birkerts, Latvian-American architect (b. 1925) 2020 – Robert Trump, American real-estate developer, business executive (b. 1948) 2021 – Gerd Müller, German footballer (b. 1945) Holidays and observances Armed Forces Day (Poland) Christian feast day: Altfrid Alypius of Thagaste Feast day of the Assumption of Mary, one of the Catholic holy days of obligation. (a public holiday in Austria, Belgium, Benin, Bosnia, Burundi, Cameroon, Chile, Colombia, Croatia, Cyprus, France, some states in Germany, Greece, Guatemala, Italy, Ivory Coast, Lebanon, Liechtenstein, Lithuania, Luxembourg, Madagascar, Malta, Mauritius, Paraguay, Poland, Portugal, Romania, Senegal, Seychelles, Slovenia, Spain, Switzerland, Togo, and Vanuatu); and its related observances: Feast of the Dormition of the Theotokos (Eastern Orthodox, Oriental Orthodox and Eastern Catholic Churches) Ferragosto (Italy) Lady's Day (Ireland) Māras (Latvia) Mother's Day (Antwerp and Costa Rica) National Acadian Day (Acadians) Navy Day (Romania) Virgin of Candelaria, patron of the Canary Islands. (Tenerife, Spain) San La Muerte (Paraguayan Folk Catholicism) Santa Muerte (Mexican Folk Catholicism) Tarcisius August 15 (Eastern Orthodox liturgics) Constitution Day (Equatorial Guinea) Founding of Asunción (Paraguay) Independence Day, celebrates the independence of Korea from Japan in 1945: Gwangbokjeol, "Independence Day" (South Korea) Jogukhaebangui nal, "Fatherland Liberation Day" (North Korea) Independence Day, celebrates the independence of India from the United Kingdom in 1947. Independence Day, celebrates the independence of the Republic of the Congo from France in 1960. National Day (Liechtenstein) National Day of Mourning (Bangladesh) The first day of Flooding of the Nile, or Wafaa El-Nil (Egypt and Coptic Church) The main day of Bon Festival (Japan), and its related observances: Awa Dance Festival (Tokushima Prefecture) Victory over Japan Day (United Kingdom), and its related observances: End-of-war Memorial Day, when the National Memorial Service for War Dead is held (Japan) References External links Days of the year August
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https://en.wikipedia.org/wiki/Acacia%20sensu%20lato
Acacia sensu lato
Acacia s.l. (pronounced or ), known commonly as mimosa, acacia, thorntree or wattle, babul [India/hindi] is a polyphyletic genus of shrubs and trees belonging to the subfamily Mimosoideae of the family Fabaceae. It was described by the Swedish botanist Carl Linnaeus in 1773 based on the African species Acacia nilotica. Many non-Australian species tend to be thorny, whereas the majority of Australian acacias are not. All species are pod-bearing, with sap and leaves often bearing large amounts of tannins and condensed tannins that historically found use as pharmaceuticals and preservatives. The genus Acacia constitutes, in its traditional circumspection, the second largest genus in Fabaceae (Astragalus being the largest), with roughly 1,300 species, about 960 of them native to Australia, with the remainder spread around the tropical to warm-temperate regions of both hemispheres, including Europe, Africa, southern Asia, and the Americas (see List of Acacia species). The genus was divided into five separate genera under the tribe "Acacieae". The genus now called Acacia represents the majority of the Australian species and a few native to southeast Asia, Réunion, and Pacific Islands. Most of the species outside Australia, and a small number of Australian species, are classified into Vachellia and Senegalia. The two final genera, Acaciella and Mariosousa, each contain about a dozen species from the Americas (but see "Classification" below for the ongoing debate concerning their taxonomy). Classification English botanist and gardener Philip Miller adopted the name Acacia in 1754. The generic name is derived from (), the name given by early Greek botanist-physician Pedanius Dioscorides (middle to late first century) to the medicinal tree A. nilotica in his book Materia Medica. This name derives from the Ancient Greek word for its characteristic thorns, (; "thorn"). The species name nilotica was given by Linnaeus from this tree's best-known range along the Nile river. This became the type species of the genus. The traditional circumscription of Acacia eventually contained approximately 1,300 species. However, evidence began to accumulate that the genus as described was not monophyletic. Queensland botanist Les Pedley proposed the subgenus Phyllodineae be renamed Racosperma and published the binomial names. This was taken up in New Zealand but generally not followed in Australia, where botanists declared more study was needed. Eventually, consensus emerged that Acacia needed to be split as it was not monophyletic. This led to Australian botanists Bruce Maslin and Tony Orchard pushing for the retypification of the genus with an Australian species instead of the original African type species, an exception to traditional rules of priority that required ratification by the International Botanical Congress. That decision has been controversial, and debate continued, with some taxonomists (and many other biologists) deciding to continue to use the traditional Acacia sensu lato circumscription of the genus, in defiance of decisions by an International Botanical Congress. However, a second International Botanical Congress has now confirmed the decision to apply the name Acacia to the mostly Australian plants, which some had been calling Racosperma, and which had formed the overwhelming majority of Acacia sensu lato. Debate continues regarding the traditional acacias of Africa, possibly placed in Senegalia and Vachellia, and some of the American species, possibly placed in Acaciella and Mariosousa. Acacias belong to the subfamily Mimosoideae, the major clades of which may have formed in response to drying trends and fire regimes that accompanied increased seasonality during the late Oligocene to early Miocene (~25 mya). Pedley (1978), following Vassal (1972), viewed Acacia as comprising three large subgenera, but subsequently (1986) raised the rank of these groups to genera Acacia, Senegalia (s.l.) and Racosperma, which was underpinned by later genetic studies. In common parlance, the term "acacia" is occasionally applied to species of the genus Robinia, which also belongs in the pea family. Robinia pseudoacacia, an American species locally known as black locust, is sometimes called "false acacia" in cultivation in the United Kingdom and throughout Europe. Description The leaves of acacias are compound pinnate in general. In some species, however, more especially in the Australian and Pacific Islands species, the leaflets are suppressed, and the leaf-stalks (petioles) become vertically flattened in order to serve the purpose of leaves. These are known as "phyllodes". The vertical orientation of the phyllodes protects them from intense sunlight since with their edges towards the sky and earth they do not intercept light as fully as horizontally placed leaves. A few species (such as Acacia glaucoptera) lack leaves or phyllodes altogether but instead possess cladodes, modified leaf-like photosynthetic stems functioning as leaves. The small flowers have five very small petals, almost hidden by the long stamens, and are arranged in dense, globular or cylindrical clusters; they are yellow or cream-colored in most species, whitish in some, or even purple (Acacia purpureopetala) or red (Acacia leprosa 'Scarlet Blaze'). Acacia flowers can be distinguished from those of a large related genus, Albizia, by their stamens, which are not joined at the base. Also, unlike individual Mimosa flowers, those of Acacia have more than ten stamens. The plants often bear spines, especially those species growing in arid regions. These sometimes represent branches that have become short, hard, and pungent, though they sometimes represent leaf-stipules. Acacia armata is the kangaroo-thorn of Australia, and Acacia erioloba (syn. Acacia eriolobata) is the camelthorn of Africa. Acacia seeds can be difficult to germinate. Research has found that immersing the seeds in various temperatures (usually around 80 °C (176 °F)) and manual seed coat chipping can improve growth to around 80%. Symbiosis In the Central American bullthorn acacias—Acacia sphaerocephala, Acacia cornigera and Acacia collinsii — some of the spiny stipules are large, swollen and hollow. These afford shelter for several species of Pseudomyrmex ants, which feed on extrafloral nectaries on the leaf-stalk and small lipid-rich food-bodies at the tips of the leaflets called Beltian bodies. In return, the ants add protection to the plant against herbivores. Some species of ants will also remove competing plants around the acacia, cutting off the offending plants' leaves with their jaws and ultimately killing them. Other associated ant species appear to do nothing to benefit their hosts. Similar mutualisms with ants occur on Acacia trees in Africa, such as the whistling thorn acacia. The acacias provide shelter for ants in similar swollen stipules and nectar in extrafloral nectaries for their symbiotic ants, such as Crematogaster mimosae. In turn, the ants protect the plant by attacking large mammalian herbivores and stem-boring beetles that damage the plant. The predominantly herbivorous spider Bagheera kiplingi, which is found in Central America and Mexico, feeds on nubs at the tips of the acacia leaves, known as Beltian bodies, which contain high concentrations of protein. These nubs are produced by the acacia as part of a symbiotic relationship with certain species of ant, which also eat them. Pests In Australia, Acacia species are sometimes used as food plants by the larvae of hepialid moths of the genus Aenetus including A. ligniveren. These burrow horizontally into the trunk then vertically down. Other Lepidoptera larvae which have been recorded feeding on Acacia include brown-tail, Endoclita malabaricus and turnip moth. The leaf-mining larvae of some bucculatricid moths also feed on Acacia; Bucculatrix agilis feeds exclusively on Acacia horrida and Bucculatrix flexuosa feeds exclusively on Acacia nilotica. Acacias contain a number of organic compounds that defend them from pests and grazing animals. Uses Use as human food Acacia seeds are often used for food and a variety of other products. In Myanmar, Laos, and Thailand, the feathery shoots of Acacia pennata (common name cha-om, ชะอม and su pout ywet in Burmese) are used in soups, curries, omelettes, and stir-fries. Gum Various species of acacia yield gum. True gum arabic is the product of Acacia senegal, abundant in dry tropical West Africa from Senegal to northern Nigeria. Acacia nilotica (syn. Acacia arabica) is the gum arabic tree of India, but yields a gum inferior to the true gum arabic. Gum arabic is used in a wide variety of food products, including some soft drinks and confections. The ancient Egyptians used acacia gum in paints. The gum of Acacia xanthophloea and Acacia karroo has a high sugar content and is sought out by the lesser bushbaby. Acacia karroo gum was once used for making confectionery and traded under the name "Cape Gum". It was also used medicinally to treat cattle suffering poisoning by Moraea species. Uses in folk medicine Acacia species have possible uses in folk medicine. A 19th-century Ethiopian medical text describes a potion made from an Ethiopian species (known as grar) mixed with the root of the tacha, then boiled, as a cure for rabies. An astringent medicine high in tannins, called catechu or cutch, is procured from several species, but more especially from Senegalia catechu (syn. Acacia catechu), by boiling down the wood and evaporating the solution so as to get an extract. The catechu extract from A. catechu figures in the history of chemistry in giving its name to the catechin, catechol, and catecholamine chemical families ultimately derived from it. Ornamental uses A few species are widely grown as ornamentals in gardens; the most popular perhaps is A. dealbata (silver wattle), with its attractive glaucous to silvery leaves and bright yellow flowers; it is erroneously known as "mimosa" in some areas where it is cultivated, through confusion with the related genus Mimosa. Another ornamental acacia is the fever tree. Southern European florists use A. baileyana, A. dealbata, A. pycnantha and A. retinodes as cut flowers and the common name there for them is mimosa. Ornamental species of acacias are also used by homeowners and landscape architects for home security. The sharp thorns of some species are a deterrent to trespassing, and may prevent break-ins if planted under windows and near drainpipes. The aesthetic characteristics of acacia plants, in conjunction with their home security qualities, makes them a reasonable alternative to constructed fences and walls. Perfume Acacia farnesiana is used in the perfume industry due to its strong fragrance. The use of acacia as a fragrance dates back centuries. Symbolism and ritual Egyptian mythology has associated the acacia tree with characteristics of the tree of life, such as in the Myth of Osiris and Isis. Several parts (mainly bark, root, and resin) of Acacia species are used to make incense for rituals. Acacia is used in incense mainly in India, Nepal, and China including in its Tibet region. Smoke from acacia bark is thought to keep demons and ghosts away and to put the gods in a good mood. Roots and resin from acacia are combined with rhododendron, acorus, cytisus, salvia, and some other components of incense. Both people and elephants like an alcoholic beverage made from acacia fruit. According to Easton's Bible Dictionary, the acacia tree may be the "burning bush" (Exodus 3:2) which Moses encountered in the desert. Also, when God gave Moses the instructions for building the Tabernacle, he said to "make an ark" and "a table of acacia wood" (Exodus 25:10 & 23, Revised Standard Version). Also, in the Christian tradition, Christ's crown of thorns is thought to have been woven from acacia. Acacia was used for Zulu warriors' iziQu (or isiKu) beads, which passed on through Robert Baden-Powell to the Scout movement's Wood Badge training award. In Russia, Italy, and other countries, it is customary to present women with yellow mimosas (among other flowers) on International Women's Day (March 8). These "mimosas" may be from A. dealbata (silver wattle). In 1918, May Gibbs, the popular Australian children's author, wrote the book 'Wattle Babies', in which a third-person narrator describes the lives of imaginary inhabitants of the Australian forests (the 'bush'). The main characters are the Wattle Babies, who are tiny people that look like acacia flowers and who interact with various forest creatures. Gibbs wrote "Wattle Babies are the sunshine of the Bush. In Winter, when the sky is grey and all the world seems cold, they put on their yellowest clothes and come out, for they have such cheerful hearts." Gibbs was referring to the fact that an abundance of acacias flower in August in Australia, in the midst of the southern hemisphere winter. Tannin The bark of various Australian species, known as wattles, is very rich in tannin and forms an important article of export; important species include A. pycnantha (golden wattle), A. decurrens (tan wattle), A. dealbata (silver wattle) and A. mearnsii (black wattle). Black wattle is grown in plantations in South Africa and South America. The pods of A. nilotica (under the name of neb-neb), and of other African species, are also rich in tannin and used by tanners. In Yemen, the principal tannin substance was derived from the leaves of the salam-tree (Acacia etbaica), a tree known locally by the name qaraẓ (garadh). A bath solution of the crushed leaves of this tree, into which raw leather had been inserted for prolonged soaking, would take only 15 days for curing. The water and leaves, however, required changing after seven or eight days, and the leather needed to be turned over daily. Wood Some Acacia species are valuable as timber, such as A. melanoxylon (blackwood) from Australia, which attains a great size; its wood is used for furniture, and takes a high polish; and A. omalophylla (myall wood, also Australian), which yields a fragrant timber used for ornaments. A. seyal is thought to be the shittah-tree of the Bible, which supplied shittim-wood. According to the Book of Exodus, this was used in the construction of the Ark of the Covenant. A. koa from the Hawaiian Islands and A. heterophylla from Réunion are both excellent timber trees. Depending on abundance and regional culture, some Acacia species (e.g. A. fumosa) are traditionally used locally as firewoods. It is also used to make homes for different animals. Pulpwood In Indonesia (mainly in Sumatra) and in Malaysia (mainly in Sabah), plantations of A. mangium are being established to supply pulpwood to the paper industry. Acacia wood pulp gives high opacity and below average bulk paper. This is suitable in lightweight offset papers used for Bibles and dictionaries. It is also used in paper tissue where it improves softness. Land reclamation Acacias can be planted for erosion control, especially after mining or construction damage. Ecological invasion For the same reasons it is favored as an erosion-control plant, with its easy spreading and resilience, some varieties of acacia are potentially invasive species. At least fourteen Acacia species introduced to South Africa are categorized as invasive, due to their naturally aggressive propagation. One of the most globally significant invasive acacias is black wattle A. mearnsii, which is taking over grasslands and abandoned agricultural areas worldwide, especially in moderate coastal and island regions where mild climate promotes its spread. Australian/New Zealand Weed Risk Assessment gives it a "high risk, score of 15" rating and it is considered one of the world's 100 most invasive species. Extensive ecological studies should be performed before further introduction of acacia varieties, as this fast-growing genus, once introduced, spreads quickly and is extremely difficult to eradicate. Phytochemistry Cyanogenic glycosides Nineteen different species of Acacia in the Americas contain cyanogenic glycosides, which, if exposed to an enzyme which specifically splits glycosides, can release hydrogen cyanide (HCN) in the "leaves". This sometimes results in the poisoning death of livestock. If fresh plant material spontaneously produces 200 ppm or more HCN, then it is potentially toxic. This corresponds to about 7.5 μmol HCN per gram of fresh plant material. It turns out that, if acacia "leaves" lack the specific glycoside-splitting enzyme, then they may be less toxic than otherwise, even those containing significant quantities of cyanic glycosides. Some Acacia species containing cyanogens include Acacia erioloba, A. cunninghamii, A. obtusifolia, A. sieberiana, and A. sieberiana var. woodii Famous acacias The Arbre du Ténéré in Niger was the most isolated tree in the world, about from any other tree. The tree was knocked down by a truck driver in 1973. In Nairobi, Kenya, the Thorn Tree Café is named after a Naivasha thorn tree (Acacia xanthophloea) in its centre. Travelers used to pin notes to others to the thorns of the tree. The current tree is the third of the same variety. References Further reading Shulgin, Alexander and Ann, TiHKAL the Continuation. Transform Press, 1997. External links World Wide Wattle Acacia-world Wayne's Word on "The Unforgettable Acacias" The genus Acacia and Entheogenic Tryptamines, with reference to Australian and related species, by mulga A description of Acacia from Pomet's 1709 reference book, History of Druggs Dr. Duke's Phytochemical and Ethnobotanical Databases Flora identification tools from the State Herbarium of South Australia Tannins in Some Interrelated Wattles List of Acacia Species in the U.S. FAO Timber Properties of Various Acacia Species FAO Comparison of Various Acacia Species as Forage Vet. Path. ResultsAFIP Wednesday Slide Conference – No. 21 February 24, 1999 Acacia cyanophylla lindl as supplementary feed/for small stock in Libya Description of Acacia Morphology Nitrogen Fixation in Acacias Acacias with Cyagenic Compounds Acacia Alarm System Excipients Medicinal plants Medicinal plants of Australia
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https://en.wikipedia.org/wiki/Acapulco
Acapulco
Acapulco de Juárez (), commonly called Acapulco ( , ; ), is a city and major seaport in the state of Guerrero on the Pacific Coast of Mexico, south of Mexico City. Acapulco is located on a deep, semicircular bay and has been a port since the early colonial period of Mexico's history. It is a port of call for shipping and cruise lines running between Panama and San Francisco, California, United States. The city of Acapulco is the largest in the state, far larger than the state capital Chilpancingo. Acapulco is also Mexico's largest beach and balneario resort city. Acapulco de Juárez is the municipal seat of the municipality of Acapulco. The city is one of Mexico's oldest beach resorts, coming into prominence in the 1940s through the 1960s as a getaway for Hollywood stars and millionaires. Acapulco was once a popular tourist resort, but due to a massive upsurge in gang violence and homicide numbers since 2014, Acapulco no longer attracts many foreign tourists, and most now only come from Mexico itself. It is both the ninth deadliest city in Mexico and the tenth-deadliest city in the world as of 2022; the US government has warned its citizens not to travel there. In 2016 there were 918 murders, and the homicide rate was one of the highest in the world: 103 in every 100,000. In September 2018 the city's entire police force was disarmed by the military, due to suspicions that it has been infiltrated by drug gangs. The resort area is divided into three parts: the north end of the bay and beyond is the "traditional" area, which encompasses the area from Parque Papagayo through the and onto the beaches of Caleta and Caletilla, the main part of the bay known as "" ('golden zone' in Spanish), where the famous in the mid-20th century vacationed, and the south end, "" ('diamond' in Spanish), which is dominated by newer luxury high-rise hotels and condominiums. The name "Acapulco" comes from Nahuatl language Aca-pōl-co, and means "where the reeds were destroyed or washed away" or "at the big reeds", which inspired the city's seal, which is an Aztec-type glyph showing two hands breaking reeds. The "de Juárez" was added to the official name in 1885 to honor Benito Juárez, former president of Mexico (1806–1872). The island and municipality of Capul, in the Philippines, derives its name from Acapulco. Acapulco was the eastern end of the trans-Pacific sailing route from Acapulco to Manila, in what was then a Spanish colony. History Pre-Columbian By the 8th century around the Acapulco Bay area, there was a small culture which would first be dominated by the Olmecs, then by a number of others during the pre-Hispanic period before it ended in the 1520s. At Acapulco Bay itself, there were two Olmec sites, one by Playa Larga and the other on a hill known as El Guitarrón. Olmec influence caused the small spread-out villages here to coalesce into larger entities and build ceremonial centers. Later, Teotihuacan influence came to the area via Cuernavaca and Chilpancingo. Then Mayan influence arrived from the Isthmus of Tehuantepec and through what is now Oaxaca. This history is known through the archaeological artifacts that have been found here, especially at Playa Hornos, Pie de la Cuesta, and Tambuco. In the 11th century, new waves of migration of Nahuas and Coixas came through here. These people were the antecedents of the Aztecs. In the later 15th century, after four years of military struggle, Acapulco became part of the Aztec Empire during the reign of Ahuizotl (1486–1502). It was annexed to a tributary province named Tepecuacuilco. However, this was only transitory, as the Aztecs could only establish an unorganized military post at the city's outskirts. The city was in territory under control of the Yopes, who continued defending it and living there until the arrival of the Spanish in the 1520s. 16th century There are two stories about how Acapulco bay was discovered by Europeans. The first states that two years after the Spanish conquest of the Aztec Empire, Hernán Cortés sent explorers west to find gold. The explorers had subdued this area after 1523, and Captain Saavedra Cerón was authorized by Cortés to found a settlement here. The other states that the bay was discovered on December 13, 1526, by a small ship named the El Tepache Santiago captained by Santiago Guevara. The first encomendero was established in 1525 at Cacahuatepec, which is still part of the modern Acapulco municipality. In 1531, a number of Spaniards, most notably Juan Rodriguez de Villafuerte, left the Oaxaca coast and founded the village of Villafuerte where the city of Acapulco now stands. Villafuerte was unable to subdue the local native peoples, and this eventually resulted in the Yopa Rebellion in the region of Cuautepec. Hernán Cortés was obligated to send Vasco Porcayo to negotiate with the indigenous people giving concessions. The province of Acapulco became the encomendero of Rodriguez de Villafuerte who received taxes in the form of cocoa, cotton and corn. Cortés established Acapulco as a major port by the early 1530s, with the first major road between Mexico City and the port constructed by 1531. The wharf, named Marqués, was constructed by 1533 between Bruja Point and Diamond Point. Soon after, the area was made an "alcadia" (major province or town). Spanish trade in the Far East would give Acapulco a prominent position in the economy of New Spain. In 1550 thirty Spanish families were sent to live here from Mexico City to have a permanent base of European residents. Galleons started arriving in Acapulco from Asia by 1565. Acapulco would become the second most important port, after Veracruz, due to its direct trade with the Philippines. This trade would focus on the yearly Manila-Acapulco Galleon trade, which was the nexus of all kinds of communications between New Spain, Europe and Asia. In 1573, the port was granted the monopoly of the Manila trade. 17th–19th centuries On January 25, 1614, a delegation led by samurai Hasekura Tsunenaga, which included over one hundred Japanese Christians as well as twenty-two samurai under the shōgun Tokugawa Ieyasu, arrived from Japan to Acapulco as part of a mission to form closer relations with Catholic Europe. A fight soon broke out in which a Japanese samurai stabbed a Spanish colonial soldier in Acapulco. This was witnessed and recorded by historian Chimalpahin, who was the grandson of an Aztec nobleman. Some of Tsunenaga's delegation would stay and marry with the locals. The galleon trade made its yearly run from the mid-16th century until the early 19th. The luxury items it brought to New Spain attracted the attention of English and Dutch pirates, such as Francis Drake, Henry Morgan and Thomas Cavendish, who called it "The Black Ship". A Dutch fleet invaded Acapulco in 1615, destroying much of the town before being driven off. The Fort of San Diego was built the following year to protect the port and the cargo of arriving ships. The fort was destroyed by an earthquake in 1776 and was rebuilt between 1778 and 1783. At the beginning of the 19th century, King Charles IV declared Acapulco a Ciudad Official and it became an essential part of the Spanish Crown. However, not long after, the Mexican War of Independence began. In 1810, José María Morelos y Pavón attacked and burnt down the city, after he defeated royalist commander Francisco Parés at the Battle of Tres Palos. The independence of Mexico in 1821 ended the run of the Manila Galleon. Acapulco's importance as a port recovered during the California Gold Rush in the mid-19th-century, with ships going to and coming from Panama stopping here. This city was besieged on 19 April 1854 by Antonio López de Santa Anna after Guerrero's leadership had rebelled by issuing the Plan de Ayutla. After an unsuccessful week of fighting, Santa Anna retreated. 20th century In 1911, revolutionary forces took over the main plaza of Acapulco. In 1920, the Prince of Wales (the future King Edward VIII) visited the area. Impressed by what he saw, he recommended the place to his compatriots in Europe, making it popular with the elite there. Much of the original hotel and trading infrastructure was built by a businessman named Albert B. Pullen from Corrigan, Texas, in the area now known as Old Acapulco. In 1933 Carlos Barnard started the first section of Hotel El Mirador, with 12 rooms on the cliffs of La Quebrada. Wolf Schoenborn purchased large amounts of undeveloped land and Albert Pullen built the Las Americas Hotel. In the mid-1940s, the first commercial wharf and warehouses were built. In the early 1950s, President Miguel Alemán Valdés upgraded the port's infrastructure, installing electrical lines, drainage systems, roads and the first highway to connect the port with Mexico City. The economy grew and foreign investment increased with it. During the 1950s, Acapulco became the fashionable place for millionaire Hollywood stars such as Elizabeth Taylor, Frank Sinatra, Eddie Fisher and Brigitte Bardot. The 1963 Hollywood movie Fun in Acapulco, starring Elvis Presley, is set in Acapulco although the filming took place in the United States. Former swing musician Teddy Stauffer, the so-called "Mister Acapulco", was a hotel manager ("Villa Vera", "Casablanca"), who attracted many celebrities to Acapulco. From a population of only 4,000 or 5,000 in the 1940s, by the early 1960s, Acapulco had a population of about 50,000. In 1958, the Diocese of Acapulco was created by Pope Pius XII. It became an archdiocese in 1983. During the 1960s and 1970s, new hotel resorts were built, and accommodation and transport were made cheaper. It was no longer necessary to be a millionaire to spend a holiday in Acapulco; the foreign and Mexican middle class could now afford to travel here. However, as more hotels were built in the south part of the bay, the old hotels of the 1950s lost their grandeur. For the 1968 Summer Olympics in neighboring Mexico City, Acapulco hosted the sailing (then yachting) events. In the 1970s, there was a significant expansion of the port. The Miss Universe 1978 pageant took place in the city. In 1983, singer-songwriter Juan Gabriel wrote the song "Amor eterno", which pays homage to Acapulco. The song was first and most famously recorded by Rocío Dúrcal. Additionally, Acapulco is the hometown of actress, singer, and comedian Aída Pierce, who found fame during the 1980s, 1990s and the first decade of the 21st century. The tollway known as the Ruta del Sol was built during the 1990s, crossing the mountains between Mexico City and Acapulco. The journey takes only about three-and-a-half hours, making Acapulco a favorite weekend destination for Mexico City inhabitants. It was in that time period that the economic impact of Acapulco as a tourist destination increased positively, and as a result new types of services emerged, such as the Colegio Nautilus. This educational project, backed by the state government, was created for the families of local and foreign investors and businessmen living in Acapulco who were in need of a bilingual and international education for their children. The port continued to grow and in 1996, a new private company, API Acapulco, was created to manage operations. This consolidated operations and now Acapulco is the major port for car exports to the Pacific. The city was devastated by Hurricane Pauline in 1997. The storm stranded tourists and left more than 100 dead in the city. Most of the victims were from the shantytowns built on steep hillsides that surround the city. Other victims were swept away by thirty-foot (9 m) waves and winds. The main road, Avenida Costera, became a fast-moving river of sludge three feet (1 m) in depth. 21st century In the 21st century, the Mexican Drug War has had a negative effect on tourism in Acapulco as rival drug traffickers fight each other for the Guerrero coast route that brings drugs from South America as well as soldiers that have been fighting the cartels since 2006. A major gun battle between 18 gunmen and soldiers took place in the summer of 2009 in the Old Acapulco seaside area, lasting hours and killing 16 of the gunmen and two soldiers. This came after the 2009 swine flu pandemic outbreak earlier in the year nearly paralyzed the Mexican economy, forcing hotels to give discounts to bring tourists back. However, hotel occupancy for 2009 was down five percent from the year before. The death of Arturo Beltrán Leyva in December 2009 resulted in infighting among different groups within the Beltrán Leyva cartel. Gang violence continued to plague Acapulco through 2010 and into 2011, most notably with at least 15 dying in drug-related violence on March 13, 2010, and another 15 deaths on January 8, 2011. Among the first incident's dead were six members of the city police and the brother of an ex-mayor. In the second incident, the headless bodies of 15 young men were found dumped near the Plaza Sendero shopping center. On August 20, 2011, Mexican authorities reported that five headless bodies were found in Acapulco, three of which were placed in the city's main tourist area and two of which were cut into multiple pieces. On February 4, 2013, six Spanish men were tied up and robbed and the six Spanish women with them were gang-raped by five masked gunmen who stormed a beach house on the outskirts of Acapulco, though after these accusations, none of the victims decided to press charges. On September 28, 2014, Mexican politician Braulio Zaragoza was gunned down at the El Mirador hotel in the city. He was the leader of the conservative opposition National Action Party (PAN) in southern Guerrero state. Several politicians have been targeted by drug cartels operating in the area. Investigations are under way, but no arrests have yet been made. The insecurity due to individuals involved with drug cartels has cost the city of Acapulco its popularity among national and international tourists. It was stated by the Dirección General de Aeronáutica Civil that the number of international flyers coming to Acapulco decreased from 355,760 flyers registered in 2006 to 52,684 flyers in the year 2015, the number of international tourists flying to Acapulco dropped 85% in the interval of nine years. In 2018, the Mexican Armed Forces entered the city, placing it under occupation. The police department was disarmed after allegations of the latter being linked to the cartels. Hurricane Otis On October 25, 2023, Hurricane Otis, a Category 5 hurricane with 1-minute sustained winds of , caused widespread devastation throughout the city while making landfall nearby. Geography The city, located on the Pacific coast of Mexico in the state of Guerrero, is classified as one of the state's seven regions, dividing the rest of the Guerrero coast into the Costa Grande and the Costa Chica. Forty percent of the municipality is mountainous terrain; another forty percent is semi-flat; and the other twenty percent is flat. Elevation varies from sea level to . The highest peaks are Potrero, San Nicolas, and Alto Camarón. One major river runs through the municipality, the Papagayo, along with a number of arroyos (streams). There are also two small lagoons, Tres Palos and Coyuca, along with a number of thermal springs. Climate Acapulco features a tropical wet and dry climate (Köppen: Aw): hot with distinct wet and dry seasons, with more even temperatures between seasons than resorts farther north in Mexico, but this varies depending on altitude. The warmest areas are next to the sea where the city is. Pacific hurricanes and tropical storms are threats from May through November; notably, the city was struck directly by Category 5 Hurricane Otis on October 25, 2023, which caused extensive damage. The forested area tends to lose leaves during the winter dry season, with evergreen pines in the highest elevations. Fauna consists mostly of deer, small mammals, a wide variety of both land and seabirds, and marine animals such as turtles. Oddly enough, January, its coolest month, also features its all-time record high. The temperature of the sea is quite stable, with lows of between January – March, and a high of in August. Government As the seat of a municipality, the city of Acapulco is the government authority for over 700 other communities, which together have a territory of 1,880.60 km2. This municipality borders the municipalities of Chilpancingo, Juan R Escudero (Tierra Colorada), San Marcos, Coyuca de Benítez with the Pacific Ocean to the south. The metropolitan area is made up of the municipalities of Acapulco de Juárez and Coyuca de Benitez. The area has a population () of 786,830. For the names and terms of some Acapulco mayors, you can check a List of municipal presidents of Acapulco. Demographics Population Acapulco is the most populated city in the state of Guerrero, according to the results of the II Population and Housing Census 2010 carried out by the National Institute of Statistics and Geography (INEGI) with a census date of June 12, 2010, The city had until then a total population of 673 479 inhabitants, of that amount, 324 746 were men and 348 733 women. It is considered the twenty-second most populous city in Mexico and the tenth most populous metropolitan area in Mexico. It is also the city with the highest concentration of population of the homonymous municipality, representing 85.25 percent of the 789.971 inhabitants. The metropolitan area of Acapulco is made up of six towns in the municipality of Acapulco de Juárez and four in the municipality of Coyuca de Benítez. In agreement with the last count and official delimitation realized in 2010 altogether by the National Institute of Statistics and Geography, the National Council of Population and the Secretariat of Social Development, the metropolitan area of Acapulco grouped a total of 863 431 inhabitants in a surface of 3 538.5 km2, which placed it as the tenth most populated district in Mexico. It is estimated according to a study by the National Autonomous University of Mexico on climate and geography, carried out in 2002, that between 2015 and 2020 the city of Acapulco will exceed one million inhabitants. <noinclude> Notes Economy Tourism is the main economic activity of the municipality and most of this is centered on Acapulco Bay. About seventy-three percent of the municipality's population is involved in commerce, most of it related to tourism and the port. Mining and manufacturing employ less than twenty percent and only about five percent is dedicated to agriculture. Industrial production is limited mostly to bottling, milk products, cement products, and ice and energy production. Agricultural products include tomatoes, corn, watermelon, beans, green chili peppers, and melons. Tourism Acapulco is one of Mexico's oldest coastal tourist destinations, reaching prominence in the 1950s as the place where Hollywood stars and millionaires vacationed on the beach in an exotic locale. In modern times, tourists in Acapulco have been facing problems with corrupt local police who steal money by extortion and intimidate visitors with threats of jail. The city is divided into three tourist areas. Traditional Acapulco is the old part of the port, where hotels like Hotel Los Flamingos, owned by personalities Johnny Weissmuller and John Wayne are located, is on the northern end of the bay. Anchored by attractions such as the beaches of Caleta and Caletilla, the cliff divers of La Quebrada, and the city square, known as El Zocalo. The heyday of this part of Acapulco ran from the late 1930s until the 1960s, with development continuing through the 1980s. This older section of town now caters to a mostly middle-class, almost exclusively Mexican clientele, while the glitzier newer section caters to the Mexican upper classes, many of whom never venture into the older, traditional part of town. Acapulco Dorado had its development between the 1950s and the 1970s, and is about 25 minutes from the Acapulco International Airport. It is the area that presents the most tourist influx in the port, runs through much of the Acapulco bay, from Icacos, passing through Costera Miguel Aleman Avenue, which is the main one, to Papagayo Park. It has several hotels, Acapulco Diamante, also known as Punta Diamante, is the newest and most developed part of the port, with investment having created one of the greatest concentrations of luxury facilities in Mexico, including exclusive hotels and resorts of international chains, residential complexes, luxury condominiums and private villas, spas, restaurants, shopping areas and a golf course. Starting at the Scenic Highway in Las Brisas, it includes Puerto Marqués and Punta Diamante and extends to Barra Vieja Beach. It is 10 minutes from the Acapulco International Airport. In this area, all along Boulevard de las Naciones, almost all transportation is by car, limousine or golf cart. Acapulco's reputation of a high-energy party town and the nightlife have long been draws of the city for tourists. From November to April, luxury liners stop here daily and include ships such as the , the , Crystal Harmony, and all the Princess line ships. Despite Acapulco's international fame, most of its visitors are from central Mexico, especially the affluent from Mexico City. Acapulco is one of the embarkation ports for the Mexican cruise line Ocean Star Cruises. For the Christmas season of 2009, Acapulco received 470,000 visitors, most of whom are Mexican nationals, adding 785 million pesos to the economy. Eighty percent arrive by land and eighteen percent by air. The area has over 25,000 condominiums, most of which function as second homes for their Mexican owners. Acapulco is still popular with Mexican celebrities and the wealthy, such as Luis Miguel and Plácido Domingo, who maintain homes there. Problems From the latter 20th century on, the city has also taken on other less-positive reputations. Some consider it a passé resort, eclipsed by the newer Cancún and Cabo San Lucas. Over the years, a number of problems have developed here, especially in the bay and the older sections of the city. The large number of wandering vendors on the beaches, who offer everything from newspapers to massages, are a recognized problem. It is a bother to tourists who simply want to relax on the beach, but the government says it is difficult to eradicate, as there is a lot of unemployment and poverty in the city. Around the city are many small shantytowns that cling to the mountainsides, populated by migrants who have come to the city looking for work. In the last decade, drug-related violence has caused massive problems for the local tourism trade. Another problem is the garbage that has accumulated in the bay. Although 60.65 tons have recently been extracted from the bays of Acapulco and nearby Zihuatanejo, more needs to be done. Most of trash removal during the off seasons is done on the beaches and in the waters closest to them. However, the center of the bay is not touched. The reason trash winds up in the bay is that it is common in the city to throw it in streets, rivers and the bay itself. The most common items cleaned out of the bay are beer bottles and car tires. Acapulco has seen some success in this area, having several beaches receiving the high "blue flag" certifications for cleanliness and water quality. Cuisine Acapulco's cuisine is very rich. The following are typical dishes from the region: Relleno is baked pork with a variety of vegetables and fruits such as potatoes, raisins, carrots and chiles. It is eaten with bread called bolillo. Pozole is a soup with a salsa base (it can be white, red or green), hominy, meat that can be either pork or chicken and it is accompanied with antojitos (snacks) like tostadas, tacos and tamales. This dish is served as part of a weekly Thursday event in the city and the state, with many restaurants offering the meal with special entertainment, from bands to dancers to celebrity impersonators. Attractions Acapulco's main attraction is its nightlife, as it has been for many decades. Nightclubs change names and owners frequently. For example, Baby 'O has been open to the national and international public since 1976 and different celebrities have visited their installations such as Mexican singer Luis Miguel, Bono from U2 and Sylvester Stallone. Another nightclub is Palladium, located in the Escénica Avenue, the location gives the nightclub a view of the Santa Lucia Bay at night. Various DJs have had performances in Palladium among them DVBBS, Tom Swoon, Nervo and Junkie KID. Informal lobby or poolside cocktail bars often offer free live entertainment. In addition, there is the beach bar zone, where younger crowds go. These are located along the Costera road, face the ocean and feature techno or alternative rock. Most are concentrated between the Fiesta Americana and Continental Plaza hotels. These places tend to open earlier and have more informal dress. There is a bungee jump in this area as well. Another attraction at Acapulco is the La Quebrada Cliff Divers. The tradition started in the 1930s when young men casually competed against each other to see who could dive from the highest point into the sea below. Eventually, locals began to ask for tips for those coming to see the men dive. Today the divers are professionals, diving from heights of into an inlet that is only wide and deep, after praying first at a shrine to the Virgin of Guadalupe. On the evening before December 12, the feast day of this Virgin, freestyle cliff divers jump into the sea to honor her. Dives range from the simple to the complicated and end with the "Ocean of Fire" when the sea is lit with gasoline, making a circle of flames which the diver aims for. The spectacle can be seen from a public area which charges a small fee or from the Hotel Plaza Las Glorias/El Mirador from its bar or restaurant terrace. There are a number of beaches in the Acapulco Bay and the immediate coastline. In the bay proper there are the La Angosta (in the Quebrada), Caleta, Caletilla, Dominguillo, Tlacopanocha, Hornos, Hornitos, Honda, Tamarindo, Condesa, Guitarrón, Icacos, Playuela, Playuelilla and Playa del Secreto. In the adjoining, smaller Bay of Puerto Marqués there is Pichilingue, Las Brisas, and Playa Roqueta. Facing open ocean just northwest of the bays is Pie de la Cuesta and southeast are Playa Revolcadero, Playa Aeromar, Playa Encantada and Barra Vieja. Two lagoons are in the area, Coyuca to the northwest of Acapulco Bay and Tres Palos to the southeast. Both lagoons have mangroves and offer boat tours. Tres Palos also has sea turtle nesting areas which are protected. In addition to sunbathing, the beaches around the bay offer a number of services, such as boat rentals, boat tours, horseback riding, scuba diving and other aquatic sports. One popular cruise is from Caletilla Beach to Roqueta Island, which has places to snorkel, have lunch, and a lighthouse. There is also an underwater statue of the Virgin of Guadalupe here, created in 1958 by Armando Quesado in memory of a group of divers who died here. Many of the scuba-diving tours come to this area as well, where there are sunken ships, sea mountains, and cave rock formations. Another popular activity is deep-sea fishing. The major attraction is sail fishing. Fish caught here have weighed between 89 and 200 pounds. Sailfish are so plentiful that boat captains have been known to bet with a potential customer that if he does not catch anything, the trip is free. In the old part of the city, there is a traditional main square called the Zócalo, lined with shade trees, cafés and shops. At the north end of the square is Nuestra Señora de la Soledad cathedral, with blue onion-shaped domes and Byzantine towers. The building was originally constructed as a movie set, but was later adapted into a church. Acapulco's most historic building is the Fort of San Diego, located east of the main square and originally built in 1616 to protect the city from pirate attacks. The fort was partially destroyed by the Dutch in the mid-17th century, rebuilt, then destroyed again in 1776 by an earthquake. It was rebuilt again by 1783 and this is the building that can be seen today, unchanged except for renovations done to it in 2000. Parts of the moats remain as well as the five bulwarks and the battlements. Today the fort serves as the Museo Histórico de Acapulco (Acapulco Historical Museum), which shows the port's history from the pre-Hispanic period until independence. There are temporary exhibits as well. For many years tourists could ride around the city in colorful horse-drawn carriages known as calandrias, but the practice ended in February 2020 due to concerns about mistreatment of the animals. The El Rollo Acapulco is a sea-life and aquatic park located on Costera Miguel Aleman. It offers wave pools, water slides and water toboggans. There are also dolphin shows daily and a swim with dolphins program. The center mostly caters to children. Another place that is popular with children is the Parque Papagayo: a large family park which has a life-sized replica of a Spanish galleon, three artificial lakes, an aviary, a skating rink, rides, go-karts and more. The Dolores Olmedo House is located in the traditional downtown of Acapulco and is noted for the murals by Diego Rivera that adorn it. Olmedo and Rivera had been friend since Olmedo was a child and Rivera spent the last two years of his life here. During that time, he painted nearly nonstop and created the outside walls with tile mosaics, featuring Aztec deities such as Quetzalcoatl. The interior of the home is covered in murals. The home is not a museum, so only the outside murals can be seen by the public. There is a small museum called Casa de la Máscara (House of Masks) which is dedicated to masks, most of them from Mexico, but there are examples from many parts of the world. The collection contains about one thousand examples and is divided into seven rooms called Masks of the World, Mexico across History, The Huichols and the Jaguar, Alebrijes, Dances of Guerrero, Devils and Death, Identity and Fantasy, and Afro-Indian masks. The Botanical Garden of Acapulco is a tropical garden located on lands owned by the Universidad Loyola del Pacífico. Most of the plants here are native to the region, and many, such as the Peltogyne mexicana or purple stick tree, are in danger of extinction. One cultural event that is held yearly in Acapulco is the Festival Internacional de la Nao, which takes place in the Fort of San Diego, located near the Zócalo in downtown of the city. The Festival honors the remembrance of the city's interaction and trades with Oriental territories which started back in the Sixteenth Century. The Nao Festival consists of cultural activities with the support of organizations and embassies from India, China, Japan, Philippines, Thailand, Indonesia and South Korea. The variety of events go from film projections, musical interpretations and theatre to gastronomical classes, some of the events are specifically for kids. The annual French Festival takes place throughout Acapulco city and offers a multitude of events that cement cultural links between Mexico and France. The main features are a fashion show and a gourmet food fair. The Cinépolis Galerías Diana and the Teatro Juan Ruíz de Alarcón present French and French literary figures who give talks on their specialised subjects. Even some of the local nightclubs feature French DJs. Other festivals celebrated here include Carnival, the feast of San Isidro Labrador on 15 May, and in November, a crafts and livestock fair called the Nao de China. There are a number of golf courses in Acapulco including the Acapulco Princess and the Pierre Marqués course, the latter designed by Robert Trent Jones in 1972 for the World Cup Golf Tournament. The Mayan Palace course was designed by Pedro Guericia and an economical course called the Club de Golf Acapulco is near the convention center. The most exclusive course is that of the Tres Vidas Golf Club, designed by Robert von Hagge. It is located next to the ocean and is home to flocks of ducks and other birds. Another famous sport tournament that has been held in Acapulco since 1993 is the Abierto Mexicano Telcel tennis tournament, an ATP 500 event that takes place in the tennis courts of the Princess Mundo Imperial, a resort located in the Diamante zone of Acapulco. Initially it was played in clay courts but it changed to hard court. The event has gained popularity within the passing of the years, attracting some of the top tennis players in the world including Novak Djokovic, Rafael Nadal and Marin Cilic. The total prize money is US$250,000.00 for WTA (women) and US$1,200,000.00 for ATP (men). Acapulco also has a bullring, called the Plaza de Toros, near Caletilla Beach. The season runs during the winter and is called the Fiesta Brava. Spring break Before 2010, over 100,000 American teenagers and young adults traveled to resort areas and balnearios throughout Mexico during spring break each year. The main reason students head to Mexico is the drinking age of 18 years (versus 21 for the United States), something that has been marketed by tour operators along with the sun and ocean. This has become attractive since the 1990s, especially since more traditional spring break places such as Daytona Beach, Florida, have enacted restrictions on drinking and other behaviors. This legislation has pushed spring break tourism to various parts of Mexico, with Acapulco as one of the top destinations. In the late 1990s and early 2000s, Cancún had been favored as the spring break destination of choice. However, Cancún has taken some steps to control the reckless behavior associated with the event, and students have been looking for someplace new. This led many more to choose Acapulco, in spite of the fact that for many travelers, the flight is longer and more expensive than to Cancún. Many were attracted by the glitzy hotels on the south side and Acapulco's famous nightlife. In 2008, 22,500 students came to Acapulco for spring break. Hotels did not get that many in 2009, due mostly to the economic situation in the United States, and partially because of scares of drug-related violence. In February 2009, the US State Department issued a travel alert directed at college students planning spring break trips to Acapulco. The warning—a result of violent activity springing from Mexico's drug cartel débâcle—took college campuses by storm, with some schools going so far as to warn their students about the risks of travel to Mexico over spring break. Bill O'Reilly devoted a segment of his show, The O'Reilly Factor, to urge students to stay away from Acapulco. In June 2009, a number of incidents occurred between the drug cartel and the government. These included coordinated attacks on police headquarters and open battles in the streets, involving large-caliber weapons and grenades. However, no incidents of violence against travelers on spring break were reported. Transportation Nine passenger airlines, including four international ones, fly to Acapulco International Airport. In the city, there are many buses and taxi services one can take to get from place to place, but most of the locals choose to walk to their destinations. However, an important mode of transportation is the government-subsidized 'Colectivo' cab system. These cabs cost 13 pesos per person to ride, but they are not private. The driver will pick up more passengers as long as seats are available, and will transport them to their destination based on first-come, first-served rules. The colectivos each travel a designated area of the city, the three main ones being Costera, Colosio, Coloso, or a mixture of the three. Coloso cabs travel mainly to old Acapulco. Colosio cabs travel through most of the tourist area of Acapulco. Costera cabs drive up and down the coast of Acapulco, where most of the hotels for visitors are located, but which includes some of old Acapulco. Where a driver will take you is partly his choice. Some are willing to travel to the other designated areas, especially during slow periods of the day. The bus system is highly complex and can be rather confusing to an outsider. As far as transportation goes, it is the cheapest form, other than walking, in Acapulco. The most expensive buses have air conditioning, while the cheaper buses do not. For tourists, the Acapulco city government has established a system of yellow buses with Acapulco painted on the side of them. These buses are not for tourists only, but are certainly the nicest and most uniform of the bus systems. These buses travel the tourist section of Acapulco, driving up and down the coast. There are buses with specific routes and destinations, generally written on their windshields or shouted out by a barker riding in the front seat. Perhaps the most unusual thing about the privately operated buses is the fact that they are all highly decorated and personalized, with decals and home-made interior designs that range from comic book scenes, to pornography, and even to "Hello Kitty" themes. The conflictive public transportation would be upgraded on 25 June 2016 with the implementation of the . The Acabús infrastructure has a length of , with 16 stations spread throughout the city of Acapulco and has five routes. This project will help organize traffic because the buses now have a specific line on the roads and there would be more control over transportation and passengers. International relations Consulates Twin towns and partner cities International Manila, 1969 Netanya, 1980 Sendai, 1983 Qingdao, 1985 Quebec City, 1986 Naples, 1986 Beverly Hills, 1988 Onjuku, 1988 Cannes, 1994 McAllen, 1997 Santa Marta, 2005 Manta, 2005 Ordizia, 2008 Yalta, 2012 Sosúa, 2012 Nassau, 2012 Callao, 2014 Cartagena, 2017 Eilat, 2017 Domestic Teocaltiche, 2005 Dolores Hidalgo, 2009 Guanajuato City, 2010 Boca del Río, 2012 Morelia, 2013 UNESCO World Heritage Site nominations In 2014, the idea to nominate the Manila-Acapulco Galleon Trade Route was initiated by the Mexican ambassador to UNESCO with the Filipino ambassador to UNESCO. An Experts' Roundtable Meeting was held at the University of Santo Tomas (UST) on April 23, 2015, as part of the preparation of the Philippines for the possible transnational nomination of the Manila-Acapulco Galleon Trade Route to the World Heritage List. The nomination will be made jointly with Mexico. The following are the experts and the topics they discussed during the roundtable meeting: Dr. Celestina Boncan on the Tornaviaje; Dr. Mary Jane A. Bolunia on Shipyards in the Bicol Region; Mr. Sheldon Clyde Jago-on, Bobby Orillaneda, and Ligaya Lacsina on Underwater Archaeology; Dr. Leovino Garcia on Maps and Cartography; Fr. Rene Javellana, S.J. on Fortifications in the Philippines; Felice Sta. Maria on Food; Dr. Fernando Zialcita on Textile; and Regalado Trota Jose on Historical Dimension. The papers presented and discussed during the roundtable meeting will be synthesized into a working document to establish the route's Outstanding Universal Value. The Mexican side reiterated that they will also follow suit with the preparations for the route's nomination. Spain has also backed the nomination of the Manila-Acapulco Trade Route in the UNESCO World Heritage Site list and has also suggested the Archives of the Manila-Acapulco Galleons to be nominated as part of a separate UNESCO list, the UNESCO Memory of the World Register. See also Acapulco (municipality) Triangle of the Sun Loco in Acapulco References Bibliography External links 1550 establishments in the Spanish Empire Populated coastal places in Mexico Beaches of Guerrero Populated places established in 1525 Populated places in Guerrero Port cities and towns on the Mexican Pacific coast Seaside resorts in Mexico
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August 16
Events Pre-1600 1 BC – Wang Mang consolidates his power in China and is declared marshal of state. Emperor Ai of Han, who died the previous day, had no heirs. 942 – Start of the four-day Battle of al-Mada'in, between the Hamdanids of Mosul and the Baridis of Basra over control of the Abbasid capital, Baghdad. 963 – Nikephoros II Phokas is crowned emperor of the Byzantine Empire. 1328 – The House of Gonzaga seizes power in the Duchy of Mantua, and will rule until 1708. 1513 – Battle of the Spurs (Battle of Guinegate): King Henry VIII of England and his Imperial allies defeat French Forces who are then forced to retreat. 1570 – The Principality of Transylvania is established after John II Zápolya renounces his claim as King of Hungary in the Treaty of Speyer. 1601–1900 1652 – Battle of Plymouth: Inconclusive naval action between the fleets of Michiel de Ruyter and George Ayscue in the First Anglo-Dutch War. 1777 – American Revolutionary War: The Americans led by General John Stark rout British and Brunswick troops under Friedrich Baum at the Battle of Bennington in Walloomsac, New York. 1780 – American Revolutionary War: Battle of Camden: The British defeat the Americans near Camden, South Carolina. 1792 – Maximilien de Robespierre presents the petition of the Commune of Paris to the Legislative Assembly, which demanded the formation of a revolutionary tribunal. 1793 – French Revolution: A levée en masse is decreed by the National Convention. 1812 – War of 1812: American General William Hull surrenders Fort Detroit without a fight to the British Army. 1819 – Peterloo Massacre: Seventeen people die and over 600 are injured in cavalry charges at a public meeting at St. Peter's Field, Manchester, England. 1841 – U.S. President John Tyler vetoes a bill which called for the re-establishment of the Second Bank of the United States. Enraged Whig Party members riot outside the White House in the most violent demonstration on White House grounds in U.S. history. 1858 – U.S. President James Buchanan inaugurates the new transatlantic telegraph cable by exchanging greetings with Queen Victoria of the United Kingdom. However, a weak signal forces a shutdown of the service in a few weeks. 1859 – The Grand Duchy of Tuscany formally deposes the exiled House of Lorraine. 1863 – The Dominican Restoration War begins when Gregorio Luperón raises the Dominican flag in Santo Domingo after Spain had recolonized the country. 1869 – Battle of Acosta Ñu: A Paraguayan battalion largely made up of children is massacred by the Brazilian Army during the Paraguayan War. 1870 – Franco-Prussian War: The Battle of Mars-la-Tour is fought, resulting in a Prussian victory. 1876 – Richard Wagner's Siegfried, the penultimate opera in his Ring cycle, premieres at the Bayreuth Festspielhaus. 1891 – The Basilica of San Sebastian, Manila, the first all-steel church in Asia, is officially inaugurated and blessed. 1896 – Skookum Jim Mason, George Carmack and Dawson Charlie discover gold in a tributary of the Klondike River in Canada, setting off the Klondike Gold Rush. 1900 – The Battle of Elands River during the Second Boer War ends after a 13-day siege is lifted by the British. The battle had begun when a force of between 2,000 and 3,000 Boers had surrounded a force of 500 Australians, Rhodesians, Canadians and British soldiers at a supply dump at Brakfontein Drift. 1901–present 1906 – The 8.2 Valparaíso earthquake hits central Chile, killing 3,882 people. 1913 – Tōhoku Imperial University of Japan (modern day Tohoku University) becomes the first university in Japan to admit female students. 1913 – Completion of the Royal Navy battlecruiser . 1916 – The Migratory Bird Treaty between Canada and the United States is signed. 1918 – The Battle of Lake Baikal was fought between the Czechoslovak Legion and the Red Army. 1920 – Ray Chapman of the Cleveland Indians is hit on the head by a fastball thrown by Carl Mays of the New York Yankees. Next day, Chapman will become the second player to die from injuries sustained in a Major League Baseball game. 1920 – The congress of the Communist Party of Bukhara opens. The congress would call for armed revolution. 1920 – Polish–Soviet War: The Battle of Radzymin concludes; the Soviet Red Army is forced to turn away from Warsaw. 1923 – The United Kingdom gives the name "Ross Dependency" to part of its claimed Antarctic territory and makes the Governor-General of the Dominion of New Zealand its administrator. 1927 – The Dole Air Race begins from Oakland, California, to Honolulu, Hawaii, during which six out of the eight participating planes crash or disappear. 1929 – The 1929 Palestine riots break out in Mandatory Palestine between Palestinian Arabs and Jews and continue until the end of the month. In total, 133 Jews and 116 Arabs are killed. 1930 – The first color sound cartoon, Fiddlesticks, is released by Ub Iwerks. 1930 – The first British Empire Games are opened in Hamilton, Ontario, by the Governor General of Canada, the Viscount Willingdon. 1933 – Christie Pits riot takes place in Toronto, Ontario. 1942 – World War II: US Navy L-class blimp L-8 drifts in from the Pacific and eventually crashes in Daly City, California. The two-man crew cannot be found. 1944 – First flight of a jet with forward-swept wings, the Junkers Ju 287. 1945 – The National Representatives' Congress, the precursor of the current National Assembly of Vietnam, convenes in Sơn Dương. 1946 – Mass riots in Kolkata begin; more than 4,000 people would be killed in 72 hours. 1946 – The All Hyderabad Trade Union Congress is founded in Secunderabad. 1954 – The first issue of Sports Illustrated is published. 1960 – Cyprus gains its independence from the United Kingdom. 1960 – Joseph Kittinger parachutes from a balloon over New Mexico, United States, at , setting three records that held until 2012: High-altitude jump, free fall, and highest speed by a human without an aircraft. 1964 – Vietnam War: A coup d'état replaces Dương Văn Minh with General Nguyễn Khánh as President of South Vietnam. A new constitution is established with aid from the U.S. Embassy. 1966 – Vietnam War: The House Un-American Activities Committee begins investigations of Americans who have aided the Viet Cong. The committee intends to introduce legislation making these activities illegal. Anti-war demonstrators disrupt the meeting and 50 people are arrested. 1972 – In an unsuccessful coup d'état attempt, the Royal Moroccan Air Force fires upon Hassan II of Morocco's plane while he is traveling back to Rabat. 1975 – Australian Prime Minister Gough Whitlam symbolically hands over land to the Gurindji people after the eight-year Wave Hill walk-off, a landmark event in the history of Indigenous land rights in Australia, commemorated in a 1991 song by Paul Kelly and an annual celebration. 1987 – Northwest Airlines Flight 255, a McDonnell Douglas MD-82, crashes after takeoff in Detroit, Michigan, killing 154 of the 155 on board, plus two people on the ground. 1989 – A solar particle event affects computers at the Toronto Stock Exchange, forcing a halt to trading. 1991 – Indian Airlines Flight 257, a Boeing 737-200, crashes during approach to Imphal Airport, killing all 69 people on board. 2005 – West Caribbean Airways Flight 708, a McDonnell Douglas MD-82, crashes in Machiques, Venezuela, killing all 160 people on board. 2008 – The Trump International Hotel and Tower in Chicago is topped off at , at the time becoming the world's highest residence above ground-level. 2010 – AIRES Flight 8250 crashes at Gustavo Rojas Pinilla International Airport in San Andrés, San Andrés y Providencia, Colombia, killing two people. 2012 – South African police fatally shoot 34 miners and wound 78 more during an industrial dispute at Marikana near Rustenburg. 2013 – The ferry St. Thomas Aquinas collides with a cargo ship and sinks at Cebu, Philippines, killing 61 people with 59 others missing. 2015 – More than 96 people are killed and hundreds injured following a series of air-raids by the Syrian Arab Air Force on the rebel-held market town of Douma. 2015 – Trigana Air Flight 267, an ATR 42, crashes in Oksibl, Bintang Mountains Regency, killing all 54 people on board. 2020 – The August Complex fire in California burns more than one million acres of land. Births Pre-1600 1355 – Philippa, 5th Countess of Ulster (d. 1382) 1378 – Hongxi Emperor of China (d. 1425) 1401 – Jacqueline, Countess of Hainaut (d. 1436) 1557 – Agostino Carracci, Italian painter and etcher (d. 1602) 1565 – Christina, Grand Duchess of Tuscany (d. 1637) 1573 – Anne of Austria, Queen of Poland (d. 1598) 1601–1900 1637 – Countess Emilie Juliane of Barby-Mühlingen (d. 1706) 1645 – Jean de La Bruyère, French philosopher and author (d. 1696) 1650 – Vincenzo Coronelli, Italian monk, cosmographer, and cartographer (d. 1718) 1682 – Louis, Duke of Burgundy (d. 1712) 1744 – Pierre Méchain, French astronomer and surveyor (d. 1804) 1761 – Yevstigney Fomin, Russian pianist and composer (d. 1800) 1815 – John Bosco, Italian priest and educator (d. 1888) 1816 – Octavia Taylor, daughter of Zachary Taylor (d. 1820) 1820 – Andrew Rainsford Wetmore, Canadian lawyer and politician, 1st Premier of New Brunswick (d. 1892) 1821 – Arthur Cayley, English mathematician and academic (d. 1895) 1831 – John Jones Ross, Canadian lawyer and politician, 7th Premier of Quebec (d. 1901) 1832 – Wilhelm Wundt, German physician, psychologist, and physiologist (d. 1920) 1842 – Jakob Rosanes, Ukrainian-German mathematician, chess player, and academic (d. 1922) 1845 – Gabriel Lippmann, Luxembourger-French physicist and academic, Nobel Prize laureate (d. 1921) 1848 – Vladimir Sukhomlinov, Russian general (d. 1926) 1855 – James McGowen, Australian politician, 18th Premier of New South Wales (d. 1922) 1856 – Aparicio Saravia, Uruguayan general and politician (d. 1904) 1858 – Arthur Achleitner, German author (d. 1927) 1860 – Martin Hawke, 7th Baron Hawke, English-Scottish cricketer (d. 1938) 1860 – Jules Laforgue, Uruguayan-French poet and author (d. 1887) 1862 – Amos Alonzo Stagg, American baseball player and coach (d. 1965) 1864 – Elsie Inglis, Scottish surgeon and suffragette (d. 1917) 1865 – Mary Gilmore, Australian socialist, poet and journalist (d. 1962) 1868 – Bernarr Macfadden, American bodybuilder and publisher, founded Macfadden Publications (d. 1955) 1876 – Ivan Bilibin, Russian illustrator and stage designer (d. 1942) 1877 – Roque Ruaño, Spanish priest and engineer (d. 1935) 1882 – Désiré Mérchez, French swimmer and water polo player (d. 1968) 1884 – Hugo Gernsback, Luxembourger-American author and publisher (d. 1967) 1888 – T. E. Lawrence, British colonel, diplomat, writer and archaeologist (d. 1935) 1888 – Armand J. Piron, American violinist, composer, and bandleader (d. 1943) 1892 – Hal Foster, Canadian-American author and illustrator (d. 1982) 1892 – Otto Messmer, American cartoonist and animator, co-created Felix the Cat (d. 1983) 1894 – George Meany, American plumber and labor leader (d. 1980) 1895 – Albert Cohen, Greek-Swiss author and playwright (d. 1981) 1895 – Liane Haid, Austrian-Swiss actress and singer (d. 2000) 1895 – Arthur Rose Eldred, First Eagle Scout in the Boy Scouts of America (d. 1951) 1900 – Ida Browne, Australian geologist and palaeontologist (d. 1976) 1901–present 1902 – Georgette Heyer, English author (d. 1974) 1902 – Wallace Thurman, American author and playwright (d. 1934) 1904 – Minoru Genda, Japanese general, pilot, and politician (d. 1989) 1904 – Wendell Meredith Stanley, American biochemist and virologist, Nobel Prize laureate (d. 1971) 1908 – Orlando Cole, American cellist and educator (d. 2010) 1908 – William Keepers Maxwell, Jr., American editor, novelist, short story writer, and essayist (d. 2000) 1909 – Paul Callaway, American organist and conductor (d. 1995) 1910 – Gloria Blondell, American actress (d. 1986) 1910 – Mae Clarke, American actress (d. 1992) 1911 – E. F. Schumacher, German economist and statistician (d. 1977) 1912 – Ted Drake, English footballer and manager (d. 1995) 1913 – Menachem Begin, Belarusian-Israeli politician, Prime Minister of Israel, Nobel Prize laureate (d. 1992) 1915 – Al Hibbler, American baritone singer (d. 2001) 1916 – Iggy Katona, American race car driver (d. 2003) 1917 – Matt Christopher, American author (d. 1997) 1917 – Roque Cordero, Panamanian composer and educator (d. 2008) 1919 – Karl-Heinz Euling, German captain (d. 2014) 1920 – Charles Bukowski, German-American poet, novelist, and short story writer (d. 1994) 1922 – James Casey, English comedian, radio scriptwriter and producer (d. 2011) 1922 – Ernie Freeman, American pianist and bandleader (d. 2001) 1923 – Millôr Fernandes, Brazilian journalist and playwright (d. 2012) 1924 – Fess Parker, American actor (d. 2010) 1924 – Inez Voyce, American baseball player (d. 2022) 1925 – Willie Jones, American baseball player (d. 1983) 1925 – Mal Waldron, American pianist and composer (d. 2002) 1927 – Lois Nettleton, American actress (d. 2008) 1928 – Ann Blyth, American actress and singer 1928 – Eydie Gormé, American singer (d. 2013) 1928 – Ara Güler, Turkish photographer and journalist (d. 2018) 1928 – Eddie Kirkland, American singer-songwriter and guitarist (d. 2011) 1928 – Wyatt Tee Walker, American pastor, theologian, and activist (d. 2018) 1929 – Bill Evans, American pianist and composer (d. 1980) 1929 – Helmut Rahn, German footballer (d. 2003) 1929 – Fritz Von Erich, American wrestler and trainer (d. 1997) 1930 – Robert Culp, American actor, director, and screenwriter (d. 2010) 1930 – Frank Gifford, American football player, sportscaster, and actor (d. 2015) 1930 – Leslie Manigat, Haitian educator and politician, 43rd President of Haiti (d. 2014) 1930 – Flor Silvestre, Mexican singer and actress (d. 2020) 1933 – Reiner Kunze, German poet and translator 1933 – Tom Maschler, English author and publisher (d. 2020) 1933 – Julie Newmar, American actress 1933 – Stuart Roosa, American colonel, pilot, and astronaut (d. 1994) 1934 – Angela Buxton, British tennis player (d. 2020) 1934 – Diana Wynne Jones, English author (d. 2011) 1934 – Douglas Kirkland, Canadian-American photographer (d. 2022) 1934 – Ketty Lester, American singer and actress 1934 – Pierre Richard, French actor, director, and screenwriter 1934 – John Standing, English actor 1934 – Sam Trimble, Australian cricketer (d. 2019) 1935 – Cliff Fletcher, Canadian businessman 1935 – Andreas Stamatiadis, Greek footballer and coach 1936 – Anita Gillette, American actress and singer 1936 – Alan Hodgkinson, English footballer and coach (d. 2015) 1937 – David Anderson, Canadian journalist, lawyer, and politician 1937 – David Behrman, American composer and producer 1937 – Ian Deans, Canadian politician (d. 2016) 1937 – Boris Rõtov, Estonian chess player (d. 1987) 1939 – Seán Brady, Irish cardinal 1939 – Trevor McDonald, Trinidadian-English journalist and academic 1939 – Billy Joe Shaver, American singer-songwriter and guitarist (d. 2020) 1939 – Eric Weissberg, American singer, banjo player, and multi-instrumentalist (d. 2020) 1940 – Bruce Beresford, Australian director and producer 1942 – Lesley Turner Bowrey, Australian tennis player 1942 – Barbara George, American R&B singer-songwriter (d. 2006) 1942 – Robert Squirrel Lester, American soul singer (d. 2010) 1943 – Woody Peoples, American football player (d. 2010) 1944 – Kevin Ayers, English singer-songwriter and guitarist (d. 2013) 1945 – Bob Balaban, American actor, director, and producer 1945 – Russell Brookes, English race car driver (d. 2019) 1945 – Suzanne Farrell, American ballerina and educator 1945 – Gary Loizzo, American guitarist, singer, recording engineer, and record producer (d. 2016) 1945 – Nigel Terry, British stage and film actor (d. 2015) 1946 – Masoud Barzani, Iranian-Kurdish politician, President of Iraqi Kurdistan 1946 – Lesley Ann Warren, American actress 1947 – Carol Moseley Braun, American lawyer and politician, United States Ambassador to New Zealand 1947 – Katharine Hamnett, English fashion designer 1948 – Earl Blumenauer, American politician, U.S. Representative from Oregon 1948 – Barry Hay, Indian-born Dutch rock musician 1948 – Mike Jorgensen, American baseball player and manager 1948 – Pierre Reid, Canadian educator and politician 1948 – Joey Spampinato, American singer-songwriter and bass player 1949 – Scott Asheton, American drummer (d. 2014) 1949 – Paul Pasqualoni, American football player and coach 1949 – Bill Spooner, American guitarist and songwriter 1950 – Hasely Crawford, Trinidadian runner 1950 – Marshall Manesh, Iranian-American actor 1950 – Jeff Thomson, Australian cricketer 1951 – Umaru Musa Yar'Adua, Nigerian businessman and politician, 13th President of Nigeria (d. 2010) 1952 – Reginald VelJohnson, American actor 1953 – Kathie Lee Gifford, American talk show host, singer, and actress 1953 – James "J.T." Taylor, American R&B singer-songwriter 1954 – James Cameron, Canadian director, producer, and screenwriter 1954 – George Galloway, Scottish-English politician and broadcaster 1955 – Jeff Perry, American actor 1955 – James Reilly, Irish surgeon and politician, Minister for Children and Youth Affairs 1956 – Vahan Hovhannisyan, Armenian soldier and politician (d. 2014) 1957 – Laura Innes, American actress and director 1957 – R. R. Patil, Indian lawyer and politician, Deputy Chief Minister of Maharashtra (d. 2015) 1958 – Madonna, American singer-songwriter, producer, actress, and director 1958 – Angela Bassett, American actress 1958 – José Luis Clerc, Argentinian tennis player and coach 1959 – Marc Sergeant, Belgian cyclist and manager 1960 – Rosita Baltazar, Belizean choreographer, dancer, and dance instructor (d. 2015) 1960 – Timothy Hutton, American actor, producer and director 1960 – Franz Welser-Möst, Austrian-American conductor and director 1961 – Christian Okoye, American football player 1962 – Steve Carell, American actor, director, producer, and screenwriter 1963 – Aloísio Pires Alves, Brazilian footballer and manager 1963 – Christine Cavanaugh, American voice artist (d. 2014) 1964 – Jimmy Arias, American tennis player and sportscaster 1966 – Eddie Olczyk, American ice hockey player, coach, and commentator 1967 – Mark Coyne, Australian rugby league player 1967 – Ulrika Jonsson, Swedish journalist, actress, and author 1968 – Arvind Kejriwal, Indian civil servant and politician, 7th Chief Minister of Delhi 1968 – Andy Milder, American actor 1968 – Mateja Svet, Slovenian skier 1968 – Wolfgang Tillmans, German photographer 1970 – Bonnie Bernstein, American journalist and sportscaster 1970 – Manisha Koirala, Nepalese actress in Indian films 1970 – Seth Peterson, American actor 1971 – Stefan Klos, German footballer 1972 – Stan Lazaridis, Australian footballer 1972 – Emily Strayer, American singer and musician 1974 – Shivnarine Chanderpaul, Guyanese cricketer 1974 – Didier Cuche, Swiss skier 1974 – Krisztina Egerszegi, Hungarian swimmer 1974 – Iván Hurtado, Ecuadorian footballer and politician 1974 – Ryan Longwell, American football player 1975 – Didier Agathe, French footballer 1975 – Jonatan Johansson, Finnish footballer, coach, and manager 1975 – George Stults, American actor 1975 – Taika Waititi, New Zealand director, screenwriter and actor 1979 – Paul Gallacher, Scottish footballer 1979 – Ian Moran, Australian cricketer 1980 – Vanessa Carlton, American singer-songwriter 1980 – Bob Hardy, English bass player 1980 – Emerson Ramos Borges, Brazilian footballer 1980 – Piet Rooijakkers, Dutch cyclist 1981 – Roque Santa Cruz, Paraguayan footballer 1982 – Cam Gigandet, American actor 1982 – Joleon Lescott, English footballer 1983 – Nikolaos Zisis, Greek basketball player 1984 – Matteo Anesi, Italian speed skater 1984 – Candice Dupree, American basketball player 1984 – Konstantin Vassiljev, Estonian footballer 1985 – Cristin Milioti, American actress 1986 – Yu Darvish, Japanese baseball player 1986 – Martín Maldonado, Puerto Rican baseball player 1986 – Shawn Pyfrom, American actor 1987 – Carey Price, Canadian ice hockey player 1987 – Eri Kitamura, Japanese voice actress and singer. 1988 – Ismaïl Aissati, Moroccan footballer 1988 – Ryan Kerrigan, American football player 1988 – Rumer Willis, American actress 1989 – Cedric Alexander, American wrestler 1989 – Wang Hao, Chinese race walker 1989 – Moussa Sissoko, French footballer 1990 – Godfrey Oboabona, Nigerian footballer 1991 – José Eduardo de Araújo, Brazilian footballer 1991 – Evanna Lynch, Irish actress 1991 – Jeffery Lamar Williams, American rapper, singer and songwriter 1992 – Diego Schwartzman, Argentinian tennis player 1993 – Cameron Monaghan, American actor and model 1996 – Caeleb Dressel, American swimmer 1997 – Greyson Chance, American musician 1999 – Karen Chen, American figure skater Deaths Pre-1600 AD 79 – Empress Ma, Chinese Han dynasty consort (b. 40) 856 – Theutbald I, bishop of Langres 963 – Marianos Argyros, Byzantine general (b. 944) 1027 – George I of Georgia (b. 998) 1153 – Bernard de Tremelay, fourth Grand Master of the Knights Templar 1225 – Hōjō Masako, Japanese regent and onna-bugeisha (b. 1156) 1258 – Theodore II Laskaris, Byzantine-Greek emperor (b. 1222) 1285 – Philip I, Count of Savoy (b. 1207) 1297 – John II of Trebizond (b. 1262) 1327 – Roch, French saint (b. 1295) 1339 – Azzone Visconti, founder of the state of Milan (b. 1302) 1358 – Albert II, Duke of Austria (b. 1298) 1419 – Wenceslaus IV of Bohemia (b. 1361) 1443 – Ashikaga Yoshikatsu, Japanese shōgun (b. 1434) 1492 – Beatrice of Silva, Dominican nun 1518 – Loyset Compère, French composer (b. 1445) 1532 – John, Elector of Saxony (b. 1468) 1601–1900 1661 – Thomas Fuller, English historian and author (b. 1608) 1678 – Andrew Marvell, English poet and author (b. 1621) 1705 – Jacob Bernoulli, Swiss mathematician and theorist (b. 1654) 1733 – Matthew Tindal, English philosopher and author (b. 1657) 1791 – Charles-François de Broglie, marquis de Ruffec, French soldier and diplomat (b. 1719) 1836 – Marc-Antoine Parseval, French mathematician and theorist (b. 1755) 1855 – Henry Colburn, English publisher (b. 1785) 1861 – Ranavalona I, Queen consort of Kingdom of Madagascar and then sovereign (b. 1778) 1878 – Richard Upjohn, English-American architect (b. 1802) 1886 – Sri Ramakrishna Paramahamsa, Indian mystic and philosopher (b. 1836) 1887 – Webster Paulson, English civil engineer (b. 1837) 1888 – John Pemberton, American pharmacist and chemist, invented Coca-Cola (b. 1831) 1893 – Jean-Martin Charcot, French neurologist and academic (b. 1825) 1899 – Robert Bunsen, German chemist and academic (b. 1811) 1900 – José Maria de Eça de Queirós, Portuguese journalist and author (b. 1845) 1901–present 1904 – Prentiss Ingraham, American soldier and author (b. 1843) 1911 – Patrick Francis Moran, Irish-Australian cardinal (b. 1830) 1914 – Carl Theodor Schulz, German-Norwegian gardener (b. 1835) 1916 – George Scott, English footballer (b. 1885) 1920 – Henry Daglish, Australian politician, 6th Premier of Western Australia (b. 1866) 1921 – Peter I of Serbia (b. 1844) 1938 – Andrej Hlinka, Slovak priest, journalist, and politician (b. 1864) 1938 – Robert Johnson, American singer-songwriter and guitarist (b. 1911) 1945 – Takijirō Ōnishi, Japanese admiral (b. 1891) 1948 – Babe Ruth, American baseball player and coach (b. 1895) 1949 – Margaret Mitchell, American journalist and author (b. 1900) 1952 – Lydia Field Emmet, American painter and academic (b. 1866) 1956 – Bela Lugosi, Hungarian-American actor (b. 1882) 1957 – Irving Langmuir, American chemist and physicist, Nobel Prize laureate (b. 1881) 1958 – Jacob M. Lomakin, Soviet Consul General in New York City, journalist and economist (b. 1904) 1959 – William Halsey, Jr., American admiral (b. 1882) 1959 – Wanda Landowska, Polish-French harpsichord player (b. 1879) 1961 – Abdul Haq, Pakistani linguist and scholar (b. 1870) 1963 – Joan Eardley, British artist (b. 1921) 1971 – Spyros Skouras, Greek-American businessman (b. 1893) 1972 – Pierre Brasseur, French actor and screenwriter (b. 1905) 1973 – Selman Waksman, Ukrainian-American biochemist and microbiologist, Nobel Prize laureate (b. 1888) 1977 – Elvis Presley, American singer, guitarist, and actor (b. 1935) 1978 – Alidius Tjarda van Starkenborgh Stachouwer, Dutch soldier and politician, Governor-General of the Dutch East Indies (b. 1888) 1979 – John Diefenbaker, Canadian lawyer and politician, 13th Prime Minister of Canada (b. 1895) 1983 – Earl Averill, American baseball player (b. 1902) 1984 – Duško Radović, Serbian children's writer, poet, journalist, aphorist and TV editor (b. 1922) 1986 – Ronnie Aird, English cricketer and administrator (b. 1902) 1986 – Jaime Sáenz, Bolivian author and poet (b. 1921) 1989 – Amanda Blake, American actress (b. 1929) 1990 – Pat O'Connor, New Zealand wrestler and trainer (b. 1925) 1991 – Luigi Zampa, Italian director and screenwriter (b. 1905) 1992 – Mark Heard, American singer-songwriter, guitarist, and producer (b. 1951) 1993 – Stewart Granger, English-American actor (b. 1913) 1997 – Nusrat Fateh Ali Khan, Pakistani musician and Qawwali singer (b. 1948) 1997 – Sultan Ahmad Nanupuri, Bangladeshi Islamic scholar and teacher (b. 1914) 1998 – Phil Leeds, American actor (b. 1916) 1998 – Dorothy West, American journalist and author (b. 1907) 2002 – Abu Nidal, Palestinian terrorist leader (b. 1937) 2002 – Jeff Corey, American actor (b. 1914) 2002 – John Roseboro, American baseball player and coach (b. 1933) 2003 – Idi Amin, Ugandan field marshal and politician, 3rd President of Uganda (b. 1928) 2004 – Ivan Hlinka, Czech ice hockey player and coach (b. 1950) 2004 – Balanadarajah Iyer, Sri Lankan journalist and poet (b. 1957) 2004 – Carl Mydans, American photographer and journalist (b. 1907) 2004 – Robert Quiroga, American boxer (b. 1969) 2005 – Vassar Clements, American fiddler (b. 1928) 2005 – Tonino Delli Colli, Italian cinematographer (b. 1922) 2005 – William Corlett, English novelist and playwright (b. 1938) 2005 – Frère Roger, Swiss monk and mystic (b. 1915) 2006 – Alfredo Stroessner, Paraguayan general and dictator; 46th President of Paraguay (b. 1912) 2007 – Bahaedin Adab, Iranian engineer and politician (b. 1945) 2008 – Dorival Caymmi, Brazilian singer-songwriter and actor (b. 1914) 2008 – Ronnie Drew, Irish musician, folk singer and actor (b. 1934) 2008 – Masanobu Fukuoka, Japanese farmer and author (b. 1913) 2010 – Dimitrios Ioannidis, Greek general (b. 1923) 2011 – Mihri Belli, Turkish activist and politician (b. 1916) 2012 – Princess Lalla Amina of Morocco (b. 1954) 2012 – Martine Franck, Belgian photographer and director (b. 1938) 2012 – Abune Paulos, Ethiopian patriarch (b. 1935) 2012 – William Windom, American actor (b. 1923) 2013 – David Rees, Welsh mathematician and academic (b. 1918) 2014 – Patrick Aziza, Nigerian general and politician, Governor of Kebbi State (b. 1947) 2014 – Vsevolod Nestayko, Ukrainian author (b. 1930) 2014 – Mario Oriani-Ambrosini, Italian-South African lawyer and politician (b. 1960) 2014 – Peter Scholl-Latour, German journalist, author, and academic (b. 1924) 2015 – Jacob Bekenstein, Mexican-American physicist, astronomer, and academic (b. 1947) 2015 – Anna Kashfi, British actress (b. 1934) 2015 – Shuja Khanzada, Pakistani colonel and politician (b. 1943) 2015 – Mile Mrkšić, Serb general (b. 1947) 2016 – João Havelange, Brazilian water polo player, lawyer, and businessman (b. 1916) 2016 – John McLaughlin, American television personality (b. 1927) 2018 – Aretha Franklin, American singer-songwriter (b. 1942) 2018 – Atal Bihari Vajpayee, Indian prime minister (b. 1924) 2018 – Wakako Yamauchi, American-Japanese writer (b. 1924) 2019 – Peter Fonda, American actor, director, and screenwriter. (b. 1940) 2019 – Richard Williams, Canadian-British animator (b. 1933) 2021 – Sean Lock, English comedian and actor (b. 1963) 2023 – Howard S. Becker, American sociologist (b. 1928) Holidays and observances Bennington Battle Day (Vermont, United States) Children's Day (Paraguay) Christian feast day: Ana Petra Pérez Florido Armel (Armagillus) Diomedes of Tarsus Roch Stephen I of Hungary Translation of the Acheiropoietos icon from Edessa to Constantinople. (Eastern Orthodox Church) August 16 (Eastern Orthodox liturgics) Gozan no Okuribi (Kyoto, Japan) National Airborne Day (United States) Restoration Day (Dominican Republic) The first day of the Independence Days, celebrates the independence of Gabon from France in 1960. Xicolatada (Palau-de-Cerdagne, France) References External links Days of the year August
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https://en.wikipedia.org/wiki/APL%20%28programming%20language%29
APL (programming language)
APL (named after the book A Programming Language) is a programming language developed in the 1960s by Kenneth E. Iverson. Its central datatype is the multidimensional array. It uses a large range of special graphic symbols to represent most functions and operators, leading to very concise code. It has been an important influence on the development of concept modeling, spreadsheets, functional programming, and computer math packages. It has also inspired several other programming languages. History Mathematical notation A mathematical notation for manipulating arrays was developed by Kenneth E. Iverson, starting in 1957 at Harvard University. In 1960, he began work for IBM where he developed this notation with Adin Falkoff and published it in his book A Programming Language in 1962. The preface states its premise: This notation was used inside IBM for short research reports on computer systems, such as the Burroughs B5000 and its stack mechanism when stack machines versus register machines were being evaluated by IBM for upcoming computers. Iverson also used his notation in a draft of the chapter A Programming Language, written for a book he was writing with Fred Brooks, Automatic Data Processing, which would be published in 1963. In 1979, Iverson received the Turing Award for his work on APL. Development into a computer programming language As early as 1962, the first attempt to use the notation to describe a complete computer system happened after Falkoff discussed with William C. Carter his work to standardize the instruction set for the machines that later became the IBM System/360 family. In 1963, Herbert Hellerman, working at the IBM Systems Research Institute, implemented a part of the notation on an IBM 1620 computer, and it was used by students in a special high school course on calculating transcendental functions by series summation. Students tested their code in Hellerman's lab. This implementation of a part of the notation was called Personalized Array Translator (PAT). In 1963, Falkoff, Iverson, and Edward H. Sussenguth Jr., all working at IBM, used the notation for a formal description of the IBM System/360 series machine architecture and functionality, which resulted in a paper published in IBM Systems Journal in 1964. After this was published, the team turned their attention to an implementation of the notation on a computer system. One of the motivations for this focus of implementation was the interest of John L. Lawrence who had new duties with Science Research Associates, an educational company bought by IBM in 1964. Lawrence asked Iverson and his group to help use the language as a tool to develop and use computers in education. After Lawrence M. Breed and Philip S. Abrams of Stanford University joined the team at IBM Research, they continued their prior work on an implementation programmed in FORTRAN IV for a part of the notation which had been done for the IBM 7090 computer running on the IBSYS operating system. This work was finished in late 1965 and later named IVSYS (for Iverson system). The basis of this implementation was described in detail by Abrams in a Stanford University Technical Report, "An Interpreter for Iverson Notation" in 1966. The academic aspect of this was formally supervised by Niklaus Wirth. Like Hellerman's PAT system earlier, this implementation did not include the APL character set but used special English reserved words for functions and operators. The system was later adapted for a time-sharing system and, by November 1966, it had been reprogrammed for the IBM System/360 Model 50 computer running in a time-sharing mode and was used internally at IBM. Hardware A key development in the ability to use APL effectively, before the wide use of cathode ray tube (CRT) terminals, was the development of a special IBM Selectric typewriter interchangeable typing element with all the special APL characters on it. This was used on paper printing terminal workstations using the Selectric typewriter and typing element mechanism, such as the IBM 1050 and IBM 2741 terminal. Keycaps could be placed over the normal keys to show which APL characters would be entered and typed when that key was struck. For the first time, a programmer could type in and see proper APL characters as used in Iverson's notation and not be forced to use awkward English keyword representations of them. Falkoff and Iverson had the special APL Selectric typing elements, 987 and 988, designed in late 1964, although no APL computer system was available to use them. Iverson cited Falkoff as the inspiration for the idea of using an IBM Selectric typing element for the APL character set. Many APL symbols, even with the APL characters on the Selectric typing element, still had to be typed in by over-striking two extant element characters. An example is the grade up character, which had to be made from a delta (shift-H) and a Sheffer stroke (shift-M). This was necessary because the APL character set was much larger than the 88 characters allowed on the typing element, even when letters were restricted to upper-case (capitals). Commercial availability The first APL interactive login and creation of an APL workspace was in 1966 by Larry Breed using an IBM 1050 terminal at the IBM Mohansic Labs near Thomas J. Watson Research Center, the home of APL, in Yorktown Heights, New York. IBM was chiefly responsible for introducing APL to the marketplace. The first publicly available version of APL was released in 1968 for the IBM 1130. IBM provided APL\1130 for free but without liability or support. It would run in as little as 8k 16-bit words of memory, and used a dedicated 1 megabyte hard disk. APL gained its foothold on mainframe timesharing systems from the late 1960s through the early 1980s, in part because it would support multiple users on lower-specification systems that had no dynamic address translation hardware. Additional improvements in performance for selected IBM System/370 mainframe systems included the APL Assist Microcode in which some support for APL execution was included in the processor's firmware, as distinct from being implemented entirely by higher-level software. Somewhat later, as suitably performing hardware was finally growing available in the mid- to late-1980s, many users migrated their applications to the personal computer environment. Early IBM APL interpreters for IBM 360 and IBM 370 hardware implemented their own multi-user management instead of relying on the host services, thus they were their own timesharing systems. First introduced for use at IBM in 1966, the APL\360 system was a multi-user interpreter. The ability to programmatically communicate with the operating system for information and setting interpreter system variables was done through special privileged "I-beam" functions, using both monadic and dyadic operations. In 1973, IBM released APL.SV, which was a continuation of the same product, but which offered shared variables as a means to access facilities outside of the APL system, such as operating system files. In the mid-1970s, the IBM mainframe interpreter was even adapted for use on the IBM 5100 desktop computer, which had a small CRT and an APL keyboard, when most other small computers of the time only offered BASIC. In the 1980s, the VSAPL program product enjoyed wide use with Conversational Monitor System (CMS), Time Sharing Option (TSO), VSPC, MUSIC/SP, and CICS users. In 1973–1974, Patrick E. Hagerty directed the implementation of the University of Maryland APL interpreter for the 1100 line of the Sperry UNIVAC 1100/2200 series mainframe computers. In 1974, student Alan Stebbens was assigned the task of implementing an internal function. Xerox APL was available from June 1975 for Xerox 560 and Sigma 6, 7, and 9 mainframes running CP-V and for Honeywell CP-6. In the 1960s and 1970s, several timesharing firms arose that sold APL services using modified versions of the IBM APL\360 interpreter. In North America, the better-known ones were IP Sharp Associates, Scientific Time Sharing Corporation (STSC), Time Sharing Resources (TSR), and The Computer Company (TCC). CompuServe also entered the market in 1978 with an APL Interpreter based on a modified version of Digital Equipment Corp and Carnegie Mellon's, which ran on DEC's KI and KL 36-bit machines. CompuServe's APL was available both to its commercial market and the consumer information service. With the advent first of less expensive mainframes such as the IBM 4300, and later the personal computer, by the mid-1980s, the timesharing industry was all but gone. Sharp APL was available from IP Sharp Associates, first as a timesharing service in the 1960s, and later as a program product starting around 1979. Sharp APL was an advanced APL implementation with many language extensions, such as packages (the ability to put one or more objects into a single variable), a file system, nested arrays, and shared variables. APL interpreters were available from other mainframe and mini-computer manufacturers also, notably Burroughs, Control Data Corporation (CDC), Data General, Digital Equipment Corporation (DEC), Harris, Hewlett-Packard (HP), Siemens, Xerox and others. Garth Foster of Syracuse University sponsored regular meetings of the APL implementers' community at Syracuse's Minnowbrook Conference Center in Blue Mountain Lake, New York. In later years, Eugene McDonnell organized similar meetings at the Asilomar Conference Grounds near Monterey, California, and at Pajaro Dunes near Watsonville, California. The SIGAPL special interest group of the Association for Computing Machinery continues to support the APL community. Microcomputers On microcomputers, which became available from the mid-1970s onwards, BASIC became the dominant programming language. Nevertheless, some microcomputers provided APL instead – the first being the Intel 8008-based MCM/70 which was released in 1974 and which was primarily used in education. Another machine of this time was the VideoBrain Family Computer, released in 1977, which was supplied with its dialect of APL called APL/S. The Commodore SuperPET, introduced in 1981, included an APL interpreter developed by the University of Waterloo. In 1976, Bill Gates claimed in his Open Letter to Hobbyists that Microsoft Corporation was implementing APL for the Intel 8080 and Motorola 6800 but had "very little incentive to make [it] available to hobbyists" because of software piracy. It was never released. APL2 Starting in the early 1980s, IBM APL development, under the leadership of Jim Brown, implemented a new version of the APL language that contained as its primary enhancement the concept of nested arrays, where an array can contain other arrays, and new language features which facilitated integrating nested arrays into program workflow. Ken Iverson, no longer in control of the development of the APL language, left IBM and joined I. P. Sharp Associates, where one of his major contributions was directing the evolution of Sharp APL to be more in accord with his vision. APL2 was first released for CMS and TSO in 1984. The APL2 Workstation edition (Windows, OS/2, AIX, Linux, and Solaris) followed later. As other vendors were busy developing APL interpreters for new hardware, notably Unix-based microcomputers, APL2 was almost always the standard chosen for new APL interpreter developments. Even today, most APL vendors or their users cite APL2 compatibility as a selling point for those products. IBM cites its use for problem solving, system design, prototyping, engineering and scientific computations, expert systems, for teaching mathematics and other subjects, visualization and database access. Modern implementations Various implementations of APL by APLX, Dyalog, et al., include extensions for object-oriented programming, support for .NET, XML-array conversion primitives, graphing, operating system interfaces, and lambda calculus expressions. Freeware versions include GNU APL for Linux and NARS2000 for Windows (which runs on Linux under Wine). Both of these are fairly complete versions of APL2 with various language extensions. Derivative languages APL has formed the basis of, or influenced, the following languages: A and A+, an alternative APL, the latter with graphical extensions. FP, a functional programming language. Ivy, an interpreter for an APL-like language developed by Rob Pike, and which uses ASCII as input. J, which was also designed by Iverson, and which uses ASCII with digraphs instead of special symbols. K, a proprietary variant of APL developed by Arthur Whitney. MATLAB, a numerical computation tool. Nial, a high-level array programming language with a functional programming notation. Polymorphic Programming Language, an interactive, extensible language with a similar base language. S, a statistical programming language (usually now seen in the open-source version known as R). Snap!, a low-code block-based programming language, born as an extended reimplementation of Scratch Speakeasy, a numerical computing interactive environment. Wolfram Language, the programming language of Mathematica. Language characteristics Character set APL has been criticized and praised for its choice of a unique, non-standard character set. In the 1960s and 1970s, few terminal devices or even displays could reproduce the APL character set. The most popular ones employed the IBM Selectric print mechanism used with a special APL type element. One of the early APL line terminals (line-mode operation only, not full screen) was the Texas Instruments TI Model 745 () with the full APL character set which featured half and full duplex telecommunications modes, for interacting with an APL time-sharing service or remote mainframe to run a remote computer job, called an RJE. Over time, with the universal use of high-quality graphic displays, printing devices and Unicode support, the APL character font problem has largely been eliminated. However, entering APL characters requires the use of input method editors, keyboard mappings, virtual/on-screen APL symbol sets, or easy-reference printed keyboard cards which can frustrate beginners accustomed to other programming languages. With beginners who have no prior experience with other programming languages, a study involving high school students found that typing and using APL characters did not hinder the students in any measurable way. In defense of APL, it requires fewer characters to type, and keyboard mappings become memorized over time. Special APL keyboards are also made and in use today, as are freely downloadable fonts for operating systems such as Microsoft Windows. The reported productivity gains assume that one spends enough time working in the language to make it worthwhile to memorize the symbols, their semantics, and keyboard mappings, not to mention a substantial number of idioms for common tasks. Design Unlike traditionally structured programming languages, APL code is typically structured as chains of monadic or dyadic functions, and operators acting on arrays. APL has many nonstandard primitives (functions and operators) that are indicated by a single symbol or a combination of a few symbols. All primitives are defined to have the same precedence, and always associate to the right. Thus, APL is read or best understood from right-to-left. Early APL implementations ( or so) had no programming loop-flow control structures, such as do or while loops, and if-then-else constructs. Instead, they used array operations, and use of structured programming constructs was often not necessary, since an operation could be performed on a full array in one statement. For example, the iota function (ι) can replace for-loop iteration: ιN when applied to a scalar positive integer yields a one-dimensional array (vector), 1 2 3 ... N. More recent implementations of APL generally include comprehensive control structures, so that data structure and program control flow can be clearly and cleanly separated. The APL environment is called a workspace. In a workspace the user can define programs and data, i.e., the data values exist also outside the programs, and the user can also manipulate the data without having to define a program. In the examples below, the APL interpreter first types six spaces before awaiting the user's input. Its own output starts in column one. The user can save the workspace with all values, programs, and execution status. APL uses a set of non-ASCII symbols, which are an extension of traditional arithmetic and algebraic notation. Having single character names for single instruction, multiple data (SIMD) vector functions is one way that APL enables compact formulation of algorithms for data transformation such as computing Conway's Game of Life in one line of code. In nearly all versions of APL, it is theoretically possible to express any computable function in one expression, that is, in one line of code. Because of the unusual character set, many programmers use special keyboards with APL keytops to write APL code. Although there are various ways to write APL code using only ASCII characters, in practice it is almost never done. (This may be thought to support Iverson's thesis about notation as a tool of thought.) Most if not all modern implementations use standard keyboard layouts, with special mappings or input method editors to access non-ASCII characters. Historically, the APL font has been distinctive, with uppercase italic alphabetic characters and upright numerals and symbols. Most vendors continue to display the APL character set in a custom font. Advocates of APL claim that the examples of so-called write-only code (badly written and almost incomprehensible code) are almost invariably examples of poor programming practice or novice mistakes, which can occur in any language. Advocates also claim that they are far more productive with APL than with more conventional computer languages, and that working software can be implemented in far less time and with far fewer programmers than using other technology. They also may claim that because it is compact and terse, APL lends itself well to larger-scale software development and complexity, because the number of lines of code can be reduced greatly. Many APL advocates and practitioners also view standard programming languages such as COBOL and Java as being comparatively tedious. APL is often found where time-to-market is important, such as with trading systems. Terminology APL makes a clear distinction between functions and operators. Functions take arrays (variables or constants or expressions) as arguments, and return arrays as results. Operators (similar to higher-order functions) take functions or arrays as arguments, and derive related functions. For example, the sum function is derived by applying the reduction operator to the addition function. Applying the same reduction operator to the maximum function (which returns the larger of two numbers) derives a function which returns the largest of a group (vector) of numbers. In the J language, Iverson substituted the terms verb for function and adverb or conjunction for operator. APL also identifies those features built into the language, and represented by a symbol, or a fixed combination of symbols, as primitives. Most primitives are either functions or operators. Coding APL is largely a process of writing non-primitive functions and (in some versions of APL) operators. However a few primitives are considered to be neither functions nor operators, most noticeably assignment. Some words used in APL literature have meanings that differ from those in both mathematics and the generality of computer science. Syntax APL has explicit representations of functions, operators, and syntax, thus providing a basis for the clear and explicit statement of extended facilities in the language, and tools to experiment on them. Examples Hello, world This displays "Hello, world": 'Hello, world'A design theme in APL is to define default actions in some cases that would produce syntax errors in most other programming languages. The 'Hello, world' string constant above displays, because display is the default action on any expression for which no action is specified explicitly (e.g. assignment, function parameter). Exponentiation Another example of this theme is that exponentiation in APL is written as , which indicates raising 2 to the power 3 (this would be written as or in some languages, or relegated to a function call such as in others). Many languages use to signify multiplication, as in , but APL chooses to use . However, if no base is specified (as with the statement in APL, or in other languages), most programming languages one would see this as a syntax error. APL, however, assumes the missing base to be the natural logarithm constant e, and interprets as . Simple statistics Suppose that is an array of numbers. Then gives its average. Reading right-to-left, gives the number of elements in X, and since is a dyadic operator, the term to its left is required as well. It is surrounded by parentheses since otherwise X would be taken (so that the summation would be of —each element of X divided by the number of elements in X), and gives the sum of the elements of X. Building on this, the following expression computes standard deviation: Naturally, one would define this expression as a function for repeated use rather than rewriting it each time. Further, since assignment is an operator, it can appear within an expression, so the following would place suitable values into T, AV and SD: Pick 6 lottery numbers This following immediate-mode expression generates a typical set of Pick 6 lottery numbers: six pseudo-random integers ranging from 1 to 40, guaranteed non-repeating, and displays them sorted in ascending order: x[⍋x←6?40] The above does a lot, concisely, although it may seem complex to a new APLer. It combines the following APL functions (also called primitives and glyphs): The first to be executed (APL executes from rightmost to leftmost) is dyadic function ? (named deal when dyadic) that returns a vector consisting of a select number (left argument: 6 in this case) of random integers ranging from 1 to a specified maximum (right argument: 40 in this case), which, if said maximum ≥ vector length, is guaranteed to be non-repeating; thus, generate/create 6 random integers ranging from 1 to 40. This vector is then assigned (←) to the variable x, because it is needed later. This vector is then sorted in ascending order by a monadic ⍋ function, which has as its right argument everything to the right of it up to the next unbalanced close-bracket or close-parenthesis. The result of ⍋ is the indices that will put its argument into ascending order. Then the output of ⍋ is used to index the variable x, which we saved earlier for this purpose, thereby selecting its items in ascending sequence. Since there is no function to the left of the left-most x to tell APL what to do with the result, it simply outputs it to the display (on a single line, separated by spaces) without needing any explicit instruction to do that. ? also has a monadic equivalent called roll, which simply returns one random integer between 1 and its sole operand [to the right of it], inclusive. Thus, a role-playing game program might use the expression ?20 to roll a twenty-sided die. Prime numbers The following expression finds all prime numbers from 1 to R. In both time and space, the calculation complexity is (in Big O notation). (~R∊R∘.×R)/R←1↓⍳R Executed from right to left, this means: Iota ⍳ creates a vector containing integers from 1 to R (if R= 6 at the start of the program, ⍳R is 1 2 3 4 5 6) Drop first element of this vector (↓ function), i.e., 1. So 1↓⍳R is 2 3 4 5 6 Set R to the new vector (←, assignment primitive), i.e., 2 3 4 5 6 The / replicate operator is dyadic (binary) and the interpreter first evaluates its left argument (fully in parentheses): Generate outer product of R multiplied by R, i.e., a matrix that is the multiplication table of R by R (°.× operator), i.e., Build a vector the same length as R with 1 in each place where the corresponding number in R is in the outer product matrix (∈, set inclusion or element of or Epsilon operator), i.e., 0 0 1 0 1 Logically negate (not) values in the vector (change zeros to ones and ones to zeros) (∼, logical not or Tilde operator), i.e., 1 1 0 1 0 Select the items in R for which the corresponding element is 1 (/ replicate operator), i.e., 2 3 5 (Note, this assumes the APL origin is 1, i.e., indices start with 1. APL can be set to use 0 as the origin, so that ι6 is 0 1 2 3 4 5, which is convenient for some calculations.) Sorting The following expression sorts a word list stored in matrix X according to word length: X[⍋X+.≠' ';] Game of Life The following function "life", written in Dyalog APL, takes a boolean matrix and calculates the new generation according to Conway's Game of Life. It demonstrates the power of APL to implement a complex algorithm in very little code, but understanding it requires some advanced knowledge of APL (as the same program would in many languages). life ← {⊃1 ⍵ ∨.∧ 3 4 = +/ +⌿ ¯1 0 1 ∘.⊖ ¯1 0 1 ⌽¨ ⊂⍵} HTML tags removal In the following example, also Dyalog, the first line assigns some HTML code to a variable txt and then uses an APL expression to remove all the HTML tags (explanation): txt←'<html><body><p>This is <em>emphasized</em> text.</p></body></html>' {⍵ /⍨ ~{⍵∨≠\⍵}⍵∊'<>'} txt This is emphasized text. Naming APL derives its name from the initials of Iverson's book A Programming Language, even though the book describes Iverson's mathematical notation, rather than the implemented programming language described in this article. The name is used only for actual implementations, starting with APL\360. Adin Falkoff coined the name in 1966 during the implementation of APL\360 at IBM: APL is occasionally re-interpreted as Array Programming Language or Array Processing Language, thereby making APL into a backronym. Logo There has always been cooperation between APL vendors, and joint conferences were held on a regular basis from 1969 until 2010. At such conferences, APL merchandise was often handed out, featuring APL motifs or collection of vendor logos. Common were apples (as a pun on the similarity in pronunciation of apple and APL) and the code snippet which are the symbols produced by the classic APL keyboard layout when holding the APL modifier key and typing "APL". Despite all these community efforts, no universal vendor-agnostic logo for the programming language emerged. As popular programming languages increasingly have established recognisable logos, Fortran getting one in 2020, British APL Association launched a campaign in the second half of 2021, to establish such a logo for APL, and after a community election and multiple rounds of feedback, a logo was chosen in May 2022. Use APL is used for many purposes including financial and insurance applications, artificial intelligence, neural networks and robotics. It has been argued that APL is a calculation tool and not a programming language; its symbolic nature and array capabilities have made it popular with domain experts and data scientists who do not have or require the skills of a computer programmer. APL is well suited to image manipulation and computer animation, where graphic transformations can be encoded as matrix multiplications. One of the first commercial computer graphics houses, Digital Effects, produced an APL graphics product named Visions, which was used to create television commercials and animation for the 1982 film Tron. Latterly, the Stormwind boating simulator uses APL to implement its core logic, its interfacing to the rendering pipeline middleware and a major part of its physics engine. Today, APL remains in use in a wide range of commercial and scientific applications, for example investment management, asset management, health care, and DNA profiling, and by hobbyists. Notable implementations APL\360 The first implementation of APL using recognizable APL symbols was APL\360 which ran on the IBM System/360, and was completed in November 1966 though at that time remained in use only within IBM. In 1973 its implementors, Larry Breed, Dick Lathwell and Roger Moore, were awarded the Grace Murray Hopper Award from the Association for Computing Machinery (ACM). It was given "for their work in the design and implementation of APL\360, setting new standards in simplicity, efficiency, reliability and response time for interactive systems." In 1975, the IBM 5100 microcomputer offered APL\360 as one of two built-in ROM-based interpreted languages for the computer, complete with a keyboard and display that supported all the special symbols used in the language. Significant developments to APL\360 included CMS/APL, which made use of the virtual storage capabilities of CMS and APLSV, which introduced shared variables, system variables and system functions. It was subsequently ported to the IBM System/370 and VSPC platforms until its final release in 1983, after which it was replaced by APL2. APL\1130 In 1968, APL\1130 became the first publicly available APL system, created by IBM for the IBM 1130. It became the most popular IBM Type-III Library software that IBM released. APL*Plus and Sharp APL APL*Plus and Sharp APL are versions of APL\360 with added business-oriented extensions such as data formatting and facilities to store APL arrays in external files. They were jointly developed by two companies, employing various members of the original IBM APL\360 development team. The two companies were I. P. Sharp Associates (IPSA), an APL\360 services company formed in 1964 by Ian Sharp, Roger Moore and others, and STSC, a time-sharing and consulting service company formed in 1969 by Lawrence Breed and others. Together the two developed APL*Plus and thereafter continued to work together but develop APL separately as APL*Plus and Sharp APL. STSC ported APL*Plus to many platforms with versions being made for the VAX 11, PC and UNIX, whereas IPSA took a different approach to the arrival of the personal computer and made Sharp APL available on this platform using additional PC-XT/360 hardware. In 1993, Soliton Incorporated was formed to support Sharp APL and it developed Sharp APL into SAX (Sharp APL for Unix). , APL*Plus continues as APL2000 APL+Win. In 1985, Ian Sharp, and Dan Dyer of STSC, jointly received the Kenneth E. Iverson Award for Outstanding Contribution to APL. APL2 APL2 was a significant re-implementation of APL by IBM which was developed from 1971 and first released in 1984. It provides many additions to the language, of which the most notable is nested (non-rectangular) array support. The entire APL2 Products and Services Team was awarded the Iverson Award in 2007. In 2021, IBM sold APL2 to Log-On Software, who develop and sell the product as Log-On APL2. APLGOL In 1972, APLGOL was released as an experimental version of APL that added structured programming language constructs to the language framework. New statements were added for interstatement control, conditional statement execution, and statement structuring, as well as statements to clarify the intent of the algorithm. It was implemented for Hewlett-Packard in 1977. Dyalog APL Dyalog APL was first released by British company Dyalog Ltd. in 1983 and, , is available for AIX, Linux (including on the Raspberry Pi), macOS and Microsoft Windows platforms. It is based on APL2, with extensions to support object-oriented programming, functional programming, and tacit programming. Licences are free for personal/non-commercial use. In 1995, two of the development team – John Scholes and Peter Donnelly – were awarded the Iverson Award for their work on the interpreter. Gitte Christensen and Morten Kromberg were joint recipients of the Iverson Award in 2016. NARS2000 NARS2000 is an open-source APL interpreter written by Bob Smith, a prominent APL developer and implementor from STSC in the 1970s and 1980s. NARS2000 contains advanced features and new datatypes and runs natively on Microsoft Windows, and other platforms under Wine. It is named after a development tool from the 1980s, NARS (Nested Arrays Research System). APLX APLX is a cross-platform dialect of APL, based on APL2 and with several extensions, which was first released by British company MicroAPL in 2002. Although no longer in development or on commercial sale it is now available free of charge from Dyalog. York APL York APL was developed at the York University, Ontario around 1968, running on IBM 360 mainframes. One notable difference between it and APL\360 was that it defined the "shape" (ρ) of a scalar as 1 whereas APL\360 defined it as the more mathematically correct 0 — this made it easier to write functions that acted the same with scalars and vectors. GNU APL GNU APL is a free implementation of Extended APL as specified in ISO/IEC 13751:2001 and is thus an implementation of APL2. It runs on Linux, macOS, several BSD dialects, and on Windows (either using Cygwin for full support of all its system functions or as a native 64-bit Windows binary with some of its system functions missing). GNU APL uses Unicode internally and can be scripted. It was written by Jürgen Sauermann. Richard Stallman, founder of the GNU Project, was an early adopter of APL, using it to write a text editor as a high school student in the summer of 1969. Interpretation and compilation of APL APL is traditionally an interpreted language, having language characteristics such as weak variable typing not well suited to compilation. However, with arrays as its core data structure it provides opportunities for performance gains through parallelism, parallel computing, massively parallel applications, and very-large-scale integration (VLSI), and from the outset APL has been regarded as a high-performance language – for example, it was noted for the speed with which it could perform complicated matrix operations "because it operates on arrays and performs operations like matrix inversion internally". Nevertheless, APL is rarely purely interpreted and compilation or partial compilation techniques that are, or have been, used include the following: Idiom recognition Most APL interpreters support idiom recognition and evaluate common idioms as single operations. For example, by evaluating the idiom BV/⍳⍴A as a single operation (where BV is a Boolean vector and A is an array), the creation of two intermediate arrays is avoided. Optimised bytecode Weak typing in APL means that a name may reference an array (of any datatype), a function or an operator. In general, the interpreter cannot know in advance which form it will be and must therefore perform analysis, syntax checking etc. at run-time. However, in certain circumstances, it is possible to deduce in advance what type a name is expected to reference and then generate bytecode which can be executed with reduced run-time overhead. This bytecode can also be optimised using compilation techniques such as constant folding or common subexpression elimination. The interpreter will execute the bytecode when present and when any assumptions which have been made are met. Dyalog APL includes support for optimised bytecode. Compilation Compilation of APL has been the subject of research and experiment since the language first became available; the first compiler is considered to be the Burroughs APL-700 which was released around 1971. In order to be able to compile APL, language limitations have to be imposed. APEX is a research APL compiler which was written by Robert Bernecky and is available under the GNU Public License. The STSC APL Compiler is a hybrid of a bytecode optimiser and a compiler – it enables compilation of functions to machine code provided that its sub-functions and globals are declared, but the interpreter is still used as a runtime library and to execute functions which do not meet the compilation requirements. Standards APL has been standardized by the American National Standards Institute (ANSI) working group X3J10 and International Organization for Standardization (ISO) and International Electrotechnical Commission (IEC), ISO/IEC Joint Technical Committee 1 Subcommittee 22 Working Group 3. The Core APL language is specified in ISO 8485:1989, and the Extended APL language is specified in ISO/IEC 13751:2001. References Further reading An APL Machine (1970 Stanford doctoral dissertation by Philip Abrams) A Personal History Of APL (1982 article by Michael S. Montalbano) A Programming Language by Kenneth E. Iverson APL in Exposition by Kenneth E. Iverson Brooks, Frederick P.; Kenneth Iverson (1965). Automatic Data Processing, System/360 Edition. . Video – a 1974 talk show style interview with the original developers of APL. – a 1975 live demonstration of APL by Professor Bob Spence, Imperial College London. – a 2009 tutorial by John Scholes of Dyalog Ltd. which implements Conway's Game of Life in a single line of APL. – a 2009 introduction to APL by Graeme Robertson. External links Online resources TryAPL.org, an online APL primer APL2C, a source of links to APL compilers .NET programming languages APL programming language family Array programming languages Command shells Dynamic programming languages Dynamically typed programming languages Functional languages IBM software Programming languages created in 1964 Programming languages with an ISO standard Programming languages Homoiconic programming languages
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https://en.wikipedia.org/wiki/AWK
AWK
AWK (awk ) is a domain-specific language designed for text processing and typically used as a data extraction and reporting tool. Like sed and grep, it is a filter, and is a standard feature of most Unix-like operating systems. The AWK language is a data-driven scripting language consisting of a set of actions to be taken against streams of textual data – either run directly on files or used as part of a pipeline – for purposes of extracting or transforming text, such as producing formatted reports. The language extensively uses the string datatype, associative arrays (that is, arrays indexed by key strings), and regular expressions. While AWK has a limited intended application domain and was especially designed to support one-liner programs, the language is Turing-complete, and even the early Bell Labs users of AWK often wrote well-structured large AWK programs. AWK was created at Bell Labs in the 1970s, and its name is derived from the surnames of its authors: Alfred Aho, Peter Weinberger, and Brian Kernighan. The acronym is pronounced the same as the name of the bird species auk, which is illustrated on the cover of The AWK Programming Language. When written in all lowercase letters, as awk, it refers to the Unix or Plan 9 program that runs scripts written in the AWK programming language. History AWK was initially developed in 1977 by Alfred Aho (author of egrep), Peter J. Weinberger (who worked on tiny relational databases), and Brian Kernighan. AWK takes its name from their respective initials. According to Kernighan, one of the goals of AWK was to have a tool that would easily manipulate both numbers and strings. AWK was also inspired by Marc Rochkind's programming language that was used to search for patterns in input data, and was implemented using yacc. As one of the early tools to appear in Version 7 Unix, AWK added computational features to a Unix pipeline besides the Bourne shell, the only scripting language available in a standard Unix environment. It is one of the mandatory utilities of the Single UNIX Specification, and is required by the Linux Standard Base specification. AWK was significantly revised and expanded in 1985–88, resulting in the GNU AWK implementation written by Paul Rubin, Jay Fenlason, and Richard Stallman, released in 1988. GNU AWK may be the most widely deployed version because it is included with GNU-based Linux packages. GNU AWK has been maintained solely by Arnold Robbins since 1994. Brian Kernighan's nawk (New AWK) source was first released in 1993 unpublicized, and publicly since the late 1990s; many BSD systems use it to avoid the GPL license. AWK was preceded by sed (1974). Both were designed for text processing. They share the line-oriented, data-driven paradigm, and are particularly suited to writing one-liner programs, due to the implicit main loop and current line variables. The power and terseness of early AWK programs – notably the powerful regular expression handling and conciseness due to implicit variables, which facilitate one-liners – together with the limitations of AWK at the time, were important inspirations for the Perl language (1987). In the 1990s, Perl became very popular, competing with AWK in the niche of Unix text-processing languages. Structure of AWK programs An AWK program is a series of pattern action pairs, written as: condition { action } condition { action } ... where condition is typically an expression and action is a series of commands. The input is split into records, where by default records are separated by newline characters so that the input is split into lines. The program tests each record against each of the conditions in turn, and executes the action for each expression that is true. Either the condition or the action may be omitted. The condition defaults to matching every record. The default action is to print the record. This is the same pattern-action structure as sed. In addition to a simple AWK expression, such as foo == 1 or /^foo/, the condition can be BEGIN or END causing the action to be executed before or after all records have been read, or pattern1, pattern2 which matches the range of records starting with a record that matches pattern1 up to and including the record that matches pattern2 before again trying to match against pattern1 on subsequent lines. In addition to normal arithmetic and logical operators, AWK expressions include the tilde operator, ~, which matches a regular expression against a string. As handy syntactic sugar, /regexp/ without using the tilde operator matches against the current record; this syntax derives from sed, which in turn inherited it from the ed editor, where / is used for searching. This syntax of using slashes as delimiters for regular expressions was subsequently adopted by Perl and ECMAScript, and is now common. The tilde operator was also adopted by Perl. Commands AWK commands are the statements that are substituted for action in the examples above. AWK commands can include function calls, variable assignments, calculations, or any combination thereof. AWK contains built-in support for many functions; many more are provided by the various flavors of AWK. Also, some flavors support the inclusion of dynamically linked libraries, which can also provide more functions. The print command The print command is used to output text. The output text is always terminated with a predefined string called the output record separator (ORS) whose default value is a newline. The simplest form of this command is: print This displays the contents of the current record. In AWK, records are broken down into fields, and these can be displayed separately: print $1 Displays the first field of the current record print $1, $3 Displays the first and third fields of the current record, separated by a predefined string called the output field separator (OFS) whose default value is a single space character Although these fields ($X) may bear resemblance to variables (the $ symbol indicates variables in Perl), they actually refer to the fields of the current record. A special case, $0, refers to the entire record. In fact, the commands "print" and "print $0" are identical in functionality. The print command can also display the results of calculations and/or function calls: /regex_pattern/ { # Actions to perform in the event the record (line) matches the above regex_pattern print 3+2 print foobar(3) print foobar(variable) print sin(3-2) } Output may be sent to a file: /regex_pattern/ { # Actions to perform in the event the record (line) matches the above regex_pattern print "expression" > "file name" } or through a pipe: /regex_pattern/ { # Actions to perform in the event the record (line) matches the above regex_pattern print "expression" | "command" } Built-in variables Awk's built-in variables include the field variables: $1, $2, $3, and so on ($0 represents the entire record). They hold the text or values in the individual text-fields in a record. Other variables include: NR: Number of Records. Keeps a current count of the number of input records read so far from all data files. It starts at zero, but is never automatically reset to zero. FNR: File Number of Records. Keeps a current count of the number of input records read so far in the current file. This variable is automatically reset to zero each time a new file is started. NF: Number of Fields. Contains the number of fields in the current input record. The last field in the input record can be designated by $NF, the 2nd-to-last field by $(NF-1), the 3rd-to-last field by $(NF-2), etc. FILENAME: Contains the name of the current input-file. FS: Field Separator. Contains the "field separator" used to divide fields in the input record. The default, "white space", allows any sequence of space and tab characters. FS can be reassigned with another character or character sequence to change the field separator. RS: Record Separator. Stores the current "record separator" character. Since, by default, an input line is the input record, the default record separator character is a "newline". OFS: Output Field Separator. Stores the "output field separator", which separates the fields when Awk prints them. The default is a "space" character. ORS: Output Record Separator. Stores the "output record separator", which separates the output records when Awk prints them. The default is a "newline" character. OFMT: Output Format. Stores the format for numeric output. The default format is "%.6g". Variables and syntax Variable names can use any of the characters [A-Za-z0-9_], with the exception of language keywords. The operators + - * / represent addition, subtraction, multiplication, and division, respectively. For string concatenation, simply place two variables (or string constants) next to each other. It is optional to use a space in between if string constants are involved, but two variable names placed adjacent to each other require a space in between. Double quotes delimit string constants. Statements need not end with semicolons. Finally, comments can be added to programs by using # as the first character on a line. User-defined functions In a format similar to C, function definitions consist of the keyword function, the function name, argument names and the function body. Here is an example of a function. function add_three (number) { return number + 3 } This statement can be invoked as follows: (pattern) { print add_three(36) # Outputs '''39''' } Functions can have variables that are in the local scope. The names of these are added to the end of the argument list, though values for these should be omitted when calling the function. It is convention to add some whitespace in the argument list before the local variables, to indicate where the parameters end and the local variables begin. Examples Hello World Here is the customary "Hello, world" program written in AWK: BEGIN { print "Hello, world!" exit } Print lines longer than 80 characters Print all lines longer than 80 characters. Note that the default action is to print the current line. length($0) > 80 Count words Count words in the input and print the number of lines, words, and characters (like wc): { words += NF chars += length + 1 # add one to account for the newline character at the end of each record (line) } END { print NR, words, chars } As there is no pattern for the first line of the program, every line of input matches by default, so the increment actions are executed for every line. Note that words += NF is shorthand for words = words + NF. Sum last word { s += $NF } END { print s + 0 } s is incremented by the numeric value of $NF, which is the last word on the line as defined by AWK's field separator (by default, white-space). NF is the number of fields in the current line, e.g. 4. Since $4 is the value of the fourth field, $NF is the value of the last field in the line regardless of how many fields this line has, or whether it has more or fewer fields than surrounding lines. $ is actually a unary operator with the highest operator precedence. (If the line has no fields, then NF is 0, $0 is the whole line, which in this case is empty apart from possible white-space, and so has the numeric value 0.) At the end of the input the END pattern matches, so s is printed. However, since there may have been no lines of input at all, in which case no value has ever been assigned to s, it will by default be an empty string. Adding zero to a variable is an AWK idiom for coercing it from a string to a numeric value. (Concatenating an empty string is to coerce from a number to a string, e.g. s "". Note, there's no operator to concatenate strings, they're just placed adjacently.) With the coercion the program prints "0" on an empty input, without it, an empty line is printed. Match a range of input lines NR % 4 == 1, NR % 4 == 3 { printf "%6d %s\n", NR, $0 } The action statement prints each line numbered. The printf function emulates the standard C printf and works similarly to the print command described above. The pattern to match, however, works as follows: NR is the number of records, typically lines of input, AWK has so far read, i.e. the current line number, starting at 1 for the first line of input. % is the modulo operator. NR % 4 == 1 is true for the 1st, 5th, 9th, etc., lines of input. Likewise, NR % 4 == 3 is true for the 3rd, 7th, 11th, etc., lines of input. The range pattern is false until the first part matches, on line 1, and then remains true up to and including when the second part matches, on line 3. It then stays false until the first part matches again on line 5. Thus, the program prints lines 1,2,3, skips line 4, and then 5,6,7, and so on. For each line, it prints the line number (on a 6 character-wide field) and then the line contents. For example, when executed on this input: Rome Florence Milan Naples Turin Venice The previous program prints: 1 Rome 2 Florence 3 Milan 5 Turin 6 Venice Printing the initial or the final part of a file As a special case, when the first part of a range pattern is constantly true, e.g. 1, the range will start at the beginning of the input. Similarly, if the second part is constantly false, e.g. 0, the range will continue until the end of input. For example, /^--cut here--$/, 0 prints lines of input from the first line matching the regular expression ^--cut here--$, that is, a line containing only the phrase "--cut here--", to the end. Calculate word frequencies Word frequency using associative arrays: BEGIN { FS="[^a-zA-Z]+" } { for (i=1; i<=NF; i++) words[tolower($i)]++ } END { for (i in words) print i, words[i] } The BEGIN block sets the field separator to any sequence of non-alphabetic characters. Note that separators can be regular expressions. After that, we get to a bare action, which performs the action on every input line. In this case, for every field on the line, we add one to the number of times that word, first converted to lowercase, appears. Finally, in the END block, we print the words with their frequencies. The line for (i in words) creates a loop that goes through the array words, setting i to each subscript of the array. This is different from most languages, where such a loop goes through each value in the array. The loop thus prints out each word followed by its frequency count. tolower was an addition to the One True awk (see below) made after the book was published. Match pattern from command line This program can be represented in several ways. The first one uses the Bourne shell to make a shell script that does everything. It is the shortest of these methods: #!/bin/sh pattern="$1" shift awk '/'"$pattern"'/ { print FILENAME ":" $0 }' "$@" The $pattern in the awk command is not protected by single quotes so that the shell does expand the variable but it needs to be put in double quotes to properly handle patterns containing spaces. A pattern by itself in the usual way checks to see if the whole line ($0) matches. FILENAME contains the current filename. awk has no explicit concatenation operator; two adjacent strings concatenate them. $0 expands to the original unchanged input line. There are alternate ways of writing this. This shell script accesses the environment directly from within awk: #!/bin/sh export pattern="$1" shift awk '$0 ~ ENVIRON["pattern"] { print FILENAME ":" $0 }' "$@" This is a shell script that uses ENVIRON, an array introduced in a newer version of the One True awk after the book was published. The subscript of ENVIRON is the name of an environment variable; its result is the variable's value. This is like the getenv function in various standard libraries and POSIX. The shell script makes an environment variable pattern containing the first argument, then drops that argument and has awk look for the pattern in each file. ~ checks to see if its left operand matches its right operand; !~ is its inverse. Note that a regular expression is just a string and can be stored in variables. The next way uses command-line variable assignment, in which an argument to awk can be seen as an assignment to a variable: #!/bin/sh pattern="$1" shift awk '$0 ~ pattern { print FILENAME ":" $0 }' "pattern=$pattern" "$@" Or You can use the -v var=value command line option (e.g. awk -v pattern="$pattern" ...). Finally, this is written in pure awk, without help from a shell or without the need to know too much about the implementation of the awk script (as the variable assignment on command line one does), but is a bit lengthy: BEGIN { pattern = ARGV[1] for (i = 1; i < ARGC; i++) # remove first argument ARGV[i] = ARGV[i + 1] ARGC-- if (ARGC == 1) { # the pattern was the only thing, so force read from standard input (used by book) ARGC = 2 ARGV[1] = "-" } } $0 ~ pattern { print FILENAME ":" $0 } The BEGIN is necessary not only to extract the first argument, but also to prevent it from being interpreted as a filename after the BEGIN block ends. ARGC, the number of arguments, is always guaranteed to be ≥1, as ARGV[0] is the name of the command that executed the script, most often the string "awk". Also note that ARGV[ARGC] is the empty string, "". # initiates a comment that expands to the end of the line. Note the if block. awk only checks to see if it should read from standard input before it runs the command. This means that awk 'prog' only works because the fact that there are no filenames is only checked before prog is run! If you explicitly set ARGC to 1 so that there are no arguments, awk will simply quit because it feels there are no more input files. Therefore, you need to explicitly say to read from standard input with the special filename -. Self-contained AWK scripts On Unix-like operating systems self-contained AWK scripts can be constructed using the shebang syntax. For example, a script that prints the content of a given file may be built by creating a file named print.awk with the following content: #!/usr/bin/awk -f { print $0 } It can be invoked with: ./print.awk <filename> The -f tells AWK that the argument that follows is the file to read the AWK program from, which is the same flag that is used in sed. Since they are often used for one-liners, both these programs default to executing a program given as a command-line argument, rather than a separate file. Versions and implementations AWK was originally written in 1977 and distributed with Version 7 Unix. In 1985 its authors started expanding the language, most significantly by adding user-defined functions. The language is described in the book The AWK Programming Language, published 1988, and its implementation was made available in releases of UNIX System V. To avoid confusion with the incompatible older version, this version was sometimes called "new awk" or nawk. This implementation was released under a free software license in 1996 and is still maintained by Brian Kernighan (see external links below). Old versions of Unix, such as UNIX/32V, included awkcc, which converted AWK to C. Kernighan wrote a program to turn awk into C++; its state is not known. BWK awk, also known as nawk, refers to the version by Brian Kernighan. It has been dubbed the "One True AWK" because of the use of the term in association with the book that originally described the language and the fact that Kernighan was one of the original authors of AWK. FreeBSD refers to this version as one-true-awk. This version also has features not in the book, such as tolower and ENVIRON that are explained above; see the FIXES file in the source archive for details. This version is used by, for example, Android, FreeBSD, NetBSD, OpenBSD, macOS, and illumos. Brian Kernighan and Arnold Robbins are the main contributors to a source repository for nawk: . gawk (GNU awk) is another free-software implementation and the only implementation that makes serious progress implementing internationalization and localization and TCP/IP networking. It was written before the original implementation became freely available. It includes its own debugger, and its profiler enables the user to make measured performance enhancements to a script. It also enables the user to extend functionality with shared libraries. Some Linux distributions include gawk as their default AWK implementation. As of version 5.2 (September 2022) gawk includes a persistent memory feature that can remember script-defined variables and functions from one invocation of a script to the next and pass data between unrelated scripts, as described in the Persistent-Memory gawk User Manual: . gawk-csv. The CSV extension of gawk provides facilities for handling input and output CSV formatted data. mawk is a very fast AWK implementation by Mike Brennan based on a bytecode interpreter. libmawk is a fork of mawk, allowing applications to embed multiple parallel instances of awk interpreters. awka (whose front end is written atop the mawk program) is another translator of AWK scripts into C code. When compiled, statically including the author's libawka.a, the resulting executables are considerably sped up and, according to the author's tests, compare very well with other versions of AWK, Perl, or Tcl. Small scripts will turn into programs of 160–170 kB. tawk (Thompson AWK) is an AWK compiler for Solaris, DOS, OS/2, and Windows, previously sold by Thompson Automation Software (which has ceased its activities). Jawk is a project to implement AWK in Java, hosted on SourceForge. Extensions to the language are added to provide access to Java features within AWK scripts (i.e., Java threads, sockets, collections, etc.). xgawk is a fork of gawk that extends gawk with dynamically loadable libraries. The XMLgawk extension was integrated into the official GNU Awk release 4.1.0. QSEAWK is an embedded AWK interpreter implementation included in the QSE library that provides embedding application programming interface (API) for C and C++. libfawk is a very small, function-only, reentrant, embeddable interpreter written in C BusyBox includes an AWK implementation written by Dmitry Zakharov. This is a very small implementation suitable for embedded systems. CLAWK by Michael Parker provides an AWK implementation in Common Lisp, based upon the regular expression library of the same author. Books See also Data transformation Event-driven programming List of Unix commands sed References Further reading  – Interview with Alfred V. Aho on AWK AWK  – Become an expert in 60 minutes External links The Amazing Awk Assembler by Henry Spencer. awklang.org The site for things related to the awk language 1977 software Cross-platform software Domain-specific programming languages Free compilers and interpreters Pattern matching programming languages Plan 9 commands Programming languages created in 1977 Scripting languages Standard Unix programs Text-oriented programming languages Unix SUS2008 utilities Unix text processing utilities
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https://en.wikipedia.org/wiki/Apollo%20program
Apollo program
The Apollo program, also known as Project Apollo, was the United States human spaceflight program carried out by the National Aeronautics and Space Administration (NASA), which succeeded in preparing and landing the first humans on the Moon from 1968 to 1972. It was first conceived in 1960 during President Dwight D. Eisenhower's administration as a three-person spacecraft to follow the one-person Project Mercury, which put the first Americans in space. Apollo was later dedicated to President John F. Kennedy's national goal for the 1960s of "landing a man on the Moon and returning him safely to the Earth" in an address to Congress on May 25, 1961. It was the third US human spaceflight program to fly, preceded by the two-person Project Gemini conceived in 1961 to extend spaceflight capability in support of Apollo. Kennedy's goal was accomplished on the Apollo 11 mission when astronauts Neil Armstrong and Buzz Aldrin landed their Apollo Lunar Module (LM) on July 20, 1969, and walked on the lunar surface, while Michael Collins remained in lunar orbit in the command and service module (CSM), and all three landed safely on Earth in the Pacific Ocean on July 24. Five subsequent Apollo missions also landed astronauts on the Moon, the last, Apollo 17, in December 1972. In these six spaceflights, twelve people walked on the Moon. Apollo ran from 1961 to 1972, with the first crewed flight in 1968. It encountered a major setback in 1967 when an Apollo 1 cabin fire killed the entire crew during a prelaunch test. After the first successful landing, sufficient flight hardware remained for nine follow-on landings with a plan for extended lunar geological and astrophysical exploration. Budget cuts forced the cancellation of three of these. Five of the remaining six missions achieved successful landings, but the Apollo 13 landing was prevented by an oxygen tank explosion in transit to the Moon, crippling the CSM. The crew barely returned to Earth safely by using the lunar module as a "lifeboat" on the return journey. Apollo used the Saturn family of rockets as launch vehicles, which were also used for an Apollo Applications Program, which consisted of Skylab, a space station that supported three crewed missions in 1973–1974, and the Apollo–Soyuz Test Project, a joint United States-Soviet Union low Earth orbit mission in 1975. Apollo set several major human spaceflight milestones. It stands alone in sending crewed missions beyond low Earth orbit. Apollo 8 was the first crewed spacecraft to orbit another celestial body, and Apollo 11 was the first crewed spacecraft to land humans on one. Overall, the Apollo program returned of lunar rocks and soil to Earth, greatly contributing to the understanding of the Moon's composition and geological history. The program laid the foundation for NASA's subsequent human spaceflight capability and funded construction of its Johnson Space Center and Kennedy Space Center. Apollo also spurred advances in many areas of technology incidental to rocketry and human spaceflight, including avionics, telecommunications, and computers. Name The program was named after Apollo, the Greek god of light, music, and the Sun, by NASA manager Abe Silverstein, who later said, "I was naming the spacecraft like I'd name my baby." Silverstein chose the name at home one evening, early in 1960, because he felt "Apollo riding his chariot across the Sun was appropriate to the grand scale of the proposed program". The context of this was that the program focused at its beginning mainly on developing an advanced crewed spacecraft, the Apollo command and service module, succeeding the Mercury program. A lunar landing became the focus of the program only in 1961. Thereafter Project Gemini instead followed the Mercury program to test and study advanced crewed spaceflight technology. Background Origin and spacecraft feasibility studies The Apollo program was conceived during the Eisenhower administration in early 1960, as a follow-up to Project Mercury. While the Mercury capsule could support only one astronaut on a limited Earth orbital mission, Apollo would carry three. Possible missions included ferrying crews to a space station, circumlunar flights, and eventual crewed lunar landings. In July 1960, NASA Deputy Administrator Hugh L. Dryden announced the Apollo program to industry representatives at a series of Space Task Group conferences. Preliminary specifications were laid out for a spacecraft with a mission module cabin separate from the command module (piloting and reentry cabin), and a propulsion and equipment module. On August 30, a feasibility study competition was announced, and on October 25, three study contracts were awarded to General Dynamics/Convair, General Electric, and the Glenn L. Martin Company. Meanwhile, NASA performed its own in-house spacecraft design studies led by Maxime Faget, to serve as a gauge to judge and monitor the three industry designs. Political pressure builds In November 1960, John F. Kennedy was elected president after a campaign that promised American superiority over the Soviet Union in the fields of space exploration and missile defense. Up to the election of 1960, Kennedy had been speaking out against the "missile gap" that he and many other senators felt had developed between the Soviet Union and the United States due to the inaction of President Eisenhower. Beyond military power, Kennedy used aerospace technology as a symbol of national prestige, pledging to make the US not "first but, first and, first if, but first period". Despite Kennedy's rhetoric, he did not immediately come to a decision on the status of the Apollo program once he became president. He knew little about the technical details of the space program, and was put off by the massive financial commitment required by a crewed Moon landing. When Kennedy's newly appointed NASA Administrator James E. Webb requested a 30 percent budget increase for his agency, Kennedy supported an acceleration of NASA's large booster program but deferred a decision on the broader issue. On April 12, 1961, Soviet cosmonaut Yuri Gagarin became the first person to fly in space, reinforcing American fears about being left behind in a technological competition with the Soviet Union. At a meeting of the US House Committee on Science and Astronautics one day after Gagarin's flight, many congressmen pledged their support for a crash program aimed at ensuring that America would catch up. Kennedy was circumspect in his response to the news, refusing to make a commitment on America's response to the Soviets. On April 20, Kennedy sent a memo to Vice President Lyndon B. Johnson, asking Johnson to look into the status of America's space program, and into programs that could offer NASA the opportunity to catch up. Johnson responded approximately one week later, concluding that "we are neither making maximum effort nor achieving results necessary if this country is to reach a position of leadership." His memo concluded that a crewed Moon landing was far enough in the future that it was likely the United States would achieve it first. On May 25, 1961, twenty days after the first US crewed spaceflight Freedom 7, Kennedy proposed the crewed Moon landing in a Special Message to the Congress on Urgent National Needs: NASA expansion At the time of Kennedy's proposal, only one American had flown in space—less than a month earlier—and NASA had not yet sent an astronaut into orbit. Even some NASA employees doubted whether Kennedy's ambitious goal could be met. By 1963, Kennedy even came close to agreeing to a joint US-USSR Moon mission, to eliminate duplication of effort. With the clear goal of a crewed landing replacing the more nebulous goals of space stations and circumlunar flights, NASA decided that, in order to make progress quickly, it would discard the feasibility study designs of Convair, GE, and Martin, and proceed with Faget's command and service module design. The mission module was determined to be useful only as an extra room, and therefore unnecessary. They used Faget's design as the specification for another competition for spacecraft procurement bids in October 1961. On November 28, 1961, it was announced that North American Aviation had won the contract, although its bid was not rated as good as the Martin proposal. Webb, Dryden and Robert Seamans chose it in preference due to North American's longer association with NASA and its predecessor. Landing humans on the Moon by the end of 1969 required the most sudden burst of technological creativity, and the largest commitment of resources ($25 billion; $ in US dollars) ever made by any nation in peacetime. At its peak, the Apollo program employed 400,000 people and required the support of over 20,000 industrial firms and universities. On July 1, 1960, NASA established the Marshall Space Flight Center (MSFC) in Huntsville, Alabama. MSFC designed the heavy lift-class Saturn launch vehicles, which would be required for Apollo. Manned Spacecraft Center It became clear that managing the Apollo program would exceed the capabilities of Robert R. Gilruth's Space Task Group, which had been directing the nation's crewed space program from NASA's Langley Research Center. So Gilruth was given authority to grow his organization into a new NASA center, the Manned Spacecraft Center (MSC). A site was chosen in Houston, Texas, on land donated by Rice University, and Administrator Webb announced the conversion on September 19, 1961. It was also clear NASA would soon outgrow its practice of controlling missions from its Cape Canaveral Air Force Station launch facilities in Florida, so a new Mission Control Center would be included in the MSC. In September 1962, by which time two Project Mercury astronauts had orbited the Earth, Gilruth had moved his organization to rented space in Houston, and construction of the MSC facility was under way, Kennedy visited Rice to reiterate his challenge in a famous speech: The MSC was completed in September 1963. It was renamed by the US Congress in honor of Lyndon Johnson soon after his death in 1973. Launch Operations Center It also became clear that Apollo would outgrow the Canaveral launch facilities in Florida. The two newest launch complexes were already being built for the Saturn I and IB rockets at the northernmost end: LC-34 and LC-37. But an even bigger facility would be needed for the mammoth rocket required for the crewed lunar mission, so land acquisition was started in July 1961 for a Launch Operations Center (LOC) immediately north of Canaveral at Merritt Island. The design, development and construction of the center was conducted by Kurt H. Debus, a member of Wernher von Braun's original V-2 rocket engineering team. Debus was named the LOC's first Director. Construction began in November 1962. Following Kennedy's death, President Johnson issued an executive order on November 29, 1963, to rename the LOC and Cape Canaveral in honor of Kennedy. The LOC included Launch Complex 39, a Launch Control Center, and a Vertical Assembly Building (VAB). in which the space vehicle (launch vehicle and spacecraft) would be assembled on a mobile launcher platform and then moved by a crawler-transporter to one of several launch pads. Although at least three pads were planned, only two, designated AandB, were completed in October 1965. The LOC also included an Operations and Checkout Building (OCB) to which Gemini and Apollo spacecraft were initially received prior to being mated to their launch vehicles. The Apollo spacecraft could be tested in two vacuum chambers capable of simulating atmospheric pressure at altitudes up to , which is nearly a vacuum. Organization Administrator Webb realized that in order to keep Apollo costs under control, he had to develop greater project management skills in his organization, so he recruited George E. Mueller for a high management job. Mueller accepted, on the condition that he have a say in NASA reorganization necessary to effectively administer Apollo. Webb then worked with Associate Administrator (later Deputy Administrator) Seamans to reorganize the Office of Manned Space Flight (OMSF). On July 23, 1963, Webb announced Mueller's appointment as Deputy Associate Administrator for Manned Space Flight, to replace then Associate Administrator D. Brainerd Holmes on his retirement effective September 1. Under Webb's reorganization, the directors of the Manned Spacecraft Center (Gilruth), Marshall Space Flight Center (von Braun), and the Launch Operations Center (Debus) reported to Mueller. Based on his industry experience on Air Force missile projects, Mueller realized some skilled managers could be found among high-ranking officers in the U.S. Air Force, so he got Webb's permission to recruit General Samuel C. Phillips, who gained a reputation for his effective management of the Minuteman program, as OMSF program controller. Phillips's superior officer Bernard A. Schriever agreed to loan Phillips to NASA, along with a staff of officers under him, on the condition that Phillips be made Apollo Program Director. Mueller agreed, and Phillips managed Apollo from January 1964, until it achieved the first human landing in July 1969, after which he returned to Air Force duty. Charles Fishman, in One Giant Leap, estimated the number of people and organizations involved into the Apollo program as "410,000 men and women at some 20,000 different companies contributed to the effort". Choosing a mission mode Once Kennedy had defined a goal, the Apollo mission planners were faced with the challenge of designing a spacecraft that could meet it while minimizing risk to human life, cost, and demands on technology and astronaut skill. Four possible mission modes were considered: Direct Ascent: The spacecraft would be launched as a unit and travel directly to the lunar surface, without first going into lunar orbit. A Earth return ship would land all three astronauts atop a descent propulsion stage, which would be left on the Moon. This design would have required development of the extremely powerful Saturn C-8 or Nova launch vehicle to carry a payload to the Moon. Earth Orbit Rendezvous (EOR): Multiple rocket launches (up to 15 in some plans) would carry parts of the Direct Ascent spacecraft and propulsion units for translunar injection (TLI). These would be assembled into a single spacecraft in Earth orbit. Lunar Surface Rendezvous: Two spacecraft would be launched in succession. The first, an automated vehicle carrying propellant for the return to Earth, would land on the Moon, to be followed some time later by the crewed vehicle. Propellant would have to be transferred from the automated vehicle to the crewed vehicle. Lunar Orbit Rendezvous (LOR): This turned out to be the winning configuration, which achieved the goal with Apollo 11 on July 20, 1969: a single Saturn V launched a spacecraft that was composed of a Apollo command and service module which remained in orbit around the Moon and a two-stage Apollo Lunar Module spacecraft which was flown by two astronauts to the surface, flown back to dock with the command module and was then discarded. Landing the smaller spacecraft on the Moon, and returning an even smaller part () to lunar orbit, minimized the total mass to be launched from Earth, but this was the last method initially considered because of the perceived risk of rendezvous and docking. In early 1961, direct ascent was generally the mission mode in favor at NASA. Many engineers feared that rendezvous and docking, maneuvers that had not been attempted in Earth orbit, would be nearly impossible in lunar orbit. LOR advocates including John Houbolt at Langley Research Center emphasized the important weight reductions that were offered by the LOR approach. Throughout 1960 and 1961, Houbolt campaigned for the recognition of LOR as a viable and practical option. Bypassing the NASA hierarchy, he sent a series of memos and reports on the issue to Associate Administrator Robert Seamans; while acknowledging that he spoke "somewhat as a voice in the wilderness", Houbolt pleaded that LOR should not be discounted in studies of the question. Seamans's establishment of an ad hoc committee headed by his special technical assistant Nicholas E. Golovin in July 1961, to recommend a launch vehicle to be used in the Apollo program, represented a turning point in NASA's mission mode decision. This committee recognized that the chosen mode was an important part of the launch vehicle choice, and recommended in favor of a hybrid EOR-LOR mode. Its consideration of LOR—as well as Houbolt's ceaseless work—played an important role in publicizing the workability of the approach. In late 1961 and early 1962, members of the Manned Spacecraft Center began to come around to support LOR, including the newly hired deputy director of the Office of Manned Space Flight, Joseph Shea, who became a champion of LOR. The engineers at Marshall Space Flight Center (MSFC), which had much to lose from the decision, took longer to become convinced of its merits, but their conversion was announced by Wernher von Braun at a briefing on June 7, 1962. But even after NASA reached internal agreement, it was far from smooth sailing. Kennedy's science advisor Jerome Wiesner, who had expressed his opposition to human spaceflight to Kennedy before the President took office, and had opposed the decision to land people on the Moon, hired Golovin, who had left NASA, to chair his own "Space Vehicle Panel", ostensibly to monitor, but actually to second-guess NASA's decisions on the Saturn V launch vehicle and LOR by forcing Shea, Seamans, and even Webb to defend themselves, delaying its formal announcement to the press on July 11, 1962, and forcing Webb to still hedge the decision as "tentative". Wiesner kept up the pressure, even making the disagreement public during a two-day September visit by the President to Marshall Space Flight Center. Wiesner blurted out "No, that's no good" in front of the press, during a presentation by von Braun. Webb jumped in and defended von Braun, until Kennedy ended the squabble by stating that the matter was "still subject to final review". Webb held firm and issued a request for proposal to candidate Lunar Excursion Module (LEM) contractors. Wiesner finally relented, unwilling to settle the dispute once and for all in Kennedy's office, because of the President's involvement with the October Cuban Missile Crisis, and fear of Kennedy's support for Webb. NASA announced the selection of Grumman as the LEM contractor in November 1962. Space historian James Hansen concludes that: The LOR method had the advantage of allowing the lander spacecraft to be used as a "lifeboat" in the event of a failure of the command ship. Some documents prove this theory was discussed before and after the method was chosen. In 1964 an MSC study concluded, "The LM [as lifeboat]... was finally dropped, because no single reasonable CSM failure could be identified that would prohibit use of the SPS." Ironically, just such a failure happened on Apollo 13 when an oxygen tank explosion left the CSM without electrical power. The lunar module provided propulsion, electrical power and life support to get the crew home safely. Spacecraft Faget's preliminary Apollo design employed a cone-shaped command module, supported by one of several service modules providing propulsion and electrical power, sized appropriately for the space station, cislunar, and lunar landing missions. Once Kennedy's Moon landing goal became official, detailed design began of a command and service module (CSM) in which the crew would spend the entire direct-ascent mission and lift off from the lunar surface for the return trip, after being soft-landed by a larger landing propulsion module. The final choice of lunar orbit rendezvous changed the CSM's role to the translunar ferry used to transport the crew, along with a new spacecraft, the Lunar Excursion Module (LEM, later shortened to LM (Lunar Module) but still pronounced ) which would take two individuals to the lunar surface and return them to the CSM. Command and service module The command module (CM) was the conical crew cabin, designed to carry three astronauts from launch to lunar orbit and back to an Earth ocean landing. It was the only component of the Apollo spacecraft to survive without major configuration changes as the program evolved from the early Apollo study designs. Its exterior was covered with an ablative heat shield, and had its own reaction control system (RCS) engines to control its attitude and steer its atmospheric entry path. Parachutes were carried to slow its descent to splashdown. The module was tall, in diameter, and weighed approximately . A cylindrical service module (SM) supported the command module, with a service propulsion engine and an RCS with propellants, and a fuel cell power generation system with liquid hydrogen and liquid oxygen reactants. A high-gain S-band antenna was used for long-distance communications on the lunar flights. On the extended lunar missions, an orbital scientific instrument package was carried. The service module was discarded just before reentry. The module was long and in diameter. The initial lunar flight version weighed approximately fully fueled, while a later version designed to carry a lunar orbit scientific instrument package weighed just over . North American Aviation won the contract to build the CSM, and also the second stage of the Saturn V launch vehicle for NASA. Because the CSM design was started early before the selection of lunar orbit rendezvous, the service propulsion engine was sized to lift the CSM off the Moon, and thus was oversized to about twice the thrust required for translunar flight. Also, there was no provision for docking with the lunar module. A 1964 program definition study concluded that the initial design should be continued as Block I which would be used for early testing, while Block II, the actual lunar spacecraft, would incorporate the docking equipment and take advantage of the lessons learned in Block I development. Apollo Lunar Module The Apollo Lunar Module (LM) was designed to descend from lunar orbit to land two astronauts on the Moon and take them back to orbit to rendezvous with the command module. Not designed to fly through the Earth's atmosphere or return to Earth, its fuselage was designed totally without aerodynamic considerations and was of an extremely lightweight construction. It consisted of separate descent and ascent stages, each with its own engine. The descent stage contained storage for the descent propellant, surface stay consumables, and surface exploration equipment. The ascent stage contained the crew cabin, ascent propellant, and a reaction control system. The initial LM model weighed approximately , and allowed surface stays up to around 34 hours. An extended lunar module weighed over , and allowed surface stays of more than three days. The contract for design and construction of the lunar module was awarded to Grumman Aircraft Engineering Corporation, and the project was overseen by Thomas J. Kelly. Launch vehicles Before the Apollo program began, Wernher von Braun and his team of rocket engineers had started work on plans for very large launch vehicles, the Saturn series, and the even larger Nova series. In the midst of these plans, von Braun was transferred from the Army to NASA and was made Director of the Marshall Space Flight Center. The initial direct ascent plan to send the three-person Apollo command and service module directly to the lunar surface, on top of a large descent rocket stage, would require a Nova-class launcher, with a lunar payload capability of over . The June 11, 1962, decision to use lunar orbit rendezvous enabled the Saturn V to replace the Nova, and the MSFC proceeded to develop the Saturn rocket family for Apollo. Since Apollo, like Mercury, used more than one launch vehicle for space missions, NASA used spacecraft-launch vehicle combination series numbers: AS-10x for Saturn I, AS-20x for Saturn IB, and AS-50x for Saturn V (compare Mercury-Redstone 3, Mercury-Atlas 6) to designate and plan all missions, rather than numbering them sequentially as in Project Gemini. This was changed by the time human flights began. Little Joe II Since Apollo, like Mercury, would require a launch escape system (LES) in case of a launch failure, a relatively small rocket was required for qualification flight testing of this system. A rocket bigger than the Little Joe used by Mercury would be required, so the Little Joe II was built by General Dynamics/Convair. After an August 1963 qualification test flight, four LES test flights (A-001 through 004) were made at the White Sands Missile Range between May 1964 and January 1966. Saturn I Saturn I, the first US heavy lift launch vehicle, was initially planned to launch partially equipped CSMs in low Earth orbit tests. The S-I first stage burned RP-1 with liquid oxygen (LOX) oxidizer in eight clustered Rocketdyne H-1 engines, to produce of thrust. The S-IV second stage used six liquid hydrogen-fueled Pratt & Whitney RL-10 engines with of thrust. The S-V third stage flew inactively on Saturn I four times. The first four Saturn I test flights were launched from LC-34, with only the first stage live, carrying dummy upper stages filled with water. The first flight with a live S-IV was launched from LC-37. This was followed by five launches of boilerplate CSMs (designated AS-101 through AS-105) into orbit in 1964 and 1965. The last three of these further supported the Apollo program by also carrying Pegasus satellites, which verified the safety of the translunar environment by measuring the frequency and severity of micrometeorite impacts. In September 1962, NASA planned to launch four crewed CSM flights on the Saturn I from late 1965 through 1966, concurrent with Project Gemini. The payload capacity would have severely limited the systems which could be included, so the decision was made in October 1963 to use the uprated Saturn IB for all crewed Earth orbital flights. Saturn IB The Saturn IB was an upgraded version of the Saturn I. The S-IB first stage increased the thrust to by uprating the H-1 engine. The second stage replaced the S-IV with the S-IVB-200, powered by a single J-2 engine burning liquid hydrogen fuel with LOX, to produce of thrust. A restartable version of the S-IVB was used as the third stage of the Saturn V. The Saturn IB could send over into low Earth orbit, sufficient for a partially fueled CSM or the LM. Saturn IB launch vehicles and flights were designated with an AS-200 series number, "AS" indicating "Apollo Saturn" and the "2" indicating the second member of the Saturn rocket family. Saturn V Saturn V launch vehicles and flights were designated with an AS-500 series number, "AS" indicating "Apollo Saturn" and the "5" indicating Saturn V. The three-stage Saturn V was designed to send a fully fueled CSM and LM to the Moon. It was in diameter and stood tall with its lunar payload. Its capability grew to for the later advanced lunar landings. The S-IC first stage burned RP-1/LOX for a rated thrust of , which was upgraded to . The second and third stages burned liquid hydrogen; the third stage was a modified version of the S-IVB, with thrust increased to and capability to restart the engine for translunar injection after reaching a parking orbit. Astronauts NASA's director of flight crew operations during the Apollo program was Donald K. "Deke" Slayton, one of the original Mercury Seven astronauts who was medically grounded in September 1962 due to a heart murmur. Slayton was responsible for making all Gemini and Apollo crew assignments. Thirty-two astronauts were assigned to fly missions in the Apollo program. Twenty-four of these left Earth's orbit and flew around the Moon between December 1968 and December 1972 (three of them twice). Half of the 24 walked on the Moon's surface, though none of them returned to it after landing once. One of the moonwalkers was a trained geologist. Of the 32, Gus Grissom, Ed White, and Roger Chaffee were killed during a ground test in preparation for the Apollo 1 mission. The Apollo astronauts were chosen from the Project Mercury and Gemini veterans, plus from two later astronaut groups. All missions were commanded by Gemini or Mercury veterans. Crews on all development flights (except the Earth orbit CSM development flights) through the first two landings on Apollo 11 and Apollo 12, included at least two (sometimes three) Gemini veterans. Harrison Schmitt, a geologist, was the first NASA scientist astronaut to fly in space, and landed on the Moon on the last mission, Apollo 17. Schmitt participated in the lunar geology training of all of the Apollo landing crews. NASA awarded all 32 of these astronauts its highest honor, the Distinguished Service Medal, given for "distinguished service, ability, or courage", and personal "contribution representing substantial progress to the NASA mission". The medals were awarded posthumously to Grissom, White, and Chaffee in 1969, then to the crews of all missions from Apollo 8 onward. The crew that flew the first Earth orbital test mission Apollo 7, Walter M. Schirra, Donn Eisele, and Walter Cunningham, were awarded the lesser NASA Exceptional Service Medal, because of discipline problems with the flight director's orders during their flight. In October 2008, the NASA Administrator decided to award them the Distinguished Service Medals. For Schirra and Eisele, this was posthumously. Lunar mission profile The first lunar landing mission was planned to proceed: Profile variations The first three lunar missions (Apollo 8, Apollo 10, and Apollo 11) used a free return trajectory, keeping a flight path coplanar with the lunar orbit, which would allow a return to Earth in case the SM engine failed to make lunar orbit insertion. Landing site lighting conditions on later missions dictated a lunar orbital plane change, which required a course change maneuver soon after TLI, and eliminated the free-return option. After Apollo 12 placed the second of several seismometers on the Moon, the jettisoned LM ascent stages on Apollo 12 and later missions were deliberately crashed on the Moon at known locations to induce vibrations in the Moon's structure. The only exceptions to this were the Apollo 13 LM which burned up in the Earth's atmosphere, and Apollo 16, where a loss of attitude control after jettison prevented making a targeted impact. As another active seismic experiment, the S-IVBs on Apollo 13 and subsequent missions were deliberately crashed on the Moon instead of being sent to solar orbit. Starting with Apollo 13, descent orbit insertion was to be performed using the service module engine instead of the LM engine, in order to allow a greater fuel reserve for landing. This was actually done for the first time on Apollo 14, since the Apollo 13 mission was aborted before landing. Development history Uncrewed flight tests Two Block I CSMs were launched from LC-34 on suborbital flights in 1966 with the Saturn IB. The first, AS-201 launched on February 26, reached an altitude of and splashed down downrange in the Atlantic Ocean. The second, AS-202 on August 25, reached altitude and was recovered downrange in the Pacific Ocean. These flights validated the service module engine and the command module heat shield. A third Saturn IB test, AS-203 launched from pad 37, went into orbit to support design of the S-IVB upper stage restart capability needed for the Saturn V. It carried a nose cone instead of the Apollo spacecraft, and its payload was the unburned liquid hydrogen fuel, the behavior of which engineers measured with temperature and pressure sensors, and a TV camera. This flight occurred on July 5, before AS-202, which was delayed because of problems getting the Apollo spacecraft ready for flight. Preparation for crewed flight Two crewed orbital Block I CSM missions were planned: AS-204 and AS-205. The Block I crew positions were titled Command Pilot, Senior Pilot, and Pilot. The Senior Pilot would assume navigation duties, while the Pilot would function as a systems engineer. The astronauts would wear a modified version of the Gemini spacesuit. After an uncrewed LM test flight AS-206, a crew would fly the first Block II CSM and LM in a dual mission known as AS-207/208, or AS-278 (each spacecraft would be launched on a separate Saturn IB). The Block II crew positions were titled Commander, Command Module Pilot, and Lunar Module Pilot. The astronauts would begin wearing a new Apollo A6L spacesuit, designed to accommodate lunar extravehicular activity (EVA). The traditional visor helmet was replaced with a clear "fishbowl" type for greater visibility, and the lunar surface EVA suit would include a water-cooled undergarment. Deke Slayton, the grounded Mercury astronaut who became director of flight crew operations for the Gemini and Apollo programs, selected the first Apollo crew in January 1966, with Grissom as Command Pilot, White as Senior Pilot, and rookie Donn F. Eisele as Pilot. But Eisele dislocated his shoulder twice aboard the KC135 weightlessness training aircraft, and had to undergo surgery on January 27. Slayton replaced him with Chaffee. NASA announced the final crew selection for AS-204 on March 21, 1966, with the backup crew consisting of Gemini veterans James McDivitt and David Scott, with rookie Russell L. "Rusty" Schweickart. Mercury/Gemini veteran Wally Schirra, Eisele, and rookie Walter Cunningham were announced on September 29 as the prime crew for AS-205. In December 1966, the AS-205 mission was canceled, since the validation of the CSM would be accomplished on the 14-day first flight, and AS-205 would have been devoted to space experiments and contribute no new engineering knowledge about the spacecraft. Its Saturn IB was allocated to the dual mission, now redesignated AS-205/208 or AS-258, planned for August 1967. McDivitt, Scott and Schweickart were promoted to the prime AS-258 crew, and Schirra, Eisele and Cunningham were reassigned as the Apollo1 backup crew. Program delays The spacecraft for the AS-202 and AS-204 missions were delivered by North American Aviation to the Kennedy Space Center with long lists of equipment problems which had to be corrected before flight; these delays caused the launch of AS-202 to slip behind AS-203, and eliminated hopes the first crewed mission might be ready to launch as soon as November 1966, concurrently with the last Gemini mission. Eventually, the planned AS-204 flight date was pushed to February 21, 1967. North American Aviation was prime contractor not only for the Apollo CSM, but for the SaturnV S-II second stage as well, and delays in this stage pushed the first uncrewed SaturnV flight AS-501 from late 1966 to November 1967. (The initial assembly of AS-501 had to use a dummy spacer spool in place of the stage.) The problems with North American were severe enough in late 1965 to cause Manned Space Flight Administrator George Mueller to appoint program director Samuel Phillips to head a "tiger team" to investigate North American's problems and identify corrections. Phillips documented his findings in a December 19 letter to NAA president Lee Atwood, with a strongly worded letter by Mueller, and also gave a presentation of the results to Mueller and Deputy Administrator Robert Seamans. Meanwhile, Grumman was also encountering problems with the Lunar Module, eliminating hopes it would be ready for crewed flight in 1967, not long after the first crewed CSM flights. Apollo 1 fire Grissom, White, and Chaffee decided to name their flight Apollo1 as a motivational focus on the first crewed flight. They trained and conducted tests of their spacecraft at North American, and in the altitude chamber at the Kennedy Space Center. A "plugs-out" test was planned for January, which would simulate a launch countdown on LC-34 with the spacecraft transferring from pad-supplied to internal power. If successful, this would be followed by a more rigorous countdown simulation test closer to the February 21 launch, with both spacecraft and launch vehicle fueled. The plugs-out test began on the morning of January 27, 1967, and immediately was plagued with problems. First, the crew noticed a strange odor in their spacesuits which delayed the sealing of the hatch. Then, communications problems frustrated the astronauts and forced a hold in the simulated countdown. During this hold, an electrical fire began in the cabin and spread quickly in the high pressure, 100% oxygen atmosphere. Pressure rose high enough from the fire that the cabin inner wall burst, allowing the fire to erupt onto the pad area and frustrating attempts to rescue the crew. The astronauts were asphyxiated before the hatch could be opened. NASA immediately convened an accident review board, overseen by both houses of Congress. While the determination of responsibility for the accident was complex, the review board concluded that "deficiencies existed in command module design, workmanship and quality control". At the insistence of NASA Administrator Webb, North American removed Harrison Storms as command module program manager. Webb also reassigned Apollo Spacecraft Program Office (ASPO) Manager Joseph Francis Shea, replacing him with George Low. To remedy the causes of the fire, changes were made in the Block II spacecraft and operational procedures, the most important of which were use of a nitrogen/oxygen mixture instead of pure oxygen before and during launch, and removal of flammable cabin and space suit materials. The Block II design already called for replacement of the Block I plug-type hatch cover with a quick-release, outward opening door. NASA discontinued the crewed Block I program, using the BlockI spacecraft only for uncrewed SaturnV flights. Crew members would also exclusively wear modified, fire-resistant A7L Block II space suits, and would be designated by the Block II titles, regardless of whether a LM was present on the flight or not. Uncrewed Saturn V and LM tests On April 24, 1967, Mueller published an official Apollo mission numbering scheme, using sequential numbers for all flights, crewed or uncrewed. The sequence would start with Apollo 4 to cover the first three uncrewed flights while retiring the Apollo1 designation to honor the crew, per their widows' wishes. In September 1967, Mueller approved a sequence of mission types which had to be successfully accomplished in order to achieve the crewed lunar landing. Each step had to be successfully accomplished before the next ones could be performed, and it was unknown how many tries of each mission would be necessary; therefore letters were used instead of numbers. The A missions were uncrewed Saturn V validation; B was uncrewed LM validation using the Saturn IB; C was crewed CSM Earth orbit validation using the Saturn IB; D was the first crewed CSM/LM flight (this replaced AS-258, using a single Saturn V launch); E would be a higher Earth orbit CSM/LM flight; F would be the first lunar mission, testing the LM in lunar orbit but without landing (a "dress rehearsal"); and G would be the first crewed landing. The list of types covered follow-on lunar exploration to include H lunar landings, I for lunar orbital survey missions, and J for extended-stay lunar landings. The delay in the CSM caused by the fire enabled NASA to catch up on human-rating the LM and SaturnV. Apollo4 (AS-501) was the first uncrewed flight of the SaturnV, carrying a BlockI CSM on November 9, 1967. The capability of the command module's heat shield to survive a trans-lunar reentry was demonstrated by using the service module engine to ram it into the atmosphere at higher than the usual Earth-orbital reentry speed. Apollo 5 (AS-204) was the first uncrewed test flight of the LM in Earth orbit, launched from pad 37 on January 22, 1968, by the Saturn IB that would have been used for Apollo 1. The LM engines were successfully test-fired and restarted, despite a computer programming error which cut short the first descent stage firing. The ascent engine was fired in abort mode, known as a "fire-in-the-hole" test, where it was lit simultaneously with jettison of the descent stage. Although Grumman wanted a second uncrewed test, George Low decided the next LM flight would be crewed. This was followed on April 4, 1968, by Apollo 6 (AS-502) which carried a CSM and a LM Test Article as ballast. The intent of this mission was to achieve trans-lunar injection, followed closely by a simulated direct-return abort, using the service module engine to achieve another high-speed reentry. The Saturn V experienced pogo oscillation, a problem caused by non-steady engine combustion, which damaged fuel lines in the second and third stages. Two S-II engines shut down prematurely, but the remaining engines were able to compensate. The damage to the third stage engine was more severe, preventing it from restarting for trans-lunar injection. Mission controllers were able to use the service module engine to essentially repeat the flight profile of Apollo 4. Based on the good performance of Apollo6 and identification of satisfactory fixes to the Apollo6 problems, NASA declared the SaturnV ready to fly crew, canceling a third uncrewed test. Crewed development missions Apollo 7, launched from LC-34 on October 11, 1968, was the Cmission, crewed by Schirra, Eisele, and Cunningham. It was an 11-day Earth-orbital flight which tested the CSM systems. Apollo 8 was planned to be the D mission in December 1968, crewed by McDivitt, Scott and Schweickart, launched on a SaturnV instead of two Saturn IBs. In the summer it had become clear that the LM would not be ready in time. Rather than waste the Saturn V on another simple Earth-orbiting mission, ASPO Manager George Low suggested the bold step of sending Apollo8 to orbit the Moon instead, deferring the Dmission to the next mission in March 1969, and eliminating the E mission. This would keep the program on track. The Soviet Union had sent two tortoises, mealworms, wine flies, and other lifeforms around the Moon on September 15, 1968, aboard Zond 5, and it was believed they might soon repeat the feat with human cosmonauts. The decision was not announced publicly until successful completion of Apollo 7. Gemini veterans Frank Borman and Jim Lovell, and rookie William Anders captured the world's attention by making ten lunar orbits in 20 hours, transmitting television pictures of the lunar surface on Christmas Eve, and returning safely to Earth. The following March, LM flight, rendezvous and docking were successfully demonstrated in Earth orbit on Apollo 9, and Schweickart tested the full lunar EVA suit with its portable life support system (PLSS) outside the LM. The F mission was successfully carried out on Apollo 10 in May 1969 by Gemini veterans Thomas P. Stafford, John Young and Eugene Cernan. Stafford and Cernan took the LM to within of the lunar surface. The G mission was achieved on Apollo 11 in July 1969 by an all-Gemini veteran crew consisting of Neil Armstrong, Michael Collins and Buzz Aldrin. Armstrong and Aldrin performed the first landing at the Sea of Tranquility at 20:17:40 UTC on July 20, 1969. They spent a total of 21 hours, 36 minutes on the surface, and spent 2hours, 31 minutes outside the spacecraft, walking on the surface, taking photographs, collecting material samples, and deploying automated scientific instruments, while continuously sending black-and-white television back to Earth. The astronauts returned safely on July 24. Production lunar landings In November 1969, Charles "Pete" Conrad became the third person to step onto the Moon, which he did while speaking more informally than had Armstrong: Conrad and rookie Alan L. Bean made a precision landing of Apollo 12 within walking distance of the Surveyor 3 uncrewed lunar probe, which had landed in April 1967 on the Ocean of Storms. The command module pilot was Gemini veteran Richard F. Gordon Jr. Conrad and Bean carried the first lunar surface color television camera, but it was damaged when accidentally pointed into the Sun. They made two EVAs totaling 7hours and 45 minutes. On one, they walked to the Surveyor, photographed it, and removed some parts which they returned to Earth. The contracted batch of 15 Saturn Vs was enough for lunar landing missions through Apollo 20. Shortly after Apollo 11, NASA publicized a preliminary list of eight more planned landing sites after Apollo 12, with plans to increase the mass of the CSM and LM for the last five missions, along with the payload capacity of the Saturn V. These final missions would combine the I and J types in the 1967 list, allowing the CMP to operate a package of lunar orbital sensors and cameras while his companions were on the surface, and allowing them to stay on the Moon for over three days. These missions would also carry the Lunar Roving Vehicle (LRV) increasing the exploration area and allowing televised liftoff of the LM. Also, the Block II spacesuit was revised for the extended missions to allow greater flexibility and visibility for driving the LRV. The success of the first two landings allowed the remaining missions to be crewed with a single veteran as commander, with two rookies. Apollo 13 launched Lovell, Jack Swigert, and Fred Haise in April 1970, headed for the Fra Mauro formation. But two days out, a liquid oxygen tank exploded, disabling the service module and forcing the crew to use the LM as a "lifeboat" to return to Earth. Another NASA review board was convened to determine the cause, which turned out to be a combination of damage of the tank in the factory, and a subcontractor not making a tank component according to updated design specifications. Apollo was grounded again, for the remainder of 1970 while the oxygen tank was redesigned and an extra one was added. Mission cutbacks About the time of the first landing in 1969, it was decided to use an existing Saturn V to launch the Skylab orbital laboratory pre-built on the ground, replacing the original plan to construct it in orbit from several Saturn IB launches; this eliminated Apollo 20. NASA's yearly budget also began to shrink in light of the successful landing, and NASA also had to make funds available for the development of the upcoming Space Shuttle. By 1971, the decision was made to also cancel missions 18 and 19. The two unused Saturn Vs became museum exhibits at the John F. Kennedy Space Center on Merritt Island, Florida, George C. Marshall Space Center in Huntsville, Alabama, Michoud Assembly Facility in New Orleans, Louisiana, and Lyndon B. Johnson Space Center in Houston, Texas. The cutbacks forced mission planners to reassess the original planned landing sites in order to achieve the most effective geological sample and data collection from the remaining four missions. Apollo 15 had been planned to be the last of the H series missions, but since there would be only two subsequent missions left, it was changed to the first of three J missions. Apollo 13's Fra Mauro mission was reassigned to Apollo 14, commanded in February 1971 by Mercury veteran Alan Shepard, with Stuart Roosa and Edgar Mitchell. This time the mission was successful. Shepard and Mitchell spent 33 hours and 31 minutes on the surface, and completed two EVAs totalling 9hours 24 minutes, which was a record for the longest EVA by a lunar crew at the time. In August 1971, just after conclusion of the Apollo 15 mission, President Richard Nixon proposed canceling the two remaining lunar landing missions, Apollo 16 and 17. Office of Management and Budget Deputy Director Caspar Weinberger was opposed to this, and persuaded Nixon to keep the remaining missions. Extended missions Apollo 15 was launched on July 26, 1971, with David Scott, Alfred Worden and James Irwin. Scott and Irwin landed on July 30 near Hadley Rille, and spent just under two days, 19 hours on the surface. In over 18 hours of EVA, they collected about of lunar material. Apollo 16 landed in the Descartes Highlands on April 20, 1972. The crew was commanded by John Young, with Ken Mattingly and Charles Duke. Young and Duke spent just under three days on the surface, with a total of over 20 hours EVA. Apollo 17 was the last of the Apollo program, landing in the Taurus–Littrow region in December 1972. Eugene Cernan commanded Ronald E. Evans and NASA's first scientist-astronaut, geologist Harrison H. Schmitt. Schmitt was originally scheduled for Apollo 18, but the lunar geological community lobbied for his inclusion on the final lunar landing. Cernan and Schmitt stayed on the surface for just over three days and spent just over 23 hours of total EVA. Canceled missions Several missions were planned for but were canceled before details were finalized. Mission summary Source: Apollo by the Numbers: A Statistical Reference (Orloff 2004) Samples returned The Apollo program returned over of lunar rocks and soil to the Lunar Receiving Laboratory in Houston. Today, 75% of the samples are stored at the Lunar Sample Laboratory Facility built in 1979. The rocks collected from the Moon are extremely old compared to rocks found on Earth, as measured by radiometric dating techniques. They range in age from about 3.2 billion years for the basaltic samples derived from the lunar maria, to about 4.6 billion years for samples derived from the highlands crust. As such, they represent samples from a very early period in the development of the Solar System, that are largely absent on Earth. One important rock found during the Apollo Program is dubbed the Genesis Rock, retrieved by astronauts David Scott and James Irwin during the Apollo 15 mission. This anorthosite rock is composed almost exclusively of the calcium-rich feldspar mineral anorthite, and is believed to be representative of the highland crust. A geochemical component called KREEP was discovered by Apollo 12, which has no known terrestrial counterpart. KREEP and the anorthositic samples have been used to infer that the outer portion of the Moon was once completely molten (see lunar magma ocean). Almost all the rocks show evidence of impact process effects. Many samples appear to be pitted with micrometeoroid impact craters, which is never seen on Earth rocks, due to the thick atmosphere. Many show signs of being subjected to high-pressure shock waves that are generated during impact events. Some of the returned samples are of impact melt (materials melted near an impact crater.) All samples returned from the Moon are highly brecciated as a result of being subjected to multiple impact events. From analyses of the composition of the returned lunar samples, it is now believed that the Moon was created through the impact of a large astronomical body with Earth. Costs Apollo cost $25.4 billion (or approximately $ in dollars when adjusted for inflation via the GDP deflator index). Of this amount, $20.2 billion ($ adjusted) was spent on the design, development, and production of the Saturn family of launch vehicles, the Apollo spacecraft, spacesuits, scientific experiments, and mission operations. The cost of constructing and operating Apollo-related ground facilities, such as the NASA human spaceflight centers and the global tracking and data acquisition network, added an additional $5.2 billion ($ adjusted). The amount grows to $28 billion ($ adjusted) if the costs for related projects such as Project Gemini and the robotic Ranger, Surveyor, and Lunar Orbiter programs are included. NASA's official cost breakdown, as reported to Congress in the Spring of 1973, is as follows: Accurate estimates of human spaceflight costs were difficult in the early 1960s, as the capability was new and management experience was lacking. Preliminary cost analysis by NASA estimated $7 billion – $12 billion for a crewed lunar landing effort. NASA Administrator James Webb increased this estimate to $20 billion before reporting it to Vice President Johnson in April 1961. Project Apollo was a massive undertaking, representing the largest research and development project in peacetime. At its peak, it employed over 400,000 employees and contractors around the country and accounted for more than half of NASA's total spending in the 1960s. After the first Moon landing, public and political interest waned, including that of President Nixon, who wanted to rein in federal spending. NASA's budget could not sustain Apollo missions which cost, on average, $445 million ($ adjusted) each while simultaneously developing the Space Shuttle. The final fiscal year of Apollo funding was 1973. Apollo Applications Program Looking beyond the crewed lunar landings, NASA investigated several post-lunar applications for Apollo hardware. The Apollo Extension Series (Apollo X) proposed up to 30 flights to Earth orbit, using the space in the Spacecraft Lunar Module Adapter (SLA) to house a small orbital laboratory (workshop). Astronauts would continue to use the CSM as a ferry to the station. This study was followed by design of a larger orbital workshop to be built in orbit from an empty S-IVB Saturn upper stage and grew into the Apollo Applications Program (AAP). The workshop was to be supplemented by the Apollo Telescope Mount, which could be attached to the ascent stage of the lunar module via a rack. The most ambitious plan called for using an empty S-IVB as an interplanetary spacecraft for a Venus fly-by mission. The S-IVB orbital workshop was the only one of these plans to make it off the drawing board. Dubbed Skylab, it was assembled on the ground rather than in space, and launched in 1973 using the two lower stages of a Saturn V. It was equipped with an Apollo Telescope Mount. Skylab's last crew departed the station on February 8, 1974, and the station itself re-entered the atmosphere in 1979 after development of the Space Shuttle was delayed too long to save it. The Apollo–Soyuz program also used Apollo hardware for the first joint nation spaceflight, paving the way for future cooperation with other nations in the Space Shuttle and International Space Station programs. Recent observations In 2008, Japan Aerospace Exploration Agency's SELENE probe observed evidence of the halo surrounding the Apollo 15 Lunar Module blast crater while orbiting above the lunar surface. Beginning in 2009, NASA's robotic Lunar Reconnaissance Orbiter, while orbiting above the Moon, photographed the remnants of the Apollo program left on the lunar surface, and each site where crewed Apollo flights landed. All of the U.S. flags left on the Moon during the Apollo missions were found to still be standing, with the exception of the one left during the Apollo 11 mission, which was blown over during that mission's lift-off from the lunar surface; the degree to which these flags retain their original colors remains unknown. The flags cannot be seen through a telescope from Earth. In a November 16, 2009, editorial, The New York Times opined: Legacy Science and engineering The Apollo program has been described as the greatest technological achievement in human history. Apollo stimulated many areas of technology, leading to over 1,800 spinoff products as of 2015, including advances in the development of cordless power tools, fireproof materials, heart monitors, solar panels, digital imaging, and the use of liquid methane as fuel. The flight computer design used in both the lunar and command modules was, along with the Polaris and Minuteman missile systems, the driving force behind early research into integrated circuits (ICs). By 1963, Apollo was using 60 percent of the United States' production of ICs. The crucial difference between the requirements of Apollo and the missile programs was Apollo's much greater need for reliability. While the Navy and Air Force could work around reliability problems by deploying more missiles, the political and financial cost of failure of an Apollo mission was unacceptably high. Technologies and techniques required for Apollo were developed by Project Gemini. The Apollo project was enabled by NASA's adoption of new advances in semiconductor electronic technology, including metal–oxide–semiconductor field-effect transistors (MOSFETs) in the Interplanetary Monitoring Platform (IMP) and silicon integrated circuit chips in the Apollo Guidance Computer (AGC). Cultural impact The crew of Apollo 8 sent the first live televised pictures of the Earth and the Moon back to Earth, and read from the creation story in the Book of Genesis, on Christmas Eve 1968. An estimated one-quarter of the population of the world saw—either live or delayed—the Christmas Eve transmission during the ninth orbit of the Moon, and an estimated one-fifth of the population of the world watched the live transmission of the Apollo 11 moonwalk. The Apollo program also affected environmental activism in the 1970s due to photos taken by the astronauts. The most well known include Earthrise, taken by William Anders on Apollo 8, and The Blue Marble, taken by the Apollo 17 astronauts. The Blue Marble was released during a surge in environmentalism, and became a symbol of the environmental movement as a depiction of Earth's frailty, vulnerability, and isolation amid the vast expanse of space. According to The Economist, Apollo succeeded in accomplishing President Kennedy's goal of taking on the Soviet Union in the Space Race by accomplishing a singular and significant achievement, to demonstrate the superiority of the free-market system. The publication noted the irony that in order to achieve the goal, the program required the organization of tremendous public resources within a vast, centralized government bureaucracy. Apollo 11 broadcast data restoration project Prior to Apollo 11's 40th anniversary in 2009, NASA searched for the original videotapes of the mission's live televised moonwalk. After an exhaustive three-year search, it was concluded that the tapes had probably been erased and reused. A new digitally remastered version of the best available broadcast television footage was released instead. Depictions on film Documentaries Numerous documentary films cover the Apollo program and the Space Race, including: Footprints on the Moon (1969) Moonwalk One (1970) The Greatest Adventure (1978) For All Mankind (1989) Moon Shot (1994 miniseries) "Moon" from the BBC miniseries The Planets (1999) Magnificent Desolation: Walking on the Moon 3D (2005) The Wonder of It All (2007) In the Shadow of the Moon (2007) When We Left Earth: The NASA Missions (2008 miniseries) Moon Machines (2008 miniseries) James May on the Moon (2009) NASA's Story (2009 miniseries) Apollo 11 (2019) Chasing the Moon (2019 miniseries) Docudramas Some missions have been dramatized: Apollo 13 (1995) Apollo 11 (1996) From the Earth to the Moon (1998) The Dish (2000) Space Race (2005) Moonshot (2009) First Man (2018) Fictional The Apollo program has been the focus of several works of fiction, including: Apollo 18 (2011), horror movie which was released to negative reviews. For All Mankind (2019), TV series depicting an alternate history in which the Soviet Union was the first country to successfully land a man on the Moon. Indiana Jones and the Dial of Destiny (2023), fifth movie about Indiana Jones, in which Jürgen Voller, a NASA member and ex-Nazi involved with the Apollo program, wishes to make the world into a better place as he sees fit. See also Apollo 11 in popular culture Apollo Lunar Surface Experiments Package Exploration of the Moon Leslie Cantwell collection List of artificial objects on the Moon List of crewed spacecraft Moon landing conspiracy theories Third-party evidence for Apollo Moon landings Soviet crewed lunar programs Stolen and missing Moon rocks Artemis Program Notes References Citations Sources Chaikin interviewed all the surviving astronauts and others who worked with the program. Further reading   NASA Report JSC-09423, April 1975 Astronaut Mike Collins autobiography of his experiences as an astronaut, including his flight aboard Apollo 11. Although this book focuses on Apollo 13, it provides a wealth of background information on Apollo technology and procedures. History of the Apollo program from Apollos 1–11, including many interviews with the Apollo astronauts. Gleick, James, "Moon Fever" [review of Oliver Morton, The Moon: A History of the Future; Apollo's Muse: The Moon in the Age of Photography, an exhibition at the Metropolitan Museum of Art, New York City, July 3 – September 22, 2019; Douglas Brinkley, American Moonshot: John F. Kennedy and the Great Space Race; Brandon R. Brown, The Apollo Chronicles: Engineering America's First Moon Missions; Roger D. Launius, Reaching for the Moon: A Short History of the Space Race; Apollo 11, a documentary film directed by Todd Douglas Miller; and Michael Collins, Carrying the Fire: An Astronaut's Journeys (50th Anniversary Edition)], The New York Review of Books, vol. LXVI, no. 13 (15 August 2019), pp. 54–58. Factual, from the standpoint of a flight controller during the Mercury, Gemini, and Apollo space programs. Details the flight of Apollo 13. Tells Grumman's story of building the lunar modules. History of the crewed space program from 1September 1960, to 5January 1968. Account of Deke Slayton's life as an astronaut and of his work as chief of the astronaut office, including selection of Apollo crews.   From origin to November 7, 1962   November 8, 1962 – September 30, 1964   October 1, 1964 – January 20, 1966   January 21, 1966 – July 13, 1974 The history of lunar exploration from a geologist's point of view. External links Apollo program history at NASA's Human Space Flight (HSF) website The Apollo Program at the NASA History Program Office The Apollo Program at the National Air and Space Museum Apollo 35th Anniversary Interactive Feature at NASA (in Flash) Lunar Mission Timeline at the Lunar and Planetary Institute Apollo Collection, The University of Alabama in Huntsville Archives and Special Collections NASA reports Apollo Program Summary Report (PDF), NASA, JSC-09423, April 1975 NASA History Series Publications Project Apollo Drawings and Technical Diagrams at the NASA History Program Office The Apollo Lunar Surface Journal edited by Eric M. Jones and Ken Glover The Apollo Flight Journal by W. David Woods, et al. Multimedia NASA Apollo Program images and videos Apollo Image Archive at Arizona State University Audio recording and transcript of President John F. Kennedy, NASA administrator James Webb, et al., discussing the Apollo agenda (White House Cabinet Room, November 21, 1962) The Project Apollo Archive by Kipp Teague is a large repository of Apollo images, videos, and audio recordings The Project Apollo Archive on Flickr Apollo Image Atlas—almost 25,000 lunar images, Lunar and Planetary Institute 1960s in the United States 1970s in the United States Articles containing video clips Engineering projects Exploration of the Moon Human spaceflight programs NASA programs Space program of the United States
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https://en.wikipedia.org/wiki/Assault
Assault
An assault is the illegal act of causing physical harm or unwanted physical contact to another person, or, in some legal definitions, the threat or attempt to do so. It is both a crime and a tort and, therefore, may result in criminal prosecution, civil liability, or both. Additionally, assault is a criminal act in which a person intentionally causes fear of physical harm or offensive contact to another person. Assault can be committed with or without a weapon and can range from physical violence to threats of violence. Assault is frequently referred to as an attempt to commit battery, which is the deliberate use of physical force against another person. The deliberate inflicting of fear, apprehension, or terror is another definition of assault that can be found in several legal systems. Depending on the severity of the offense, assault may result in a fine, imprisonment, or even death. Generally, the common law definition is the same in criminal and tort law. Traditionally, common law legal systems have separate definitions for assault and battery. When this distinction is observed, battery refers to the actual bodily contact, whereas assault refers to a credible threat or attempt to cause battery. Some jurisdictions combined the two offenses into a single crime called "assault and battery", which then became widely referred to as "assault". The result is that in many of these jurisdictions, assault has taken on a definition that is more in line with the traditional definition of battery. The legal systems of civil law and Scots law have never distinguished assault from battery. Legal systems generally acknowledge that assaults can vary greatly in severity. In the United States, an assault can be charged as either a misdemeanor or a felony. In England and Wales and Australia, it can be charged as either common assault, assault occasioning actual bodily harm (ABH) or grievous bodily harm (GBH). Canada also has a three-tier system: assault, assault causing bodily harm and aggravated assault. Separate charges typically exist for sexual assaults, affray and assaulting a police officer. Assault may overlap with an attempted crime; for example, an assault may be charged as attempted murder if it was done with intent to kill. Related definitions Battery Battery is a criminal offense that involves the use of physical force against another person without their consent. It is a type of assault and is considered a serious crime. Battery can include a wide range of actions, from slapping someone to causing serious harm or even death. Depending on the severity of the offense, it can carry a wide range of punishments, including jail time, fines, and probation. In jurisdictions that make a distinction between the two, assault usually accompanies battery if the assailant both threatens to make unwanted contact and then carries through with this threat. See common assault. The elements of battery are that it is a volitional act, done for the purpose of causing a harmful or offensive contact with another person or under circumstances that make such contact substantially certain to occur, and which causes such contact. Aggravated assault Aggravated assault is a violent crime that involves violence or the threat of violence. It is generally described as an intentional act that causes another person to fear imminent physical harm or injury. This can include the use of a weapon, or the threat of using a weapon. It is usually considered a felony offense and can carry severe penalties. Aggravated assault is often considered a very serious crime and can lead to long-term prison sentences. Aggravated assault is, in some jurisdictions, a stronger form of assault, usually using a deadly weapon. A person has committed an aggravated assault when that person attempts to: cause serious bodily injury to another person with a deadly weapon have sexual relations with a person who is under the age of consent cause bodily harm by recklessly operating a motor vehicle during road rage; often referred to as either vehicular assault or aggravated assault with a motor vehicle. Aggravated assault can also be charged in cases of attempted harm against police officers or other public servants. Defenses Although the range and precise application of defenses varies between jurisdictions, the following represents a list of the defenses that may apply to all levels of assault: Consent Exceptions exist to cover unsolicited physical contact which amount to normal social behavior known as de minimis harm. Assault can also be considered in cases involving the spitting on, or unwanted exposure of bodily fluids to others. Consent may be a complete or partial defense to assault. In some jurisdictions, most notably England, it is not a defense where the degree of injury is severe, as long as there is no legally recognized good reason for the assault. This can have important consequences when dealing with issues such as consensual sadomasochistic sexual activity, the most notable case being the Operation Spanner case. Legally recognized good reasons for consent include surgery, activities within the rules of a game (mixed martial arts, wrestling, boxing, or contact sports), bodily adornment (R v Wilson [1996] Crim LR 573), or horseplay (R v Jones [1987] Crim LR 123). However, any activity outside the rules of the game is not legally recognized as a defense of consent. In Scottish law, consent is not a defense for assault. Arrest and other official acts Police officers and court officials have a general power to use force for the purpose of performing an arrest or generally carrying out their official duties. Thus, a court officer taking possession of goods under a court order may use force if reasonably necessary. Punishment In some jurisdictions such as Singapore, judicial corporal punishment is part of the legal system. The officers who administer the punishment have immunity from prosecution for assault. In the United States, England, Northern Ireland, Australia and Canada, corporal punishment administered to children by their parent or legal guardian is not legally considered to be assault unless it is deemed to be excessive or unreasonable. What constitutes "reasonable" varies in both statutory law and case law. Unreasonable physical punishment may be charged as assault or under a separate statute for child abuse. In English law, s. 58 Children Act 2004 limits the availability of the lawful correction defense to common assault. This defence was abolished in Wales in 2022. Many countries, including some US states, also permit the use of corporal punishment for children in school. Prevention of crime This may or may not involve self-defense in that, using a reasonable degree of force to prevent another from committing a crime could involve preventing an assault, but it could be preventing a crime not involving the use of personal violence. Defense of property Some jurisdictions allow force to be used in defense of property, to prevent damage either in its own right, or under one or both of the preceding classes of defense in that a threat or attempt to damage property might be considered a crime (in English law, under s5 Criminal Damage Act 1971 it may be argued that the defendant has a lawful excuse to damage property during the defense and a defense under s3 Criminal Law Act 1967) subject to the need to deter vigilantes and excessive self-help. Furthermore, some jurisdictions, such as Ohio, allow residents in their homes to use force when ejecting an intruder. The resident merely needs to assert to the court that they felt threatened by the intruder's presence. Regional details The following are the countries with the most cases of assault according to the United Nations in 2018. Australia The term 'assault', when used in legislation, commonly refers to both common assault and battery, even though the two offences remain distinct. Common assault involves intentionally or recklessly causing a person to apprehend the imminent infliction of unlawful force, whilst battery refers to the actual infliction of force. Each state has legislation relating to the act of assault, and offences against the act that constitute assault are heard in the magistrates' court of that state or indictable offences are heard in a district or supreme court of that state. The legislation that defines assault of each state outline what the elements are that make up the assault, where the assault is sectioned in legislation or criminal codes, and the penalties that apply for the offence of assault. In New South Wales, the Crimes Act 1900 defines a range of assault offences deemed more serious than common assault and which attract heavier penalties. These include: Assault with further specific intent Acts done to the person with intent to murder Wounding or grievous bodily harm Use or possession of a weapon to resist arrest Assault causing certain injuries Actual bodily harm – the term is not defined in the Crimes Act, but case law indicates actual bodily harm may include injuries such as bruises and scratches, as well as psychological injuries if the injury inflicted is more than merely transient (the injury does not necessarily need to be permanent) Wounding – where there is breaking of the skin; Grievous bodily harm – which includes the destruction of a foetus, permanent or serious disfiguring, and transmission of a grievous bodily disease Assault causing death Death Death when intoxicated (in regards to the offender) Canada Assault is an offence under s. 265 of the Canadian Criminal Code. There is a wide range of the types of assault that can occur. Generally, an assault occurs when a person directly or indirectly applies force intentionally to another person without their consent. It can also occur when a person attempts to apply such force, or threatens to do so, without the consent of the other person. An injury need not occur for an assault to be committed, but the force used in the assault must be offensive in nature with an intention to apply force. It can be an assault to "tap", "pinch", "push", or direct another such minor action toward another, but an accidental application of force is not an assault. The potential punishment for an assault in Canada varies depending on the manner in which the charge proceeds through the court system and the type of assault that is committed. The Criminal Code defines assault as a dual offence (indictable or summary offence). Police officers can arrest someone without a warrant for an assault if it is in the public's interest to do so notwithstanding S.495(2)(d) of the Code. This public interest is usually satisfied by preventing a continuation or repetition of the offence on the same victim. Some variations on the ordinary crime of assault include: Assault: The offence is defined by section 265 of the Code. Assault with a weapon: Section 267(a) of the Code. Assault causing bodily harm: See assault causing bodily harm Section 267(b) of the Code. Aggravated assault: Section 268 of the Code. Assaulting a peace officer, etc.: Section 270 of the Code. Sexual assault: Section 271 of the Code. Sexual assault with a weapon or threats or causing bodily harm: Section 272 of the Code. Aggravated sexual assault: See aggravated sexual assault. An individual cannot consent to an assault with a weapon, assault causing bodily harm, aggravated assault, or any sexual assault. Consent will also be vitiated if two people consent to fight but serious bodily harm is intended and caused (R v Paice; R v Jobidon). A person cannot consent to serious bodily harm. Ancient Greece Assault in Ancient Greece was normally termed hubris. Contrary to modern usage, the term did not have the extended connotation of overweening pride, self-confidence or arrogance, often resulting in fatal retribution. In Ancient Greece, "hubris" referred to actions which, intentionally or not, shamed and humiliated the victim, and frequently the perpetrator as well. It was most evident in the public and private actions of the powerful and rich. Violations of the law against hubris included, what would today be termed, assault and battery; sexual crimes ranging from forcible rape of women or children to consensual but improper activities; or the theft of public or sacred property. Two well-known cases are found in the speeches of Demosthenes, a prominent statesman and orator in ancient Greece. These two examples occurred when first, in addition to other acts of violence, Meidias allegedly punched Demosthenes in the face in the theater (Against Meidias), and second (Against Konon), when the defendant allegedly severely beat him. Hubris, though not specifically defined, was a legal term and was considered a crime in classical Athens. It was also considered the greatest sin of the ancient Greek world. That was so because it not only was proof of excessive pride, but also resulted in violent acts by or to those involved. The category of acts constituting hubris for the ancient Greeks apparently broadened from the original specific reference to mutilation of a corpse, or a humiliation of a defeated foe, or irreverent, "outrageous treatment", in general. The meaning was eventually further generalized in its modern English usage to apply to any outrageous act or exhibition of pride or disregard for basic moral laws. Such an act may be referred to as an "act of hubris", or the person committing the act may be said to be hubristic. Atë, Greek for 'ruin, folly, delusion', is the action performed by the hero, usually because of their hubris, or great pride, that leads to their death or downfall. Crucial to this definition are the ancient Greek concepts of honor (timē) and shame. The concept of timē included not only the exaltation of the one receiving honor, but also the shaming of the one overcome by the act of hubris. This concept of honor is akin to a zero-sum game. Rush Rehm simplifies this definition to the contemporary concept of "insolence, contempt, and excessive violence". India The Indian Penal Code covers the punishments and types of assault in Chapter 16, sections 351 through 358. The Code further explains that "mere words do not amount to an assault. But the words which a person uses may give to their gestures or preparation such a meaning as may make those gestures or preparations amount to an assault". Assault is in Indian criminal law an attempt to use criminal force (with criminal force being described in s.350). The attempt itself has been made an offence in India, as in other states. Nigeria The Criminal Code Act (chapter 29 of Part V; sections 351 to 365) creates a number of offences of assault. Assault is defined by section 252 of that Act. Assault is a misdemeanor punishable by one year imprisonment; assault with "intent to have carnal knowledge of him or her" or who indecently assaults another, or who commits other more-serious variants of assault (as defined in the Act) are guilty of a felony, and longer prison terms are provided for. Pacific Islands Marshall Islands The offence of assault is created by section 113 of the Criminal Code. A person is guilty of this offence if they unlawfully offer or attempt, with force or violence, to strike, beat, wound, or do bodily harm to, another. Republic of Ireland Section 2 of the Non-Fatal Offences against the Person Act 1997 creates the offence of assault, and section 3 of that Act creates the offence of assault causing harm. South Africa South African law does not draw the distinction between assault and battery. Assault is a common law crime defined as "unlawfully and intentionally applying force to the person of another, or inspiring a belief in that other that force is immediately to be applied to him". The law also recognises the crime of assault with intent to cause grievous bodily harm, where grievous bodily harm is defined as "harm which in itself is such as seriously to interfere with health". The common law crime of indecent assault was repealed by the Criminal Law (Sexual Offences and Related Matters) Amendment Act, 2007, and replaced by a statutory crime of sexual assault. United Kingdom Piracy with violence Section 2 of the Piracy Act 1837 provides that it is an offence, amongst other things, for a person, with intent to commit or at the time of or immediately before or immediately after committing the crime of piracy in respect of any ship or vessel, to assault, with intent to murder, any person being on board of or belonging to such ship or vessel. Assault on an officer of Revenue and Customs This offence (relating to officers of HMRC) is created by section 32(1) of the Commissioners for Revenue and Customs Act 2005. Assaulting an immigration officer This offence is created by section 22(1) of the UK Borders Act 2007. Assaulting an accredited financial investigator This section is created by section 453A of the Proceeds of Crime Act 2002. Assaulting a member of an international joint investigation team This offence is created by section 57(2) of the Serious Organised Crime and Police Act 2005. Attacks on internationally protected persons Section 1(1)(a) of the Internationally Protected Persons Act 1978 (c.17) makes provision for assault occasioning actual bodily harm or causing injury on "protected persons" (including Heads of State). Attacks on UN Staff workers Section 1(2)(a) of the United Nations Personnel Act 1997 (c.13) makes provision for assault causing injury, and section 1(2)(b) makes provision for assault occasioning actual bodily harm, on UN staff. Assault by person committing an offence under the Night Poaching Act 1828 This offence is created by section 2 of the Night Poaching Act 1828. Abolished offences: Assault on customs and excise officers, etc. Section 16(1)(a) of the Customs and Excise Management Act 1979 (c.2) provided that it was an offence to, amongst other things, assault any person duly engaged in the performance of any duty or the exercise of any power imposed or conferred on him by or under any enactment relating to an assigned matter, or any person acting in his aid. For the meaning of "assault" in this provision, see Logdon v. DPP [1976] Crim LR 121, DC. This offence was abolished and replaced by the Commissioners for Revenue and Customs Act 2005. Assaulting a person designated under section 43 of the Serious Organised Crime and Police Act 2005 This offence was created by section 51(1) of the Serious Organised Crime and Police Act 2005. It related to officers of the Serious Organized Crime Agency and was repealed when that agency was abolished. England and Wales English law provides for two offences of assault: common assault and battery. Assault (or common assault) is committed if one intentionally or recklessly causes another person to apprehend immediate and unlawful personal violence. Violence in this context means any unlawful touching, though there is some debate over whether the touching must also be hostile. The terms "assault" and "common assault" often encompass the separate offence of battery, even in statutory settings such as s 40(3)(a) of the Criminal Justice Act 1988. A common assault is an assault that lacks any of the aggravating features which Parliament has deemed serious enough to deserve a higher penalty. Section 39 of the Criminal Justice Act 1988 provides that common assault, like battery, is triable only in the magistrates' court in England and Wales (unless it is linked to a more serious offence, which is triable in the Crown Court). Additionally, if a defendant has been charged on an indictment with assault occasioning actual bodily harm (ABH), or racially/religiously aggravated assault, then a jury in the Crown Court may acquit the defendant of the more serious offence, but still convict of common assault if it finds common assault has been committed. Aggravated assault An assault which is aggravated by the scale of the injuries inflicted may be charged as offences causing "actual bodily harm" (ABH) or, in the severest cases, "grievous bodily harm" (GBH). Assault occasioning actual bodily harm This offence is created by section 47 of the Offences against the Person Act 1861. Inflicting grievous bodily harm Also referred to as "malicious wounding" or "unlawful wounding". This offence is created by section 20 of the Offences against the Person Act 1861. Causing grievous bodily harm with intent Also referred to as "wounding with intent". This offence is created by section 18 of the Offences against the Person Act 1861. Other aggravated assault charges refer to assaults carried out against a specific target or with a specific intent: Assault with intent to rob The penalty for assault with intent to rob, a common law offence, is provided by section 8(2) of the Theft Act 1968. Racially or religiously aggravated common assault This offence is created by section 29(1)(c) of the Crime and Disorder Act 1998, defined in terms of the common law offence. Racially or religiously aggravated assault occasioning actual bodily harm This offence is created by section 29(1)(b) of the Crime and Disorder Act 1998, defined in terms of the common law offence. Assault with intent to resist arrest This offence is created by section 38 of the Offences against the Person Act 1861. Assaulting a constable in the execution of his duty Section 89(1) of the Police Act 1996 provides that it is an offence for a person to assault a constable acting in the execution of his duty or a person assisting a constable in the execution of his duty. It is a summary offence with the same maximum penalty as common assault. Assaulting a traffic officer This offence is created by section/10 section 10(1) of the Traffic Management Act 2004. Assaulting a person designated or accredited under sections 38 or 39 or 41 or 41A of the Police Reform Act 2002 This offence is created by section/46 section 46(1) of the Police Reform Act 2002. Those sections relate respectively to persons given police powers by a chief police officer, detention contractors retained by police, accredited contractors under a community safety accreditation scheme, and weights and measures inspectors. Assault on a prison custody officer This offence is created by section 90(1) of the Criminal Justice Act 1991 (c.53). Assault on a secure training centre custody officer This offence is created by section 13(1) of the Criminal Justice and Public Order Act 1994 (c.33). Assault on officer saving wreck This offence is created by section 37 of the Offences against the Person Act 1861. Assaulting an officer of the court This offence is created by section 14(1)(b) of the County Courts Act 1984. Cruelty to persons under sixteen This offence is created by section 1(1) of the Children and Young Persons Act 1933 and applies to a person who has responsibility for the child. In England (but not Wales since 2022), common law provides a defence of "reasonable punishment" to battery (i.e. assaults involving touching); the Children Act 2004 limits the defence to exclude, among other offences, cruelty under the 1933 Act, but not battery, which implies that smacking is not always to be considered cruelty. Sexual assault The offence of sexual assault is created by section 3 of the Sexual Offences Act 2003. It is not defined in terms of the offences of common assault or battery. It instead requires intentional touching and the absence of a reasonable belief in consent. Assault by penetration This offence is defined by section 2 of the Sexual Offences Act 2003. Whereas rape consists only of penetration with the perpetrator's penis, assault by penetration can be committed with anything, though unlike rape it excludes penetration of the mouth. It carries the same maximum sentence of life imprisonment. Assault on an emergency worker The Assaults on Emergency Workers (Offences) Act 2018 makes common assault an either way offence (section 1) when committed against an emergency worker (defined in section 3), with a maximum sentence of two years' imprisonment if tried on indictment. The Act did not repeal any enactments, so the existing offence of assault on a constable is still available, but that offence cannot be tried on indictment and is therefore limited to six months. Scotland In Scots law, assault is defined as an "attack upon the person of another". There is no distinction made in Scotland between assault and battery (which is not a term used in Scots law), although, as in England and Wales, assault can be occasioned without a physical attack on another's person, as demonstrated in Atkinson v. HM Advocate wherein the accused was found guilty of assaulting a shop assistant by simply jumping over a counter wearing a ski mask. The court said: Scots law also provides for a more serious charge of aggravated assault on the basis of such factors as severity of injury, the use of a weapon, or Hamesucken (to assault a person in their own home). The mens rea for assault is simply "evil intent", although this has been held to mean no more than that assault "cannot be committed accidentally or recklessly or negligently" as upheld in Lord Advocate's Reference No 2 of 1992 where it was found that a "hold-up" in a shop justified as a joke would still constitute an offence. It is a separate offence to assault on a constable in the execution of their duty, under Section 90, Police and Fire Reform (Scotland) Act 2012 (previously Section 41 of the Police (Scotland) Act 1967) which provides that it is an offence for a person to, amongst other things, assault a constable in the execution of their duty or a person assisting a constable in the execution of their duty. Northern Ireland Several offences of assault exist in Northern Ireland. The Offences against the Person Act 1861 creates the offences of: Common assault and battery: a summary offence, under section 42; Aggravated assault and battery: a summary offence, under section 43 Common assault: under section 47 Assault occasioning actual bodily harm: under section 47 The Criminal Justice (Miscellaneous Provisions) Act (Northern Ireland) 1968 creates the offences of: Assault with intent to resist arrest: under section 7(1)(b); this offence was formerly created by s.38 of the OAPA 1861. That Act formerly created the offence of 'Assault on a constable in the execution of his duty'. under section 7(1)(a), but that section has been superseded by section 66(1) of the Police (Northern Ireland) Act 1998 (c.32) which now provides that it is an offence for a person to, amongst other things, assault a constable in the execution of his duty, or a person assisting a constable in the execution of his duty. United States In the United States, assault may be defined as an attempt to commit a battery. However, the crime of assault can encompass acts in which no battery is intended, but the defendant's act nonetheless creates reasonable fear in others that a battery will occur. Four elements were required at common law: The apparent, present ability to carry out; An unlawful attempt; To commit a violent injury; Upon another. As the criminal law evolved, element one was weakened in most jurisdictions so that a reasonable fear of bodily injury would suffice. These four elements were eventually codified in most states. The crime of assault generally requires that both the perpetrator and the victim of an assault be a natural person. Thus, unless the attack is directed by a person, an animal attack does not constitute an assault. However, under limited circumstances the Unborn Victims of Violence Act of 2004 treats a fetus as a separate person for the purposes of assault and other violent crimes. Possible examples of defenses, mitigating circumstances, or failures of proof that may be raised in response to an assault charge include: Lack of intent: A defendant could argue that since they were drunk, they could not form the specific intent to commit assault. This defense would most likely fail, however, since only involuntary intoxication is accepted as a defense in most American jurisdictions. Mutual consent: A defendant could also argue that they were engaged in mutually consensual behavior. For example, boxers who are fighting in an organized boxing match and do not significantly deviate from the rules of the sport cannot be charged with assault. State laws Laws on assault vary by state. Since each state has its own criminal laws, there is no universal assault law. Acts classified as assault in one state may be classified as battery, menacing, intimidation, reckless endangerment, etc. in another state. Assault is often subdivided into two categories, simple assault and aggravated assault. Simple assault involves an intentional act that causes another person to be in reasonable fear of an imminent battery. Simple assault may also involve an attempt to cause harm to another person, where that attempt does not succeed. Simple assault is typically classified as a misdemeanor offense, unless the victim is a member of a protected class, such as being a law enforcement officer. Even as a misdemeanor, an assault conviction may still result in incarceration and in a criminal record. Aggravated assault involves more serious actions, such as an assault that is committed with the intent to cause a serious bodily injury, or an assault that is committed with a deadly weapon such as a firearm. Aggravated assault is typically classified as a felony offense. Modern American statutes may define assault as including: an attempt to cause or purposely, knowingly, or recklessly causing bodily injury to another negligently causing bodily injury to another with a dangerous weapon (assault with a deadly weapon). causing bodily harm by reckless operation of a motor vehicle (vehicular assault). threatening another in a menacing manner. knowingly causing physical contact with another person knowing the other person will regard the contact as offensive or provocative causing stupor, unconsciousness or physical injury by intentionally administering a drug or controlled substance without consent purposely or knowingly causing reasonable apprehension of bodily injury in another any act which is intended to place another in fear of immediate physical contact which will be painful, injurious, insulting, or offensive, coupled with the apparent ability to execute the act. In some states, consent is a complete defense to assault. In other jurisdictions, mutual consent is an incomplete defense to an assault charge such that an assault charge is prosecuted as a less significant offense such as a petty misdemeanor. States vary on whether it is possible to commit an "attempted assault" since it can be considered a double inchoate offense. Kansas In Kansas the law on assault states: New York In New York State, assault (as defined in the New York State Penal Code Article 120) requires an actual injury. Other states define this as battery; there is no crime of battery in New York. However, in New York if a person threatens another person with imminent injury without engaging in physical contact, that is called "menacing". A person who engages in that behavior is guilty of aggravated harassment in the second degree (a Class A misdemeanor; punishable with up to one year incarceration, probation for an extended time, and a permanent criminal record) when they threaten to cause physical harm to another person, and guilty of aggravated harassment in the first degree (a Class E felony) if they have a previous conviction for the same offense. New York also has specific laws against hazing, when such threats are made as requirement to join an organization. North Dakota North Dakota law states: Pennsylvania In Pennsylvania, an offender can be charged with simple assault if they: injure someone else recklessly, knowingly, or purposefully accidentally injure someone with a firearm or weapon cause a needle-stick to an officer or correctional employee during a search or arrest threaten or intimidate someone causing fear of imminent serious bodily injury A person convicted of simple assault can be ordered to up to two years in prison as a second-degree misdemeanor. An offender can be charged with aggravated assault if the offender: demonstrates extreme indifference to the victim's life injures or threatens to injure a law enforcement officer, correctional officer, firefighter, police officer, or teacher on duty, or for incapacitating any of these individuals A person convicted of aggravated assault can face up to 10 years in prison as a second-degree felony. However, if the crime is perpetrated against a firefighter or police officer, the offender may face first-degree felony charges carrying a penalty of up to 20 years in prison. Tennessee In Tennessee assault is defined as follows: See also Domestic violence Gay bashing Hate crime Mayhem Offences Against the Person Act 1861 Citations General and cited references External links A guide to the non fatal offences against the person Crimes
1486
https://en.wikipedia.org/wiki/Alemanni
Alemanni
The Alemanni or Alamanni were a confederation of Germanic tribes on the Upper Rhine River during the first millennium. First mentioned by Cassius Dio in the context of the campaign of Roman emperor Caracalla of 213, the Alemanni captured the in 260, and later expanded into present-day Alsace and northern Switzerland, leading to the establishment of the Old High German language in those regions, which by the eighth century were collectively referred to as Alamannia. In 496, the Alemanni were conquered by the Frankish leader Clovis and incorporated into his dominions. Mentioned as still pagan allies of the Christian Franks, the Alemanni were gradually Christianized during the seventh century. The is a record of their customary law during this period. Until the eighth century, Frankish suzerainty over Alemannia was mostly nominal. After an uprising by Theudebald, Duke of Alamannia, however, Carloman executed the Alamannic nobility and installed Frankish dukes. During the later and weaker years of the Carolingian Empire, the Alemannic counts became almost independent, and a struggle for supremacy took place between them and the Bishopric of Constance. The chief family in Alamannia was that of the counts of , who were sometimes called margraves, and one of whom, Burchard II, established the Duchy of Swabia, which was recognized by Henry the Fowler in 919 and became a stem duchy of the Holy Roman Empire. The area settled by the Alemanni corresponds roughly to the area where Alemannic German dialects remain spoken, including German Swabia and Baden, French Alsace, German-speaking Switzerland, Liechtenstein and Austrian Vorarlberg. The French-language name of Germany, , is derived from their name, from Old French aleman(t), and from French was loaned into a number of other languages, including Middle English, which commonly used the term Almains for Germans. Likewise, the Arabic name for Germany is (Almania), the Turkish is Almanya, the Spanish is Alemania, the Portuguese is Alemanha, the Welsh is Yr Almaen and the Persian is (Alman). Name According to Gaius Asinius Quadratus (quoted in the mid-sixth century by Byzantine historian Agathias), the name Alamanni (Ἀλαμανοι) means "all men". It indicates that they were a conglomeration drawn from various Germanic tribes. The Romans and the Greeks called them as such (Alamanni, all men, in the sense of a group composed of men of all groups in the region). This derivation was accepted by Edward Gibbon, in his Decline and Fall of the Roman Empire and by the anonymous contributor of notes assembled from the papers of Nicolas Fréret, published in 1753. This etymology has remained the standard derivation of the name. An alternative suggestion proposes derivation from *alah "sanctuary". Walafrid Strabo in the ninth century remarked, in discussing the people of Switzerland and the surrounding regions, that only foreigners called them the Alemanni, but that they gave themselves the name of Suebi. The Suebi are given the alternative name of Ziuwari (as Cyuuari) in an Old High German gloss, interpreted by Jacob Grimm as Martem colentes ("worshippers of Mars"). Annio da Viterbo a scholar and historian of the 15th century claimed the Alemanni had their name from the Hebrew language, as in Hebrew the river Rhine was translated into Mannum and the people who live at its shores were called Alemannus. This was refuted by Beatus Rhenanus, a humanist of the 16th century. Rhenanus argued the term Alemanni was meant for the whole Germanic people only in late antiquity and before it was only meant to designate the population of an island in the North Sea. First appearance in historical record Early Roman writers did not mention the Alemanni, and it is likely that they had not yet come to exist. In his Germania Tacitus (AD 90) does not mention the Alemanni. He uses the term Agri Decumates to describe the region between the Rhine, Main and Danube rivers. He says that it had once been the home of the Helvetians, who had moved westwards into Gaul in the time of Julius Caesar. The people living there in Caesar's time are not Germanic. Instead, "Reckless adventurers from Gaul, emboldened by want, occupied this land of questionable ownership. After a while, our frontier having been advanced, and our military positions pushed forward, it was regarded as a remote nook of our empire and a part of a Roman province." The Alemanni were first mentioned by Cassius Dio describing the campaign of Caracalla in 213. At that time, they apparently dwelt in the basin of the Main, to the south of the Chatti. Cassius Dio portrays the Alemanni as victims of this treacherous emperor. They had asked for his help, according to Dio, but instead he colonized their country, changed their place names, and executed their warriors under a pretext of coming to their aid. When he became ill, the Alemanni claimed to have put a hex on him. Caracalla, it was claimed, tried to counter this influence by invoking his ancestral spirits. In retribution, Caracalla then led the Legio II Traiana Fortis against the Alemanni, who lost and were pacified for a time. The legion was as a result honored with the name Germanica. The fourth-century fictional Historia Augusta, Life of Antoninus Caracalla, relates (10.5) that Caracalla then assumed the name Alemannicus, at which Helvius Pertinax jested that he should really be called Geticus Maximus, because in the year before he had murdered his brother, Geta. Through much of his short reign, Caracalla was known for unpredictable and arbitrary operations launched by surprise after a pretext of peace negotiations. If he had any reasons of state for such actions, they remained unknown to his contemporaries. Whether or not the Alemanni had been previously neutral, they were certainly further influenced by Caracalla to become thereafter notoriously implacable enemies of Rome. This mutually antagonistic relationship is perhaps the reason why the Roman writers persisted in calling the Alemanni ”barbari," meaning "savages." The archaeology, however, shows that they were largely Romanized, lived in Roman-style houses and used Roman artifacts, the Alemannic women having adopted the Roman fashion of the tunica even earlier than the men. Most of the Alemanni were probably at the time, in fact, resident in or close to the borders of Germania Superior. Although Dio is the earliest writer to mention them, Ammianus Marcellinus used the name to refer to Germans on the Limes Germanicus in the time of Trajan's governorship of the province shortly after it was formed, around 98-99 AD. At that time, the entire frontier was being fortified for the first time. Trees from the earliest fortifications found in Germania Inferior are dated by dendrochronology to 99-100 AD. Ammianus relates (xvii.1.11) that much later the Emperor Julian undertook a punitive expedition against the Alemanni, who by then were in Alsace, and crossed the Main (Latin Menus), entering the forest, where the trails were blocked by felled trees. As winter was upon them, they reoccupied a "fortification which was founded on the soil of the Alemanni that Trajan wished to be called with his own name". In this context, the use of Alemanni is possibly an anachronism, but it reveals that Ammianus believed they were the same people, which is consistent with the location of the Alemanni of Caracalla's campaigns. Conflicts with the Roman Empire The Alemanni were continually engaged in conflicts with the Roman Empire in the third and fourth centuries. They launched a major invasion of Gaul and northern Italy in 268, when the Romans were forced to denude much of their German frontier of troops in response to a massive invasion of the Goths from the east. Their raids throughout the three parts of Gaul were traumatic: Gregory of Tours (died ca 594) mentions their destructive force at the time of Valerian and Gallienus (253–260), when the Alemanni assembled under their "king", whom he calls Chrocus, who acted "by the advice, it is said, of his wicked mother, and overran the whole of the Gauls, and destroyed from their foundations all the temples which had been built in ancient times. And coming to Clermont he set on fire, overthrew and destroyed that shrine which they call Vasso Galatae in the Gallic tongue," martyring many Christians (Historia Francorum Book I.32–34). Thus sixth-century Gallo-Romans of Gregory's class, surrounded by the ruins of Roman temples and public buildings, attributed the destruction they saw to the plundering raids of the Alemanni. In the early summer of 268, the Emperor Gallienus halted their advance into Italy, but then had to deal with the Goths. When the Gothic campaign ended in Roman victory at the Battle of Naissus in September, Gallienus' successor Claudius Gothicus turned north to deal with the Alemanni, who were swarming over all Italy north of the Po River. After efforts to secure a peaceful withdrawal failed, Claudius forced the Alemanni to battle at the Battle of Lake Benacus in November. The Alemanni were routed, forced back into Germany, and did not threaten Roman territory for many years afterwards. Their most famous battle against Rome took place in Argentoratum (Strasbourg), in 357, where they were defeated by Julian, later Emperor of Rome, and their king Chnodomarius was taken prisoner to Rome. On January 2, 366, the Alemanni yet again crossed the frozen Rhine in large numbers, to invade the Gallic provinces, this time being defeated by Valentinian (see Battle of Solicinium). In the great mixed invasion of 406, the Alemanni appear to have crossed the Rhine river a final time, conquering and then settling what is today Alsace and a large part of the Swiss Plateau. The crossing is described in Wallace Breem's historical novel Eagle in the Snow. The Chronicle of Fredegar gives the account. At Alba Augusta (Alba-la-Romaine) the devastation was so complete, that the Christian bishop retired to Viviers, but in Gregory's account at Mende in Lozère, also deep in the heart of Gaul, bishop Privatus was forced to sacrifice to idols in the very cave where he was later venerated. It is thought this detail may be a generic literary ploy to epitomize the horrors of barbarian violence. List of battles between Romans and Alemanni 259, Battle of MediolanumEmperor Gallienus defeats the Alemanni to rescue Rome 268, Battle of Lake BenacusRomans under Emperor Claudius II defeat the Alemanni. 271 Battle of PlacentiaEmperor Aurelian is defeated by the Alemanni forces invading Italy Battle of FanoAurelian defeats the Alemanni, who begin to retreat from Italy Battle of PaviaAurelian destroys the retreating Alemanni army. 298 Battle of LingonesCaesar Constantius Chlorus defeats the Alemanni Battle of VindonissaConstantius defeats the Alemanni. 356, Battle of ReimsCaesar Julian is defeated by the Alemanni 357, Battle of StrasbourgJulian expels the Alemanni from the Rhineland 368, Battle of SoliciniumRomans under Emperor Valentinian I defeat an Alemanni incursion. 378, Battle of ArgentovariaWestern Emperor Gratianus is victorious over the Alemanni. 451, Battle of the Catalaunian FieldsRoman General Aetius and his army of Romans and barbarian allies defeat Attila's army of Huns and other Germanic allies, including the Alemanni. 457, Battle of Campi CanniniAlemanni invade Italy and are defeated near Lake Maggiore by Majorian 554, Battle of the VolturnusByzantine General Narses defeats a combined force of Franks and Alemanni in southern Italy. Subjugation by the Franks The kingdom of Alamannia between Strasbourg and Augsburg lasted until 496, when the Alemanni were conquered by Clovis I at the Battle of Tolbiac. The war of Clovis with the Alemanni forms the setting for the conversion of Clovis, briefly treated by Gregory of Tours. (Book II.31) After their defeat in 496, the Alemanni bucked the Frankish yoke and put themselves under the protection of Theodoric the Great of the Ostrogoths but after his death they were again subjugated by the Franks under Theudebert I in 536. Subsequently, the Alemanni formed part of the Frankish dominions and were governed by a Frankish duke. In 746, Carloman ended an uprising by summarily executing all Alemannic nobility at the blood court at Cannstatt, and for the following century, Alemannia was ruled by Frankish dukes. Following the treaty of Verdun of 843, Alemannia became a province of the eastern kingdom of Louis the German, the precursor of the Holy Roman Empire. The duchy persisted until 1268. Culture Language The German spoken today over the range of the former Alemanni is termed Alemannic German, and is recognised among the subgroups of the High German languages. Alemannic runic inscriptions such as those on the Pforzen buckle are among the earliest testimonies of Old High German. The High German consonant shift is thought to have originated around the fifth century either in Alemannia or among the Lombards; before that the dialect spoken by Alemannic tribes was little different from that of other West Germanic peoples. Alemannia lost its distinct jurisdictional identity when Charles Martel absorbed it into the Frankish empire, early in the eighth century. Today, Alemannic is a linguistic term, referring to Alemannic German, encompassing the dialects of the southern two thirds of Baden-Württemberg (German State), in western Bavaria (German State), in Vorarlberg (Austrian State), Swiss German in Switzerland and the Alsatian language of the Alsace (France). Political organization The Alemanni established a series of territorially defined pagi (cantons) on the east bank of the Rhine. The exact number and extent of these pagi is unclear and probably changed over time. Pagi, usually pairs of pagi combined, formed kingdoms (regna) which, it is generally believed, were permanent and hereditary. Ammianus describes Alemanni rulers with various terms: reges excelsiores ante alios ("paramount kings"), reges proximi ("neighbouring kings"), reguli ("petty kings") and regales ("princes"). This may be a formal hierarchy, or they may be vague, overlapping terms, or a combination of both. In 357, there appear to have been two paramount kings (Chnodomar and Westralp) who probably acted as presidents of the confederation and seven other kings (reges). Their territories were small and mostly strung along the Rhine (although a few were in the hinterland). It is possible that the reguli were the rulers of the two pagi in each kingdom. Underneath the royal class were the nobles (called optimates by the Romans) and warriors (called armati by the Romans). The warriors consisted of professional warbands and levies of free men. Each nobleman could raise an average of c. 50 warriors. Religion The Christianization of the Alemanni took place during Merovingian times (sixth to eighth centuries). We know that in the sixth century, the Alemanni were predominantly pagan, and in the eighth century, they were predominantly Christian. The intervening seventh century was a period of genuine syncretism during which Christian symbolism and doctrine gradually grew in influence. Some scholars have speculated that members of the Alemannic elite such as king Gibuld due to Visigothic influence may have been converted to Arianism even in the later fifth century. In the mid-6th century, the Byzantine historian Agathias records, in the context of the wars of the Goths and Franks against Byzantium, that the Alemanni fighting among the troops of Frankish king Theudebald were like the Franks in all respects except religion, since He also spoke of the particular ruthlessness of the Alemanni in destroying Christian sanctuaries and plundering churches while the genuine Franks were respectful towards those sanctuaries. Agathias expresses his hope that the Alemanni would assume better manners through prolonged contact with the Franks, which is by all appearances, in a manner of speaking, what eventually happened. Apostles of the Alemanni were Columbanus and his disciple Saint Gall. Jonas of Bobbio records that Columbanus was active in Bregenz, where he disrupted a beer sacrifice to Wodan. Despite these activities, for some time, the Alemanni seem to have continued their pagan cult activities, with only superficial or syncretistic Christian elements. In particular, there is no change in burial practice, and tumulus warrior graves continued to be erected throughout Merovingian times. Syncretism of traditional Germanic animal-style with Christian symbolism is also present in artwork, but Christian symbolism becomes more and more prevalent during the seventh century. Unlike the later Christianization of the Saxons and of the Slavs, the Alemanni seem to have adopted Christianity gradually, and voluntarily, spread in emulation of the Merovingian elite. From c. the 520s to the 620s, there was a surge of Alemannic Elder Futhark inscriptions. About 70 specimens have survived, roughly half of them on fibulae, others on belt buckles (see Pforzen buckle, Bülach fibula) and other jewelry and weapon parts. Use of runes subsides with the advance of Christianity. The Nordendorf fibula (early seventh century) clearly records pagan theonyms, logaþorewodanwigiþonar read as "Wodan and Donar are magicians/sorcerers", but this may be interpreted as either a pagan invocation of the powers of these deities, or a Christian protective charm against them. A runic inscription on a fibula found at Bad Ems reflects Christian pious sentiment (and is also explicitly marked with a Christian cross), reading god fura dih deofile ᛭ ("God for/before you, Theophilus!", or alternatively "God before you, Devil!"). Dated to between AD 660 and 690, it marks the end of the native Alemannic tradition of runic literacy. Bad Ems is in Rhineland-Palatinate, on the northwestern boundary of Alemannic settlement, where Frankish influence would have been strongest. The establishment of the bishopric of Konstanz cannot be dated exactly and was possibly undertaken by Columbanus himself (before 612). In any case, it existed by 635, when Gunzo appointed John of Grab bishop. Constance was a missionary bishopric in newly converted lands, and did not look back on late Roman church history unlike the Raetian bishopric of Chur (established 451) and Basel (an episcopal seat from 740, and which continued the line of Bishops of Augusta Raurica, see Bishop of Basel). The establishment of the church as an institution recognized by worldly rulers is also visible in legal history. In the early seventh century Pactus Alamannorum hardly ever mentions the special privileges of the church, while Lantfrid's Lex Alamannorum of 720 has an entire chapter reserved for ecclesial matters alone. Genetics A genetic study published in Science Advances in September 2018 examined the remains of eight individuals buried at a seventh-century Alemannic graveyard in Niederstotzingen, Germany. This is the richest and most complete Alemannic graveyard ever found. The highest ranking individual at the graveyard was a male with Frankish grave goods. Four males were found to be closely related to him. They were all carriers of types of the paternal haplogroup R1b1a2a1a1c2b2b. A sixth male was a carrier of the paternal haplogroup R1b1a2a1a1c2b2b1a1 and the maternal haplogroup U5a1a1. Along with the five closely related individuals, he displayed close genetic links to northern and eastern Europe, particularly Lithuania and Iceland. Two individuals buried at the cemetery were found to be genetically different from both the others and each other, displaying genetic links to Southern Europe, particularly northern Italy and Spain. Along with the sixth male, they might have been adoptees or slaves. See also Annales Alamannici List of rulers of Alamannia List of confederations of Germanic tribes Armalausi Varisci Helvetii Charietto References Sources Ammianus Marcellinus, passim O. Bremer in H. Paul, Grundriss der germanischen Philologie (2nd ed., Strassburg, 1900), vol. iii. pp. 930 ff. Dio Cassius lxvii. ff. Ian Wood (ed.), Franks and Alamanni in the Merovingian Period: An Ethnographic Perspective (Studies in Historical Archaeoethnology), Boydell & Brewer Ltd, 2003, . Melchior Goldast, Rerum Alamannicarum scriptores (1606, 2nd ed. Senckenburg 1730) Gregory of Tours, Historia Francorum, book ii. C. Zeuss, Die Deutschen und die Nachbarstämme (Munich, 1837), pp. 303 ff. External links The Agri Decumates The Alemanni The Military Orientation of the Roman Emperors Septimius Severus to Gallienus (146–268 C.E.) Brauchtum und Masken Alemannic Fastnacht Early Germanic peoples German tribes
1490
https://en.wikipedia.org/wiki/August%2017
August 17
Events Pre-1600 310 – Pope Eusebius dies, possibly from a hunger strike, shortly after being banished by the Emperor Maxentius to Sicily. 682 – Pope Leo II begins his pontificate. 986 – Byzantine–Bulgarian wars: Battle of the Gates of Trajan: The Bulgarians under the Comitopuli Samuel and Aron defeat the Byzantine forces at the Gate of Trajan, with Byzantine Emperor Basil II barely escaping. 1186 – Georgenberg Pact: Ottokar IV, Duke of Styria and Leopold V, Duke of Austria sign a heritage agreement in which Ottokar gives his duchy to Leopold and to his son Frederick under the stipulation that Austria and Styria would henceforth remain undivided. 1386 – Karl Topia, the ruler of Princedom of Albania forges an alliance with the Republic of Venice, committing to participate in all wars of the Republic and receiving coastal protection against the Ottomans in return. 1424 – Hundred Years' War: Battle of Verneuil: An English force under John, Duke of Bedford defeats a larger French army under Jean II, Duke of Alençon, John Stewart, and Earl Archibald of Douglas. 1488 – Konrad Bitz, the Bishop of Turku, marks the date of his preface to Missale Aboense, the oldest known book of Finland. 1498 – Cesare Borgia, son of Pope Alexander VI, becomes the first person in history to resign the cardinalate; later that same day, King Louis XII of France names him Duke of Valentinois. 1549 – Battle of Sampford Courtenay: The Prayer Book Rebellion is quashed in England. 1560 – The Catholic Church is overthrown and Protestantism is established as the national religion in Scotland. 1585 – Eighty Years' War: Siege of Antwerp: Antwerp is captured by Spanish forces under Alexander Farnese, Duke of Parma, who orders Protestants to leave the city and as a result over half of the 100,000 inhabitants flee to the northern provinces. 1585 – A first group of colonists sent by Sir Walter Raleigh under the charge of Ralph Lane lands in the New World to create Roanoke Colony on Roanoke Island, off the coast of present-day North Carolina. 1597 – Islands Voyage: Robert Devereux, 2nd Earl of Essex, and Sir Walter Raleigh set sail on an expedition to the Azores. 1601–1900 1668 – The magnitude 8.0 North Anatolia earthquake causes 8,000 deaths in northern Anatolia, Ottoman Empire. 1717 – Austro-Turkish War of 1716–18: The month-long Siege of Belgrade ends with Prince Eugene of Savoy's Austrian troops capturing the city from the Ottoman Empire. 1723 – Ioan Giurgiu Patachi becomes Bishop of Făgăraș and is festively installed in his position at the St. Nicolas Cathedral in Făgăraș, after being formally confirmed earlier by Pope Clement XI. 1740 – Pope Benedict XIV, previously known as Prospero Lambertini, succeeds Clement XII as the 247th Pope. 1784 – Classical composer Luigi Boccherini receives a pay rise of 12,000 reals from his employer, the Infante Luis, Count of Chinchón. 1798 – The Vietnamese Catholics report a Marian apparition in Quảng Trị, an event which is called Our Lady of La Vang. 1807 – Robert Fulton's North River Steamboat leaves New York City for Albany, New York, on the Hudson River, inaugurating the first commercial steamboat service in the world. 1808 – The Finnish War: The Battle of Alavus is fought. 1827 – Dutch King William I and Pope Leo XII sign concord. 1836 – British parliament accepts registration of births, marriages and deaths. 1862 – American Indian Wars: The Dakota War of 1862 begins in Minnesota as Dakota warriors attack white settlements along the Minnesota River. 1862 – American Civil War: Major General J. E. B. Stuart is assigned command of all the cavalry of the Confederate Army of Northern Virginia. 1863 – American Civil War: In Charleston, South Carolina, Union batteries and ships bombard Confederate-held Fort Sumter. 1864 – American Civil War: Battle of Gainesville: Confederate forces defeat Union troops near Gainesville, Florida. 1866 – The Grand Duchy of Baden announces its withdrawal from the German Confederation and signs a treaty of peace and alliance with Prussia. 1876 – Richard Wagner's Götterdämmerung, the last opera in his Ring cycle, premieres at the Bayreuth Festspielhaus. 1883 – The first public performance of the Dominican Republic's national anthem, Himno Nacional. 1896 – Bridget Driscoll became the first recorded case of a pedestrian killed in a collision with a motor car in the United Kingdom. 1901–present 1914 – World War I: Battle of Stallupönen: The German army of General Hermann von François defeats the Russian force commanded by Paul von Rennenkampf near modern-day Nesterov, Russia. 1915 – Jewish American Leo Frank is lynched in Marietta, Georgia, USA after his death sentence is commuted by Governor John Slaton. 1915 – A Category 4 hurricane hits Galveston, Texas with winds at . 1916 – World War I: Romania signs a secret treaty with the Entente Powers. According to the treaty, Romania agreed to join the war on the Allied side. 1918 – Bolshevik revolutionary leader Moisei Uritsky is assassinated. 1942 – World War II: U.S. Marines raid the Japanese-held Pacific island of Makin. 1943 – World War II: The U.S. Eighth Air Force suffers the loss of 60 bombers on the Schweinfurt–Regensburg mission. 1943 – World War II: The U.S. Seventh Army under General George S. Patton arrives in Messina, Italy, followed several hours later by the British 8th Army under Field Marshal Bernard Montgomery, thus completing the Allied conquest of Sicily. 1943 – World War II: First Québec Conference of Winston Churchill, Franklin D. Roosevelt, and William Lyon Mackenzie King begins. 1943 – World War II: The Royal Air Force begins Operation Hydra, the first air raid of the Operation Crossbow strategic bombing campaign against Germany's V-weapon program. 1945 – Sukarno and Mohammad Hatta proclaim the independence of Indonesia, igniting the Indonesian National Revolution against the Dutch Empire. 1945 – The novella Animal Farm by George Orwell is first published. 1945 – Evacuation of Manchukuo: At Talitzou by the Sino-Korean border, Puyi, then the Kangde Emperor of Manchukuo, formally renounces the imperial throne, dissolves the state, and cedes its territory to the Republic of China. 1947 – The Radcliffe Line, the border between the Dominions of India and Pakistan, is revealed. 1949 – The 6.7 Karlıova earthquake shakes eastern Turkey with a maximum Mercalli intensity of X (Extreme), leaving 320–450 dead. 1949 – Matsukawa derailment: Unknown saboteurs cause a passenger train to derail and overturn in Fukushima Prefecture, Japan, killing three crew members and igniting a political firestorm between the Japanese Communist Party and the government of Occupied Japan that will eventually lead to the Japanese Red Purge. 1953 – First meeting of Narcotics Anonymous takes place, in Southern California. 1955 – Hurricane Diane made landfall near Wilmington, North Carolina, and it went on to cause major floods and kill more than 184 people. 1958 – Pioneer 0, America's first attempt at lunar orbit, is launched using the first Thor-Able rocket and fails. Notable as one of the first attempted launches beyond Earth orbit by any country. 1959 – Quake Lake is formed by the magnitude 7.2 1959 Hebgen Lake earthquake near Hebgen Lake in Montana. 1960 – Aeroflot Flight 036 crashes in Soviet Ukraine, killing 34. 1962 – Peter Fechter is shot and bleeds to death while trying to cross the new Berlin Wall. 1969 – Category 5 Hurricane Camille hits the U.S. Gulf Coast, killing 256 and causing $1.42 billion in damage. 1970 – Soviet Union Venera program: Venera 7 launched. It will become the first spacecraft to successfully transmit data from the surface of another planet (Venus). 1976 – A magnitude 7.9 earthquake hits off the coast of Mindanao, Philippines, triggering a destructive tsunami, killing between 5,000-8,000 people and leaving more than 90,000 homeless. 1977 – The Soviet icebreaker Arktika becomes the first surface ship to reach the North Pole. 1978 – Double Eagle II becomes first balloon to cross the Atlantic Ocean when it lands in Miserey, France near Paris, 137 hours after leaving Presque Isle, Maine. 1985 – The 1985–86 Hormel strike begins in Austin, Minnesota. 1988 – President of Pakistan Muhammad Zia-ul-Haq and U.S. Ambassador Arnold Raphel are killed in a plane crash. 1991 – Strathfield massacre: In Sydney, New South Wales, Australia, taxi driver Wade Frankum shoots seven people and injures six others before turning the gun on himself. 1998 – Lewinsky scandal: US President Bill Clinton admits in taped testimony that he had an "improper physical relationship" with White House intern Monica Lewinsky; later that same day he admits before the nation that he "misled people" about the relationship. 1999 – The 7.6 İzmit earthquake shakes northwestern Turkey with a maximum Mercalli intensity of IX (Violent), leaving 17,118–17,127 dead and 43,953–50,000 injured. 2004 – The National Assembly of Serbia unanimously adopts new state symbols for Serbia: Bože pravde becomes the new anthem and the coat of arms is adopted for the whole country. 2005 – The first forced evacuation of settlers, as part of Israeli disengagement from Gaza, starts. 2005 – Over 500 bombs are set off by terrorists at 300 locations in 63 out of the 64 districts of Bangladesh. 2008 – American swimmer Michael Phelps becomes the first person to win eight gold medals at one Olympic Games. 2009 – An accident at the Sayano-Shushenskaya Dam in Khakassia, Russia, kills 75 and shuts down the hydroelectric power station, leading to widespread power failure in the local area. 2015 – A bomb explodes near the Erawan Shrine in Bangkok, Thailand, killing at least 19 people and injuring 123 others. 2017 – Barcelona attacks: A van is driven into pedestrians in La Rambla, killing 14 and injuring at least 100. 2019 – A bomb explodes at a wedding in Kabul killing 63 people and leaving 182 injured. Births Pre-1600 1153 – William IX, Count of Poitiers (d. 1156) 1465 – Philibert I, Duke of Savoy (d. 1482) 1473 – Richard of Shrewsbury, Duke of York (d. 1483) 1501 – Philipp II, Count of Hanau-Münzenberg (d. 1529) 1556 – Alexander Briant, English martyr and saint (d. 1581) 1578 – Francesco Albani, Italian painter (d. 1660) 1578 – Johann, Prince of Hohenzollern-Sigmaringen, first prince of Hohenzollern-Sigmaringen (d. 1638) 1582 – John Matthew Rispoli, Maltese philosopher (d. 1639) 1586 – Johann Valentin Andrea, German theologian (d. 1654) 1601–1900 1603 – Lennart Torstensson, Swedish Field Marshal, Privy Councillour and Governor-General (d. 1651) 1629 – John III Sobieski, Polish–Lithuanian king (d. 1696) 1686 – Nicola Porpora, Italian composer and educator (d. 1768) 1753 – Josef Dobrovský, Bohemian philologist and historian (d. 1828) 1768 – Louis Desaix, French general (d. 1800) 1786 – Davy Crockett, American soldier and politician (d. 1836) 1786 – Princess Victoria of Saxe-Coburg-Saalfeld (d. 1861) 1801 – Fredrika Bremer, Swedish writer and feminist (d. 1865) 1828 – Jules Bernard Luys, French neurologist and physician (d. 1897) 1840 – Wilfrid Scawen Blunt, English poet and activist (d. 1922) 1845 – Henry Cadwalader Chapman, American physician and naturalist (d. 1909) 1849 – William Kidston, Scottish-Australian politician, 17th Premier of Queensland (d. 1919) 1863 – Gene Stratton-Porter, American author and photographer (d. 1924) 1865 – Julia Marlowe, English-American actress (d. 1950) 1866 – Mahbub Ali Khan, Asaf Jah VI, Indian 6th Nizam of Hyderabad (d. 1911) 1873 – John A. Sampson, American gynecologist and academic (d. 1946) 1877 – Ralph McKittrick, American golfer and tennis player (d. 1923) 1878 – Reggie Duff, Australian cricketer (d. 1911) 1880 – Percy Sherwell, South African cricketer and tennis player (d. 1948) 1887 – Charles I of Austria (d. 1922) 1887 – Marcus Garvey, Jamaican journalist and activist, founded Black Star Line (d. 1940) 1888 – Monty Woolley, American actor, raconteur, and pundit (d. 1963) 1890 – Stefan Bastyr, Polish soldier and pilot (d. 1920) 1890 – Harry Hopkins, American politician and diplomat, 8th United States Secretary of Commerce (d. 1946) 1893 – John Brahm, German-American director and production manager (d. 1982) 1893 – Mae West, American stage and film actress (d. 1980) 1894 – William Rootes, 1st Baron Rootes, English businessman, founded Rootes Group (d. 1964) 1896 – Leslie Groves, American general and engineer (d. 1970) 1896 – Tõnis Kint, Estonian lieutenant and politician, Prime Minister of Estonia in exile (d. 1991) 1896 – Oliver Waterman Larkin, American historian and author (d. 1970) 1899 – Janet Lewis, American poet and novelist (d. 1998) 1900 – Vivienne de Watteville, British travel writer and adventurer (d. 1957) 1900 – Pauline A. Young, American teacher, historian, aviator and activist (d. 1991) 1901–present 1904 – Mary Cain, American journalist and politician (d. 1984) 1904 – Leopold Nowak, Austrian composer and musicologist (d. 1991) 1909 – Larry Clinton, American trumpet player and bandleader (d. 1985) 1909 – Wilf Copping, English footballer (d. 1980) 1911 – Mikhail Botvinnik, Russian chess player and engineer (d. 1995) 1911 – Martin Sandberger, German colonel and lawyer (d. 2010) 1913 – Mark Felt (aka 'Deep Throat'), American lawyer and agent, 2nd Deputy Director of the Federal Bureau of Investigation (d. 2008) 1913 – Oscar Alfredo Gálvez, Argentinian race car driver (d. 1989) 1913 – Rudy York, American baseball player and manager (d. 1970) 1914 – Bill Downs, American journalist (d. 1978) 1914 – Franklin Delano Roosevelt Jr., American lawyer and politician (d. 1988) 1916 – Moses Majekodunmi, Nigerian physician and politician (d. 2012) 1918 – Evelyn Ankers, British-American actress (d. 1985) 1918 – Ike Quebec, American saxophonist and pianist (d. 1963) 1918 – Michael John Wise, English geographer and academic (d. 2015) 1919 – Georgia Gibbs, American singer (d. 2006) 1920 – Maureen O'Hara, Irish-American actress and singer (d. 2015) 1920 – Lida Moser, American photographer and author (d. 2014) 1921 – Geoffrey Elton, German-English historian and academic (d. 1994) 1922 – Roy Tattersall, English cricketer (d. 2011) 1923 – Carlos Cruz-Diez, Venezuelan artist (d. 2019) 1923 – Larry Rivers, American painter and sculptor (d. 2002) 1924 – Evan S. Connell, American novelist, poet, and short story writer (d. 2013) 1926 – Valerie Eliot, English businesswoman (d. 2012) 1926 – Jiang Zemin, Chinese engineer and politician, former General Secretary of the Chinese Communist Party (paramount leader) and 5th President of China (d. 2022) 1927 – Sam Butera, American saxophonist and bandleader (d. 2009) 1927 – F. Ray Keyser Jr., American lawyer and politician, 72nd Governor of Vermont (d. 2015) 1928 – T. J. Anderson, American composer, conductor, and educator 1928 – Willem Duys, Dutch tennis player, sportscaster, and producer (d. 2011) 1929 – Francis Gary Powers, American captain and pilot (d. 1977) 1930 – Harve Bennett, American screenwriter and producer (d. 2015) 1930 – Ted Hughes, English poet and playwright (d. 1998) 1931 – Tony Wrigley, English historian, demographer, and academic (d. 2022) 1932 – V. S. Naipaul, Trinidadian-English novelist and essayist, Nobel Prize laureate (d. 2018) 1932 – Duke Pearson, American pianist and composer (d. 1980) 1932 – Jean-Jacques Sempé, French cartoonist (d. 2022) 1933 – Mark Dinning, American pop singer (d. 1986) 1934 – João Donato, Brazilian pianist and composer (d. 2023) 1934 – Ron Henry, English footballer (d. 2014) 1936 – Seamus Mallon, Irish educator and politician, Deputy First Minister of Northern Ireland (d. 2020) 1936 – Margaret Heafield Hamilton, American computer scientist, systems engineer, and business owner. 1938 – Theodoros Pangalos, Greek lawyer and politician, Deputy Prime Minister of Greece (d. 2023) 1939 – Luther Allison, American blues guitarist and singer (d. 1997) 1940 – Eduardo Mignogna, Argentinian director and screenwriter (d. 2006) 1940 – Barry Sheerman, English academic and politician 1941 – Lothar Bisky, German businessman and politician (d. 2013) 1941 – Jean Pierre Lefebvre, Canadian director and screenwriter 1941 – Boog Powell, American baseball player 1942 – Shane Porteous, Australian actor, animator, and screenwriter 1943 – Edward Cowie, English composer, painter, and author 1943 – Robert De Niro, American actor, entrepreneur, director, and producer 1943 – John Humphrys, Welsh journalist and author 1943 – Dave "Snaker" Ray, American singer-songwriter and guitarist (d. 2002) 1944 – Larry Ellison, American businessman, co-founded the Oracle Corporation 1944 – Jean-Bernard Pommier, French pianist and conductor 1945 – Rachel Pollack, American author, poet, and educator 1946 – Hugh Baiocchi, South African golfer 1946 – Martha Coolidge, American director, producer, and screenwriter 1946 – Patrick Manning, Trinidadian-Tobagonian politician, 4th Prime Minister of Trinidad and Tobago (d. 2016) 1947 – Mohamed Abdelaziz, President of the Sahrawi Arab Democratic Republic (d. 2016) 1947 – Gary Talley, American guitarist, singer-songwriter, and author 1948 – Alexander Ivashkin, Russian-English cellist and conductor (d. 2014) 1949 – Norm Coleman, American lawyer and politician, 52nd Mayor of St. Paul 1949 – Sue Draheim, American fiddler and composer (d. 2013) 1949 – Julian Fellowes, English actor, director, screenwriter, and politician 1949 – Sib Hashian, American rock drummer (d. 2017) 1951 – Richard Hunt, American Muppet performer (d. 1992) 1951 – Robert Joy, Canadian actor 1952 – Aleksandr Maksimenkov, Russian footballer and coach (d. 2012) 1952 – Nelson Piquet, Brazilian race car driver and businessman 1952 – Mario Theissen, German engineer and businessman 1952 – Guillermo Vilas, Argentinian tennis player 1953 – Mick Malthouse, Australian footballer and coach 1953 – Herta Müller, Romanian-German poet and author, Nobel Prize laureate 1953 – Korrie Layun Rampan, Indonesian author, poet, and critic (d. 2015) 1953 – Kevin Rowland, English singer-songwriter and guitarist 1954 – Eric Johnson, American singer-songwriter, guitarist, and producer 1954 – Andrés Pastrana Arango, Colombian lawyer and politician, 38th President of Colombia 1955 – Colin Moulding, English singer-songwriter and bassist 1956 – Gail Berman, American businessman, co-founded BermanBraun 1956 – Álvaro Pino, Spanish cyclist 1957 – Ken Kwapis, American director and screenwriter 1957 – Laurence Overmire, American poet, author, and actor 1957 – Robin Cousins, British competitive figure skater 1958 – Belinda Carlisle, American singer-songwriter 1958 – Fred Goodwin, Scottish banker and accountant 1958 – Maurizio Sandro Sala, Brazilian race car driver 1959 – Jonathan Franzen, American novelist and essayist 1959 – Jacek Kazimierski, Polish footballer 1959 – Eric Schlosser, American journalist and author 1959 – David Koresh, American cult leader (d. 1993) 1960 – Stephan Eicher, Swiss singer-songwriter 1960 – Sean Penn, American actor, director, and political activist 1962 – Gilby Clarke, American singer-songwriter, guitarist, and producer 1962 – Dan Dakich, American basketball player, coach, and sportscaster 1963 – Jon Gruden, American football player, coach, and sportscaster 1963 – Jackie Walorski, American politician (d. 2022) 1964 – Colin James, Canadian singer-songwriter, guitarist, and producer 1964 – Maria McKee, American singer-songwriter 1964 – Dave Penney, English footballer and manager 1965 – Steve Gorman, American drummer 1965 – Dottie Pepper, American golfer 1966 – Jüri Luik, Estonian politician and diplomat, 18th Estonian Minister of Defense 1966 – Rodney Mullen, American skateboarder and stuntman 1966 – Don Sweeney, Canadian ice hockey player and manager 1967 – David Conrad, American actor 1967 – Michael Preetz, German footballer and manager 1968 – Andriy Kuzmenko, Ukrainian singer-songwriter (d. 2015) 1968 – Ed McCaffrey, American football player and sportscaster 1968 – Helen McCrory, English actress (d. 2021) 1969 – Christian Laettner, American basketball player and coach 1969 – Kelvin Mercer, American rapper, songwriter and producer 1969 – Donnie Wahlberg, American singer-songwriter, actor and producer 1970 – Jim Courier, American tennis player and sportscaster 1970 – Andrus Kivirähk, Estonian author 1970 – Øyvind Leonhardsen, Norwegian footballer and coach 1971 – Uhm Jung-hwa, South Korean singer and actress 1971 – Jorge Posada, Puerto Rican-American baseball player 1971 – Shaun Rehn, Australian footballer and coach 1972 – Habibul Bashar, Bangladeshi cricketer 1974 – Giuliana Rancic, Italian-American journalist and television personality 1974 – Johannes Maria Staud, Austrian composer 1976 – Eric Boulton, Canadian ice hockey player 1976 – Geertjan Lassche, Dutch journalist and director 1976 – Serhiy Zakarlyuka, Ukrainian footballer and manager (d. 2014) 1977 – Nathan Deakes, Australian race walker 1977 – William Gallas, French footballer 1977 – Thierry Henry, French footballer 1977 – Mike Lewis, Welsh guitarist 1977 – Tarja Turunen, Finnish singer-songwriter and producer 1979 – Antwaan Randle El, American football player and journalist 1980 – Keith Dabengwa, Zimbabwean cricketer 1980 – Daniel Güiza, Spanish footballer 1980 – Jan Kromkamp, Dutch footballer 1980 – Lene Marlin, Norwegian singer-songwriter 1982 – Phil Jagielka, English footballer 1982 – Cheerleader Melissa, American wrestler and manager 1982 – Mark Salling, American actor and musician (d. 2018) 1983 – Dustin Pedroia, American baseball player 1984 – Dee Brown, American basketball player 1984 – Oksana Domnina, Russian ice dancer 1984 – Liam Heath, British sprint canoeist 1984 – Garrett Wolfe, American football player 1985 – Yū Aoi, Japanese actress and model 1986 – Rudy Gay, American basketball player 1986 – Tyrus Thomas, American basketball player 1988 – Brady Corbet, American actor and director 1988 – Jihadi John, Kuwaiti-British member of ISIS (d. 2015) 1988 – Natalie Sandtorv, Norwegian singer-songwriter 1988 – Erika Toda, Japanese actress 1989 – Lil B, American rapper 1989 – Rachel Corsie, Scottish footballer 1991 – Austin Butler, American actor 1992 – Saraya Bevis, English wrestler 1992 – Alex Elisala, New Zealand-Australian rugby player (d. 2013) 1992 – Chanel Mata'utia, Australian rugby league player 1993 – Ederson Moraes, Brazilian footballer 1993 – Sarah Sjöström, Swedish swimmer 1993 – Xie Zhenye, Chinese athlete 1994 – Phoebe Bridgers, American singer/songwriter 1994 – Jack Conklin, American football player 1994 – Taissa Farmiga, American actress 1995 – Gracie Gold, American figure skater 1995 – Dallin Watene-Zelezniak, New Zealand rugby league player 1996 – Jake Virtanen, Canadian ice hockey player 2000 – Lil Pump, American rapper and songwriter 2003 – Nastasja Schunk, German tennis player 2003 – The Kid Laroi, Australian rapper and songwriter Deaths Pre-1600 754 – Carloman, mayor of the palace of Austrasia 949 – Li Shouzhen, Chinese general and governor 1153 – Eustace IV, Count of Boulogne (b. 1130) 1304 – Emperor Go-Fukakusa of Japan (b. 1243) 1324 – Irene of Brunswick (b. 1293) 1338 – Nitta Yoshisada, Japanese samurai (b. 1301) 1424 – John Stewart, Earl of Buchan (b. c. 1381) 1510 – Edmund Dudley, English politician, Speaker of the House of Commons (b. 1462) 1510 – Richard Empson, English statesman 1547 – Katharina von Zimmern, Swiss sovereign abbess (b. 1478) 1601–1900 1673 – Regnier de Graaf, Dutch physician and anatomist (b. 1641) 1676 – Hans Jakob Christoffel von Grimmelshausen, German author (b. 1621) 1720 – Anne Dacier, French scholar and translator (b. 1654) 1723 – Joseph Bingham, English scholar and academic (b. 1668) 1768 – Vasily Trediakovsky, Russian poet and playwright (b. 1703) 1785 – Jonathan Trumbull, English-American merchant and politician, 16th Governor of Connecticut (b. 1710) 1786 – Frederick the Great, Prussian king (b. 1712) 1809 – Matthew Boulton, English businessman and engineer, co-founded Boulton and Watt (b. 1728) 1814 – John Johnson, English architect and surveyor (b. 1732) 1834 – Husein Gradaščević, Ottoman general (b. 1802) 1838 – Lorenzo Da Ponte, Italian playwright and poet (b. 1749) 1850 – José de San Martín, Argentinian general and politician, 1st President of Peru (b. 1778) 1861 – Alcée Louis la Branche, American politician and diplomat, 1st United States Ambassador to Texas (b. 1806) 1870 – Perucho Figueredo, Cuban poet and activist (b. 1818) 1875 – Wilhelm Bleek, German linguist and anthropologist (b. 1827) 1897 – William Jervois, English engineer and diplomat, 10th Governor of South Australia (b. 1821) 1901–present 1901 – Edmond Audran, French organist and composer (b. 1842) 1903 – Hans Gude, Norwegian-German painter and academic (b. 1825) 1908 – Radoje Domanović, Serbian satirist and journalist (b. 1873) 1909 – Madan Lal Dhingra, Indian activist (b. 1883) 1918 – Moisei Uritsky, Russian activist and politician (b. 1873) 1920 – Ray Chapman, American baseball player (b. 1891) 1924 – Tom Kendall, English-Australian cricketer and journalist (b. 1851) 1925 – Ioan Slavici, Romanian journalist and author (b. 1848) 1935 – Adam Gunn, American decathlete (b. 1872) 1935 – Charlotte Perkins Gilman, American sociologist and author (b. 1860) 1936 – José María of Manila, Spanish-Filipino priest and martyr (b. 1880) 1940 – Billy Fiske, American soldier and pilot (b. 1911) 1945 – Reidar Haaland, Norwegian police officer and soldier (b. 1919) 1949 – Gregorio Perfecto, Filipino journalist, jurist, and politician (b. 1891) 1958 – Arthur Fox, English-American fencer (b. 1878) 1966 – Ken Miles, English race car driver and engineer (b. 1918) 1969 – Otto Stern, German physicist and academic, Nobel Prize laureate (b. 1888) 1970 – Rattana Pestonji, Thai director and producer (b. 1908) 1971 – Maedayama Eigorō, Japanese sumo wrestler, the 39th Yokozuna (b. 1914) 1971 – Wilhelm List, German field marshal (b. 1880) 1973 – Conrad Aiken, American novelist, short story writer, critic, and poet (b. 1889) 1973 – Jean Barraqué, French pianist and composer (b. 1928) 1973 – Paul Williams, American singer and choreographer (b. 1939) 1977 – Delmer Daves, American screenwriter, director and producer (b. 1904) 1979 – John C. Allen, American roller coaster designer (b. 1907) 1979 – Vivian Vance, American actress and singer (b. 1909) 1983 – Ira Gershwin, American songwriter (b. 1896) 1987 – Gary Chester, Italian drummer and educator (b. 1924) 1987 – Rudolf Hess, German soldier and politician (b. 1894) 1987 – Shaike Ophir, Israeli actor and screenwriter (b. 1929) 1988 – Muhammad Zia-ul-Haq, Pakistani general and politician, 6th President of Pakistan (b. 1924) 1988 – Franklin Delano Roosevelt Jr., American lawyer and politician (b. 1914) 1988 – Victoria Shaw, Australian-American actress (b. 1935) 1990 – Pearl Bailey, American actress and singer (b. 1918) 1993 – Feng Kang, Chinese mathematician and academic (b. 1920) 1994 – Luigi Chinetti, Italian-American race car driver and businessman (b. 1901) 1994 – Jack Sharkey, American boxer and referee (b. 1902) 1995 – Howard E. Koch, American playwright and screenwriter (b. 1902) 1995 – Ted Whitten, Australian footballer and coach (b. 1933) 1998 – Władysław Komar, Polish shot putter and actor (b. 1940) 1998 – Tadeusz Ślusarski, Polish pole vaulter (b. 1950) 2000 – Jack Walker, English businessman (b. 1929) 2004 – Thea Astley, Australian author and educator (b. 1925) 2005 – John N. Bahcall, American astrophysicist and academic (b. 1934) 2006 – Shamsur Rahman, Bangladeshi poet and journalist (b. 1929) 2007 – Bill Deedes, English journalist and politician (b. 1913) 2007 – Eddie Griffin, American basketball player (b. 1982) 2008 – Franco Sensi, Italian businessman and politician (b. 1926) 2010 – Francesco Cossiga, Italian lawyer and politician, 8th President of Italy (b. 1928) 2012 – Aase Bjerkholt, Norwegian politician, Minister of Children, Equality and Social Inclusion (b. 1915) 2012 – Victor Poor, American engineer, developed the Datapoint 2200 (b. 1933) 2012 – Patrick Ricard, French businessman (b. 1945) 2012 – John Lynch-Staunton, Canadian lawyer and politician (b. 1930) 2013 – Odilia Dank, American educator and politician (b. 1938) 2013 – Jack Harshman, American baseball player (b. 1927) 2013 – John Hollander, American poet and critic (b. 1929) 2013 – David Landes, Jewish-American historian and economist (b. 1924) 2013 – Frank Martínez, American painter (b. 1924) 2013 – Gus Winckel, Dutch lieutenant and pilot (b. 1912) 2014 – Børre Knudsen, Norwegian minister and activist (b. 1937) 2014 – Wolfgang Leonhard, German historian and author (b. 1921) 2014 – Sophie Masloff, American civil servant and politician, 56th Mayor of Pittsburgh (b. 1917) 2014 – Miodrag Pavlović, Serbian poet and critic (b. 1928) 2014 – Pierre Vassiliu, French singer-songwriter (b. 1937) 2015 – Yvonne Craig, American ballet dancer and actress (b. 1937) 2015 – Gerhard Mayer-Vorfelder, German businessman (b. 1933) 2015 – László Paskai, Hungarian cardinal (b. 1927) 2016 – Arthur Hiller, Canadian actor, director, and producer (b. 1923) Holidays and observances Christian feast day: Saint Beatrice of Silva Saint Clare of Montefalco Saint Hyacinth of Poland Saint Jeanne Delanoue Saint Mammes of Caesarea Samuel Johnson, Timothy Cutler, and Thomas Bradbury Chandler (Episcopal Church) August 17 (Eastern Orthodox liturgics) Engineer's Day (Colombia) Flag Day (Bolivia) Independence Day, celebrates the independence proclamation of Indonesia from Japan in 1945. Independence Day, celebrates the independence of Gabon from France in 1960. Marcus Garvey Day (Jamaica) Prekmurje Union Day (Slovenia) San Martin Day (Argentina) Black Cat Appreciation Day (United States) References External links Days of the year August
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August 12
Events Pre-1600 1099 – First Crusade: Battle of Ascalon Crusaders under the command of Godfrey of Bouillon defeat Fatimid forces led by Al-Afdal Shahanshah. This is considered the last engagement of the First Crusade. 1121 – Battle of Didgori: The Georgian army under King David IV wins a decisive victory over the famous Seljuk commander Ilghazi. 1164 – Battle of Harim: Nur ad-Din Zangi defeats the Crusader armies of the County of Tripoli and the Principality of Antioch. 1323 – The Treaty of Nöteborg between Sweden and Novgorod Republic is signed, regulating the border between the two countries for the first time. 1492 – Christopher Columbus arrives in the Canary Islands on his first voyage to the New World. 1499 – First engagement of the Battle of Zonchio between Venetian and Ottoman fleets. 1601–1900 1624 – Charles de La Vieuville is arrested and replaced by Cardinal Richelieu as the French king's chief advisor. 1676 – Praying Indian John Alderman shoots and kills Metacomet, the Wampanoag war chief, ending King Philip's War. 1687 – Battle of Mohács: Charles of Lorraine defeats the Ottoman Empire. 1765 – Treaty of Allahabad is signed. The Treaty marks the political and constitutional involvement and the beginning of Company rule in India. 1788 – The Anjala conspiracy is signed. 1793 – The Rhône and Loire départments are created when the former département of Rhône-et-Loire is split into two. 1806 – Santiago de Liniers, 1st Count of Buenos Aires re-takes the city of Buenos Aires, Argentina after the first British invasion. 1831 – French intervention forces William I of the Netherlands to abandon his attempt to suppress the Belgian Revolution. 1851 – Isaac Singer is granted a patent for his sewing machine. 1865 – Joseph Lister, British surgeon and scientist, performs the first antiseptic surgery. 1883 – The last quagga dies at the Natura Artis Magistra, a zoo in Amsterdam, Netherlands. 1898 – The Hawaiian flag is lowered from ʻIolani Palace in an elaborate annexation ceremony and replaced with the flag of the United States to signify the transfer of sovereignty from the Republic of Hawaii to the United States where it is formally recognized as Hawaii. 1901–present 1914 – World War I: The United Kingdom and the British Empire declare war on Austria-Hungary. 1914 – World War I: The Battle of Halen a.k.a. Battle of the Silver Helmets a clash between large Belgian and German cavalry formations at Halen, Belgium. 1944 – Waffen-SS troops massacre 560 people in Sant'Anna di Stazzema. 1944 – Nazi German troops end the week-long Wola massacre, during which time at least 40,000 people are killed indiscriminately or in mass executions. 1944 – Alençon is liberated by General Philippe Leclerc de Hauteclocque, the first city in France to be liberated from the Nazis by French forces. 1948 – Between 15 and 150 unarmed members of the Khudai Khidmatgar movement are killed by Pakistani police. 1950 – Korean War: Bloody Gulch massacre: Seventy-five American POWs are massacred by the North Korean Army. 1952 – The Night of the Murdered Poets: Thirteen prominent Jewish intellectuals are murdered in Moscow, Russia, Soviet Union. 1953 – First thermonuclear bomb test: The Soviet atomic bomb project continues with the detonation of "RDS-6s" (Joe 4) using a "layered" scheme. 1953 – The 7.2 Ionian earthquake shakes the southern Ionian Islands with a maximum Mercalli intensity of X (Extreme). Between 445 and 800 people are killed. 1960 – Echo 1A, NASA's first successful communications satellite, is launched. 1964 – South Africa is banned from the Olympic Games due to the country's racist policies. 1969 – Violence erupts after the Apprentice Boys of Derry march in Derry, Northern Ireland, resulting in a three-day communal riot known as the Battle of the Bogside. 1976 – Between 1,000 and 3,500 Palestinians are killed in the Tel al-Zaatar massacre, one of the bloodiest events of the Lebanese Civil War. 1977 – The first free flight of the . 1977 – The Sri Lanka Riots: Targeting the minority Sri Lankan Tamils, begin, less than a month after the United National Party came to power. Over 300 Tamils are killed. 1981 – The IBM Personal Computer is released. 1985 – Japan Airlines Flight 123 crashes into Osutaka ridge in Gunma Prefecture, Japan, killing 520, to become the worst single-plane air disaster. 1990 – Sue, the largest and most complete Tyrannosaurus rex skeleton found to date, is discovered by Sue Hendrickson in South Dakota. 1992 – Canada, Mexico and the United States announce completion of negotiations for the North American Free Trade Agreement (NAFTA). 1994 – Major League Baseball players go on strike, eventually forcing the cancellation of the 1994 World Series. 2000 – The Russian Navy submarine explodes and sinks in the Barents Sea during a military exercise, killing her entire 118-man crew. 2015 – At least two massive explosions kill 173 people and injure nearly 800 more in Tianjin, China. 2016 – Syrian civil war: The Syrian Democratic Forces (SDF) capture the city of Manbij from the Islamic State of Iraq and the Levant (ISIL). 2018 – Thirty-nine civilians, including a dozen children, are killed in an explosion at a weapons depot in Sarmada, Syria. 2021 – Six people, five victims and the perpetrator are killed in Keyham, Plymouth in the worst mass shooting in the UK since 2010. Births Pre-1600 1452 – Abraham Zacuto, Jewish astronomer, astrologer, mathematician, rabbi and historian (d. 1515) 1503 – Christian III of Denmark (d. 1559) 1506 – Franciscus Sonnius, Dutch counter-Reformation theologian (d. 1576) 1591 – Louise de Marillac, co-founder of the Daughters of Charity (d. 1660) 1599 – Sir William Curtius FRS, German magistrate, English baronet (d. 1678) 1601–1900 1604 – Tokugawa Iemitsu, Japanese shōgun (d. 1651) 1626 – Giovanni Legrenzi, Italian composer (d. 1690) 1629 – Archduchess Isabella Clara of Austria, Austrian archduchess (d. 1685) 1644 – Heinrich Ignaz Franz Biber, Bohemian-Austrian violinist and composer (d. 1704) 1686 – John Balguy, English philosopher and author (d. 1748) 1696 – Maurice Greene, English organist and composer (d. 1755) 1762 – George IV of the United Kingdom (d. 1830) 1773 – Karl Faber, Prussian historian and academic (d. 1853) 1774 – Robert Southey, English poet and author (d. 1843) 1831 – Helena Blavatsky, Russian theosophist and scholar (d. 1891) 1852 – Michael J. McGivney, American priest and founder of the Knights of Columbus (d. 1890) 1856 – Diamond Jim Brady, American businessman and philanthropist (d. 1917) 1857 – Ernestine von Kirchsberg, Austrian painter and educator (d. 1924) 1859 – Katharine Lee Bates, American poet and author (d. 1929) 1860 – Klara Hitler, Austrian mother of Adolf Hitler (d. 1907) 1866 – Jacinto Benavente, Spanish playwright, Nobel Prize laureate (d. 1954) 1866 – Henrik Sillem, Dutch target shooter, mountaineer, and jurist (d. 1907) 1867 – Edith Hamilton, German-American author and educator (d. 1963) 1870 – Henry Reuterdahl, Swedish-American artist (d. 1925) 1871 – Gustavs Zemgals, Latvian politician, 2nd President of Latvia (d. 1939) 1876 – Mary Roberts Rinehart, American author and playwright (d. 1958) 1877 – Albert Bartha, Hungarian general and politician, Hungarian Minister of Defence (d. 1960) 1880 – Radclyffe Hall, English poet, author, and activist (d. 1943) 1880 – Christy Mathewson, American baseball player and manager (d. 1925) 1881 – Cecil B. DeMille, American director and producer (d. 1959) 1883 – Martha Hedman, Swedish-American actress and playwright (d. 1974) 1883 – Marion Lorne, American actress (d. 1968) 1885 – Jean Cabannes, French physicist and academic (d. 1959) 1885 – Keith Murdoch, Australian journalist (d. 1952) 1885 – Juhan Simm, Estonian composer and conductor (d. 1959) 1887 – Erwin Schrödinger, Austrian physicist and academic, Nobel Prize laureate (d. 1961) 1889 – Zerna Sharp, American author and educator (d. 1981) 1891 – C. E. M. Joad, English philosopher and academic (d. 1953) 1891 – John McDermott, American golfer (d. 1971) 1892 – Alfred Lunt, American actor and director (d. 1977) 1897 – Maurice Fernandes, Guyanese cricketer (d. 1981) 1899 – Ben Sealey, Trinidadian cricketer (d. 1963) 1901–present 1902 – Mohammad Hatta, Indonesian statesman, 1st Vice President of Indonesia (d. 1980) 1904 – Idel Jakobson, Latvian-Estonian NKVD officer (d. 1997) 1904 – Tamás Lossonczy, Hungarian painter (d. 2009) 1904 – Alexei Nikolaevich, Tsarevich of Russia (d. 1918) 1906 – Harry Hopman, Australian tennis player and coach (d. 1985) 1906 – Tedd Pierce, American animator, producer, and screenwriter (d. 1972) 1907 – Gladys Bentley, American blues singer (d. 1960) 1907 – Joe Besser, American actor (d. 1988) 1907 – Boy Charlton, Australian swimmer (d. 1975) 1907 – Benjamin Sheares, Singaporean physician and politician, 2nd President of Singapore (d. 1981) 1909 – Bruce Matthews, Canadian general and businessman (d. 1991) 1910 – Yusof bin Ishak, Singaporean journalist and politician, 1st President of Singapore (d. 1970) 1910 – Jane Wyatt, American actress (d. 2006) 1911 – Cantinflas, Mexican actor, screenwriter, and producer (d. 1993) 1912 – Samuel Fuller, American actor, director, and screenwriter (d. 1997) 1913 – Richard L. Bare, American director, producer, and screenwriter (d. 2015) 1914 – Gerd Buchdahl, German-English philosopher and author (d. 2001) 1914 – Ruth Lowe, Canadian pianist and songwriter (d. 1981) 1915 – Michael Kidd, American dancer and choreographer (d. 2007) 1916 – Ioan Dicezare, Romanian general and pilot (d. 2012) 1916 – Edward Pinkowski, American writer, journalist and Polonia historian (d. 2020) 1917 – Oliver Crawford, American screenwriter and author (d. 2008) 1918 – Sid Bernstein, American record producer (d. 2013) 1918 – Guy Gibson, Anglo-Indian commander and pilot, Victoria Cross recipient (d. 1944) 1919 – Margaret Burbidge, English-American astrophysicist and academic (d. 2020) 1919 – Vikram Sarabhai, Indian physicist and academic (d. 1971) 1920 – Charles Gibson, American ethnohistorian (d. 1985) 1920 – Percy Mayfield, American R&B singer-songwriter (d. 1984) 1922 – Fulton Mackay, Scottish actor and playwright (d. 1987) 1922 – Miloš Jakeš, Czech communist politician (d. 2020) 1923 – John Holt, Jamaican cricketer (d. 1997) 1924 – Derek Shackleton, English cricketer, coach, and umpire (d. 2007) 1924 – Muhammad Zia-ul-Haq, Pakistani general and politician, 6th President of Pakistan (d. 1988) 1925 – Dale Bumpers, American soldier, lawyer, and politician, 38th Governor of Arkansas (d. 2016) 1925 – Guillermo Cano Isaza, Colombian journalist (d. 1986) 1925 – Donald Justice, American poet and writing teacher (d. 2004) 1925 – Norris McWhirter, Scottish publisher and activist co-founded the Guinness World Records (d. 2004) 1925 – Ross McWhirter, Scottish publisher and activist, co-founded the Guinness World Records (d. 1975) 1925 – George Wetherill, American physicist and academic (d. 2006) 1926 – Douglas Croft, American child actor (d. 1963) 1926 – John Derek, American actor, director, and cinematographer (d. 1998) 1926 – Joe Jones, American R&B singer-songwriter and producer (d. 2005) 1927 – Porter Wagoner, American singer-songwriter and guitarist (d. 2007) 1928 – Charles Blackman, Australian painter and illustrator (d. 2018) 1928 – Bob Buhl, American baseball player (d. 2001) 1928 – Dan Curtis, American director and producer (d. 2006) 1929 – Buck Owens, American singer-songwriter and guitarist (d. 2006) 1930 – George Soros, Hungarian-American businessman and investor, founded the Soros Fund Management 1930 – Kanagaratnam Sriskandan, Sri Lankan engineer and civil servant (d. 2010) 1930 – Jacques Tits, Belgian-French mathematician and academic (d. 2021) 1931 – William Goldman, American author, playwright, and screenwriter (d. 2018) 1932 – Dallin H. Oaks, American lawyer, jurist, and religious leader 1932 – Charlie O'Donnell, American radio and television announcer (d. 2010) 1932 – Sirikit, Queen mother of Thailand 1933 – Parnelli Jones, American race car driver and businessman 1933 – Frederic Lindsay, Scottish author and educator (d. 2013) 1934 – Robin Nicholson, English metallurgist and academic 1935 – John Cazale, American actor (d. 1978) 1936 – Kjell Grede, Swedish director and screenwriter (d. 2017) 1937 – Walter Dean Myers, American author and poet (d. 2014) 1938 – Jean-Paul L'Allier, Canadian journalist and politician, 38th Mayor of Quebec City (d. 2016) 1939 – George Hamilton, American actor 1939 – David Jacobs, American television writer and producer (d. 2023) 1939 – S. Jayakumar, Singaporean politician, 4th Senior Minister of Singapore 1939 – Pam Kilborn, Australian track and field athlete 1939 – David King, South African chemist and academic 1939 – Sushil Koirala, Nepalese politician, 37th Prime Minister of Nepal (d. 2016) 1939 – Roy Romanow, Canadian lawyer and politician, 12th Premier of Saskatchewan 1940 – Eddie Barlow, South African cricketer and coach (d. 2005) 1940 – John Waller, English historical European martial arts (HEMA) revival pioneer and fight director (d. 2018) 1941 – L. M. Kit Carson, American actor, producer, and screenwriter (d. 2014) 1941 – Réjean Ducharme, Canadian author and playwright (d. 2017) 1941 – Dana Ivey, American actress 1942 – Hans-Wilhelm Müller-Wohlfahrt, German physician and author 1943 – Javeed Alam, Indian academician (d. 2016) 1945 – Dorothy E. Denning, American computer scientist and academic 1945 – Ron Mael, American keyboard player and songwriter 1946 – Terry Nutkins, English television host and author (d. 2012) 1947 – John Nathan-Turner, English author and television director, producer, and writer (d. 2002) 1948 – Siddaramaiah, Indian lawyer and politician, 22nd Chief Minister of Karnataka 1948 – Graham J. Zellick, English academic and jurist 1949 – Panagiotis Chinofotis, Greek admiral and politician 1949 – Mark Knopfler, Scottish-English singer-songwriter, guitarist, and producer 1949 – Lou Martin, Northern Irish pianist, songwriter, and producer (d. 2012) 1949 – Alex Naumik, Lithuanian-Norwegian singer-songwriter and producer (d. 2013) 1949 – Rick Ridgeway, American mountaineer and photographer 1950 – Jim Beaver, American actor, director, and screenwriter 1950 – August "Kid Creole" Darnell, American musician, bandleader, singer-songwriter, and record producer 1950 – George McGinnis, American basketball player 1951 – Klaus Toppmöller, German football manager and former player 1952 – Daniel Biles, American associate justice of the Kansas Supreme Court 1952 – Sitaram Yechury, Indian politician and leader of CPI(M) 1954 – Rob Borbidge, Australian politician, 35th Premier of Queensland 1954 – Leung Chun-ying, Hong Kong businessman and politician, 3rd Chief Executive of Hong Kong 1954 – Ibolya Dávid, Hungarian lawyer and politician, Minister of Justice of Hungary 1954 – François Hollande, French lawyer and politician, 24th President of France 1954 – Sam J. Jones, American actor 1954 – Pat Metheny, American jazz guitarist and composer 1956 – Lee Freedman, Australian horse trainer 1956 – Bruce Greenwood, Canadian actor and producer 1956 – Sidath Wettimuny, Sri Lankan cricketer 1957 – Friedhelm Schütte, German footballer 1957 – Amanda Redman, English actress 1958 – Jürgen Dehmel, German bass player and songwriter 1959 – Kerry Boustead, Australian rugby league player 1960 – Laurent Fignon, French cyclist and sportscaster (d. 2010) 1960 – Greg Thomas, Welsh-English cricketer 1961 – Roy Hay, English guitarist, keyboard player, and composer 1961 – Mark Priest, New Zealand cricketer 1963 – Kōji Kitao, Japanese sumo wrestler, the 60th Yokozuna (d. 2019) 1963 – Campbell Newman, Australian politician, 38th Premier of Queensland 1963 – Sir Mix-a-Lot, American rapper, producer, and actor 1964 – Txiki Begiristain, Spanish footballer 1964 – Michael Hagan, Australian rugby league player and coach 1965 – Peter Krause, American actor 1966 – Tobias Ellwood, American-English captain and politician 1967 – Andy Hui, Hong Kong singer-songwriter and actor 1967 – Andrey Plotnikov, Russian race walker 1967 – Regilio Tuur, Dutch boxer 1968 – Thorsten Boer, German footballer and manager 1969 – Aga Muhlach, Filipino actor and politician 1969 – Stuart Williams, Nevisian cricketer 1969 – Tanita Tikaram, British pop/folk singer-songwriter 1970 – Aleksandar Đurić, Bosnian footballer 1970 – Charles Mesure, English-Australian actor and screenwriter 1970 – Toby Perkins, English businessman and politician 1970 – Jim Schlossnagle, American baseball player and coach 1970 – Anthony Swofford, American soldier and author 1971 – Michael Ian Black, American comedian, actor, director, producer, and screenwriter 1971 – Yvette Nicole Brown, American actress, comedian, and talk show host 1971 – Rebecca Gayheart, American actress 1971 – Pete Sampras, American tennis player 1972 – Demir Demirkan, Turkish singer-songwriter and producer 1972 – Mark Kinsella, Irish footballer and manager 1972 – Takanohana Kōji, Japanese sumo wrestler, the 65th Yokozuna 1972 – Gyanendra Pandey, Indian cricketer 1972 – Del the Funky Homosapien, American rapper 1973 – Jonathan Coachman, American sportscaster and wrestler 1973 – Mark Iuliano, Italian footballer and manager 1973 – Todd Marchant, American ice hockey player and coach 1974 – Matt Clement, American baseball player and coach 1974 – Karl Stefanovic, Australian television host 1975 – Casey Affleck, American actor 1976 – Pedro Collins, Barbadian cricketer 1976 – Mikko Lindström, Finnish guitarist 1976 – Henry Tuilagi, Samoan rugby player 1976 – Antoine Walker, American basketball player 1977 – Plaxico Burress, American football player 1977 – Jesper Grønkjær, Danish footballer 1977 – Park Yong-ha, South Korean actor (d. 2010) 1978 – Chris Chambers, American football player 1978 – Hayley Wickenheiser, Canadian ice hockey player 1979 – D. J. Houlton, American baseball player 1979 – Ian Hutchinson, English motorcycle racer 1979 – Cindy Klassen, Canadian speed skater 1979 – Austra Skujytė, Lithuanian pentathlete 1980 – Javier Chevantón, Uruguayan footballer 1980 – Maggie Lawson, American actress 1980 – Dominique Swain, American actress 1980 – Matt Thiessen, Canadian-American singer-songwriter and guitarist 1981 – Tony Capaldi, Norwegian-Northern Irish footballer 1981 – Djibril Cissé, French footballer 1982 – Boban Grnčarov, Macedonian footballer 1982 – Alexandros Tzorvas, Greek footballer 1983 – Klaas-Jan Huntelaar, Dutch footballer 1983 – Kléber Giacomance de Souza Freitas, Brazilian footballer 1983 – Manoa Vosawai, Italian rugby player 1984 – Bryan Pata, American football player (d. 2006) 1985 – Danny Graham, English footballer 1985 – Franck Moutsinga, German rugby player 1986 – Andrei Agius, Maltese footballer 1986 – Kyle Arrington, American football player 1987 – Vanessa Watts, West Indian cricketer 1988 – Tyson Fury, English boxer 1988 – Matt Gillett, Australian rugby league player 1989 – Tom Cleverley, English footballer 1989 – Hong Jeong-ho, South Korean footballer 1989 – Sunye, South Korean singer 1990 – Mario Balotelli, Italian footballer 1990 – Marvin Zeegelaar, Dutch footballer 1990 – Martin Zurawsky, German footballer 1991 – Jesinta Campbell, Australian model 1991 – Sam Hoare, Australian rugby league player 1991 – LaKeith Stanfield, American actor and musician 1992 – Cara Delevingne, English model and actress 1992 – Jacob Loko, Australian rugby player 1992 – Teo Gheorghiu, Swiss pianist and actor 1993 – Ewa Farna, Czech singer-songwriter 1993 – Luna, South Korean singer, actress and presenter 1996 – Choi Yu-jin, South Korean singer and actress 1996 – Julio Urías, Mexican baseball player 1996 – Arthur Melo, Brazilian footballer 1996 – Samuel Moutoussamy, Congolese footballer 1998 – Stefanos Tsitsipas, Greek tennis player 1999 – Matthijs de Ligt, Dutch footballer 1999 – Dream, American YouTuber 1999 – Jule Niemeier, German tennis player 2000 – Tristan Charpentier, French racing driver 2001 – Dixie D'Amelio, American social media personality and singer Deaths Pre-1600 30 BC – Cleopatra, Egyptian queen (b. 69 BC) 792 – Jænberht, archbishop of Canterbury 875 – Louis II, Holy Roman Emperor (b. 825) 960 – Li Gu, chancellor of Later Zhou (b. 903) 961 – Yuan Zong, emperor of Southern Tang (b. 916) 1222 – Vladislaus III, duke of Bohemia 1295 – Charles Martel, king of Hungary (b. 1271) 1319 – Rudolf I, duke of Bavaria (b. 1274) 1315 – Guy de Beauchamp, 10th Earl of Warwick, English nobleman 1335 – Prince Moriyoshi, Japanese shōgun (b. 1308) 1399 – Demetrius I Starshy, Prince of Trubczewsk (in battle) (b. 1327) 1424 – Yongle, emperor of the Ming Empire (b. 1360) 1484 – Sixtus IV, pope of the Catholic Church (b. 1414) 1546 – Francisco de Vitoria, Spanish theologian (b. 1492) 1577 – Thomas Smith, English scholar and diplomat (b. 1513) 1588 – Alfonso Ferrabosco the elder, Italian-English composer (b. 1543) 1601–1900 1602 – Abu'l-Fazl ibn Mubarak, Mughal vizier and historian (b. 1551) 1612 – Giovanni Gabrieli, Italian organist and composer (b. 1557) 1638 – Johannes Althusius, German jurist and philosopher (b. 1557) 1674 – Philippe de Champaigne, Belgian-French painter and educator (b. 1602) 1689 – Pope Innocent XI (b. 1611) 1778 – Peregrine Bertie, 3rd Duke of Ancaster and Kesteven, English general and politician, Lord Lieutenant of Lincolnshire (b. 1714) 1809 – Mikhail Kamensky, Russian field marshal (b. 1738) 1810 – Étienne Louis Geoffroy, French pharmacist and entomologist (b. 1725) 1822 – Robert Stewart, Viscount Castlereagh, Irish-English politician, Secretary of State for Foreign Affairs (b. 1769) 1827 – William Blake, English poet and painter (b. 1757) 1829 – Charles Sapinaud de La Rairie, French general (b. 1760) 1848 – George Stephenson, English engineer and academic (b. 1781) 1849 – Albert Gallatin, Swiss-American ethnologist, linguist, and politician, 4th United States Secretary of the Treasury (b. 1761) 1861 – Eliphalet Remington, American inventor and businessman, founded Remington Arms (b. 1793) 1864 – Sakuma Shōzan, Japanese scholar and politician (b. 1811) 1865 – William Jackson Hooker, English botanist and academic (b. 1785) 1891 – James Russell Lowell, American poet and critic (b. 1819) 1896 – Thomas Chamberlain, American colonel (b. 1841) 1900 – Wilhelm Steinitz, Austrian chess player and theoretician (b. 1836) 1901–present 1901 – Adolf Erik Nordenskiöld, Finnish-Swedish botanist, geologist, mineralogist, and explorer (b. 1832) 1904 – William Renshaw, English tennis player (b. 1861) 1914 – John Philip Holland, Irish engineer, designed (b. 1840) 1918 – William Thompson, American archer (b. 1848) 1921 – Pyotr Boborykin, Russian playwright and journalist (b. 1836) 1922 – Arthur Griffith, Irish journalist and politician, 3rd President of Dáil Éireann (b. 1871) 1924 – Sándor Bródy, Hungarian journalist and author (b. 1863) 1928 – Leoš Janáček, Czech composer and educator (b. 1854) 1934 – Hendrik Petrus Berlage, Dutch architect, designed the Beurs van Berlage (b. 1856) 1935 – Friedrich Schottky, German mathematician and academic (b. 1851) 1940 – Nikolai Triik, Estonian painter, illustrator, and academic (b. 1884) 1941 – Freeman Freeman-Thomas, 1st Marquess of Willingdon, English soldier and politician, 56th Governor General of Canada (b. 1866) 1941 – Bobby Peel, English cricketer and umpire (b. 1857) 1943 – Vittorio Sella, Italian photographer and mountaineer (b. 1859) 1944 – Joseph P. Kennedy Jr., American lieutenant and pilot (b. 1915) 1952 – David Bergelson, Ukrainian author and playwright (b. 1884) 1955 – Thomas Mann, German author and critic, Nobel Prize laureate (b. 1875) 1955 – James B. Sumner, American chemist and academic, Nobel Prize laureate (b. 1887) 1959 – Mike O'Neill, Irish-American baseball player and manager (b. 1877) 1964 – Ian Fleming, English spy, journalist, and author (b. 1908) 1966 – Artur Alliksaar, Estonian poet and author (b. 1923) 1967 – Esther Forbes, American historian and author (b. 1891) 1973 – Walter Rudolf Hess, Swiss physiologist and academic, Nobel Prize laureate (b. 1881) 1973 – Karl Ziegler, German chemist and engineer, Nobel Prize laureate (b. 1898) 1976 – Tom Driberg, British politician/journalist (b. 1905) 1978 – John Williams, English motorcycle racer (b. 1946) 1979 – Ernst Boris Chain, German-Irish biochemist and academic, Nobel Prize laureate (b. 1906) 1982 – Henry Fonda, American actor (b. 1905) 1982 – Salvador Sánchez, Mexican boxer (b. 1959) 1983 – Theodor Burchardi, German admiral (b. 1892) 1984 – Ladi Kwali, Nigerian potter (b. 1925) 1985 – Kyu Sakamoto, Japanese singer-songwriter (b. 1941) 1985 – Manfred Winkelhock, German race car driver (b. 1951) 1986 – Evaline Ness, American author and illustrator (b. 1911) 1988 – Jean-Michel Basquiat, American painter (b. 1960) 1989 – Aimo Koivunen, Finnish soldier and corporal (b. 1917) 1989 – William Shockley, American physicist and academic, Nobel Prize laureate (b. 1910) 1990 – Dorothy Mackaill, English-American actress (b. 1903) 1992 – John Cage, American composer and theorist (b. 1912) 1996 – Victor Ambartsumian, Georgian-Armenian astrophysicist and academic (b. 1908) 1996 – Mark Gruenwald, American author and illustrator (b. 1953) 1997 – Jack Delano, American photographer and composer (b. 1914) 1999 – Jean Drapeau, Canadian lawyer and politician, 37th Mayor of Montreal (b. 1916) 2000 – Gennady Lyachin, Russian captain (b. 1955) 2000 – Loretta Young, American actress (b. 1913) 2002 – Enos Slaughter, American baseball player and manager (b. 1916) 2004 – Godfrey Hounsfield, English biophysicist and engineer, Nobel Prize laureate (b. 1919) 2005 – John Loder, English sound engineer and producer, founded Southern Studios (b. 1946) 2006 – Victoria Gray Adams, American civil rights activist (b. 1926) 2007 – Merv Griffin, American actor, singer, and producer, created Jeopardy! and Wheel of Fortune (b. 1925) 2007 – Mike Wieringo, American author and illustrator (b. 1963) 2008 – Christie Allen, English-Australian singer (b. 1954) 2008 – Helge Hagerup, Norwegian playwright, poet and novelist (b. 1933) 2009 – Les Paul, American guitarist and songwriter (b. 1915) 2010 – Isaac Bonewits, American Druid, author, and activist; founded Ár nDraíocht Féin (b. 1949) 2010 – Guido de Marco, Maltese lawyer and politician, 6th President of Malta (b. 1931) 2010 – Richie Hayward, American drummer and songwriter (b. 1946) 2010 – André Kim, South Korean fashion designer (b. 1935) 2011 – Robert Robinson, English journalist and author (b. 1927) 2012 – Jimmy Carr, American football player and coach (b. 1933) 2012 – Jerry Grant, American race car driver (b. 1935) 2012 – Joe Kubert, Polish-American illustrator, founded The Kubert School (b. 1926) 2012 – Édgar Morales Pérez, Mexican engineer and politician 2012 – Alf Morris, English politician and activist (b. 1928) 2013 – Tereza de Arriaga, Portuguese painter (b. 1915) 2013 – Hans-Ekkehard Bob, German soldier and pilot (b. 1917) 2013 – Pauline Maier, American historian and academic (b. 1938) 2013 – David McLetchie, Scottish lawyer and politician (b. 1952) 2013 – Vasiliy Mihaylovich Peskov, Russian ecologist and journalist (b. 1930) 2014 – Lauren Bacall, American model, actress, and singer (b. 1924) 2014 – Futatsuryū Jun'ichi, Japanese sumo wrestler (b. 1950) 2014 – Kongō Masahiro, Japanese sumo wrestler (b. 1948) 2015 – Jaakko Hintikka, Finnish philosopher and academic (b. 1929) 2015 – Stephen Lewis, English actor and screenwriter (b. 1926) 2015 – Meshulim Feish Lowy, Hungarian-Canadian rabbi and author (b. 1921) 2015 – John Scott, English organist and conductor (b. 1956) 2016 – Juan Pedro de Miguel, Spanish handball player (b. 1958) 2017 – Bryan Murray, Canadian ice hockey coach (b. 1942) 2019 – DJ Arafat, Ivorian DJ and singer (b. 1986) 2020 – Bill Yeoman, American college football player and coach (b. 1927) 2021 – Una Stubbs, English actress, TV personality, and dancer (b. 1937) Holidays and observances Christian feast day: Euplius Eusebius of Milan Herculanus of Brescia Pope Innocent XI Jænberht Jane Frances de Chantal Muiredach (or Murtagh) Porcarius II August 12 (Eastern Orthodox liturgics) Glorious Twelfth (United Kingdom) HM the Queen Mother's Birthday and National Mother's Day (Thailand) International Youth Day (United Nations) Russian Air Force Day (Russia) Russian Railway Troops Day (Russia) Sea Org Day (Scientology) World Elephant Day (International) References External links Days of the year August
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https://en.wikipedia.org/wiki/Alfred%20Russel%20Wallace
Alfred Russel Wallace
Alfred Russel Wallace (8 January 1823 – 7 November 1913) was an English naturalist, explorer, geographer, anthropologist, biologist and illustrator. He independently conceived the theory of evolution through natural selection; his 1858 paper on the subject was published that year alongside extracts from Charles Darwin's earlier writings on the topic. It spurred Darwin to set aside the "big species book" he was drafting and quickly write an abstract of it, which was published in 1859 as On the Origin of Species. Wallace did extensive fieldwork, starting in the Amazon River basin. He then did fieldwork in the Malay Archipelago, where he identified the faunal divide now termed the Wallace Line, which separates the Indonesian archipelago into two distinct parts: a western portion in which the animals are largely of Asian origin, and an eastern portion where the fauna reflect Australasia. He was considered the 19th century's leading expert on the geographical distribution of animal species, and is sometimes called the "father of biogeography", or more specifically of zoogeography. Wallace was one of the leading evolutionary thinkers of the 19th century, working on warning coloration in animals and reinforcement (sometimes known as the Wallace effect), a way that natural selection could contribute to speciation by encouraging the development of barriers against hybridisation. Wallace's 1904 book Man's Place in the Universe was the first serious attempt by a biologist to evaluate the likelihood of life on other planets. He was one of the first scientists to write a serious exploration of whether there was life on Mars. Aside from scientific work, he was a social activist, critical of what he considered to be an unjust social and economic system in 19th-century Britain. His advocacy of spiritualism and his belief in a non-material origin for the higher mental faculties of humans strained his relationship with other scientists. He was one of the first prominent scientists to raise concerns over the environmental impact of human activity. He wrote prolifically on both scientific and social issues; his account of his adventures and observations during his explorations in Southeast Asia, The Malay Archipelago, was first published in 1869. It continues to be both popular and highly regarded. Biography Early life Alfred Russel Wallace was born on 8 January 1823 in Llanbadoc, Monmouthshire. He was the eighth of nine children born to Mary Anne Wallace () and Thomas Vere Wallace. His mother was English, while his father was of Scottish ancestry. His family claimed a connection to William Wallace, a leader of Scottish forces during the Wars of Scottish Independence in the 13th century. Wallace's father graduated in law but never practised it. He owned some income-generating property, but bad investments and failed business ventures resulted in a steady deterioration of the family's financial position. Wallace's mother was from a middle-class family of Hertford, to which place his family moved when Wallace was five years old. He attended Hertford Grammar School until 1837, when he reached the age of 14, the normal leaving age for a pupil not going on to university. Wallace then moved to London to board with his older brother John, a 19-year-old apprentice builder. This was a stopgap measure until William, his oldest brother, was ready to take him on as an apprentice surveyor. While in London, Alfred attended lectures and read books at the London Mechanics Institute. Here he was exposed to the radical political ideas of the Welsh social reformer Robert Owen and of the English-born political theorist Thomas Paine. He left London in 1837 to live with William and work as his apprentice for six years. They moved repeatedly to different places in Mid-Wales. Then at the end of 1839, they moved to Kington, Herefordshire, near the Welsh border, before eventually settling at Neath in Wales. Between 1840 and 1843, Wallace worked as a land surveyor in the countryside of the west of England and Wales. The natural history of his surroundings aroused his interest; from 1841 he collected flowers and plants as an amateur botanist. One result of Wallace's early travels is a modern controversy about his nationality. Since he was born in Monmouthshire, some sources have considered him to be Welsh. Other historians have questioned this because neither of his parents were Welsh, his family only briefly lived in Monmouthshire, the Welsh people Wallace knew in his childhood considered him to be English, and because he consistently referred to himself as English rather than Welsh. One Wallace scholar has stated that the most reasonable interpretation is therefore that he was an Englishman born in Wales. In 1843 Wallace's father died, and a decline in demand for surveying meant William's business no longer had work available. For a short time Wallace was unemployed, then early in 1844 he was engaged by the Collegiate School in Leicester to teach drawing, mapmaking, and surveying. He had already read George Combe's The Constitution of Man, and after Spencer Hall lectured on mesmerism, Wallace as well as some of the older pupils tried it out. Wallace spent many hours at the town library in Leicester; he read An Essay on the Principle of Population by Thomas Robert Malthus, Alexander von Humboldt's Personal Narrative, Darwin's Journal (The Voyage of the Beagle), and Charles Lyell's Principles of Geology. One evening Wallace met the entomologist Henry Bates, who was 19 years old, and had published an 1843 paper on beetles in the journal Zoologist. He befriended Wallace and started him collecting insects. When Wallace's brother William died in March 1845, Wallace left his teaching position to assume control of his brother's firm in Neath, but his brother John and he were unable to make the business work. After a few months, he found work as a civil engineer for a nearby firm that was working on a survey for a proposed railway in the Vale of Neath. Wallace's work on the survey was largely outdoors in the countryside, allowing him to indulge his new passion for collecting insects. Wallace persuaded his brother John to join him in starting another architecture and civil engineering firm. It carried out projects including the design of a building for the Neath Mechanics' Institute, founded in 1843. William Jevons, the founder of that institute, was impressed by Wallace and persuaded him to give lectures there on science and engineering. In the autumn of 1846, John and he purchased a cottage near Neath, where they lived with their mother and sister Fanny. During this period, he exchanged letters with Bates about books. He had re-read Darwin's Journal, and said "As the Journal of a scientific traveller, it is second only to Humboldt's 'Personal Narrative'—as a work of general interest, perhaps superior to it." In 1845, Wallace had been convinced by Robert Chambers's anonymously published treatise on progressive development, Vestiges of the Natural History of Creation, and found Bates to be more critical. Exploration and study of the natural world Inspired by the chronicles of earlier and contemporary travelling naturalists, Wallace decided to travel abroad. He later wrote that Darwin's Journal and Humboldt's Personal Narrative were "the two works to whose inspiration I owe my determination to visit the tropics as a collector." After reading A voyage up the river Amazon, by William Henry Edwards, Wallace and Bates estimated that by collecting and selling natural history specimens such as birds and insects they could meet their costs, with the prospect of good profits. They therefore engaged as their agent Samuel Stevens who would advertise and arrange sales to institutions and private collectors, for a commission of 20% on sales plus 5% on despatching freight and remittances of money. In 1848, Wallace and Bates left for Brazil aboard the Mischief. They intended to collect insects and other animal specimens in the Amazon Rainforest for their private collections, selling the duplicates to museums and collectors back in Britain to fund the trip. Wallace hoped to gather evidence of the transmutation of species. Bates and he spent most of their first year collecting near Belém, then explored inland separately, occasionally meeting to discuss their findings. In 1849, they were briefly joined by another young explorer, the botanist Richard Spruce, along with Wallace's younger brother Herbert. Herbert soon left (dying two years later from yellow fever), but Spruce, like Bates, would spend over ten years collecting in South America. Wallace spent four years charting the Rio Negro, collecting specimens and making notes on the peoples and languages he encountered as well as the geography, flora, and fauna. On 12 July 1852, Wallace embarked for the UK on the brig Helen. After 25 days at sea, the ship's cargo caught fire, and the crew was forced to abandon ship. All the specimens Wallace had on the ship, mostly collected during the last, and most interesting, two years of his trip, were lost. He managed to save a few notes and pencil sketches, but little else. Wallace and the crew spent ten days in an open boat before being picked up by the brig Jordeson, which was sailing from Cuba to London. The Jordeson provisions were strained by the unexpected passengers, but after a difficult passage on short rations, the ship reached its destination on 1 October 1852. The lost collection had been insured for £200 by Stevens. After his return to Britain, Wallace spent 18 months in London living on the insurance payment, and selling a few specimens that had been shipped home. During this period, despite having lost almost all the notes from his South American expedition, he wrote six academic papers (including "On the Monkeys of the Amazon") and two books, Palm Trees of the Amazon and Their Uses and Travels on the Amazon. At the same time, he made connections with several other British naturalists. Bates and others were collecting in the Amazon area, Wallace was more interested in new opportunities in the Malay Archipelago as demonstrated by the travel writings of Ida Laura Pfeiffer, and valuable insect specimens she collected which Stevens sold as her agent. In March 1853 Wallace wrote to Sir James Brooke, Rajah of Sarawak, who was then in London, and who arranged assistance in Sarawak for Wallace. In June Wallace wrote to Murchison at the Royal Geographical Society (RGS) for support, proposing to again fund his exploring entirely from sale of duplicate collections. He later recalled that, while researching in the insect-room of the British Museum, he was introduced to Darwin and they "had a few minutes' conversation." After presenting a paper and a large map of the Rio Negro to the RGS, Wallace was elected a Fellow of the society on 27 February 1854. Free passage arranged on Royal Navy ships was stalled by the Crimean War, but eventually the RGS funded first class travel by P&O steamships. Wallace and a young assistant, Charles Allen, embarked at Southampton on 4 March 1854. After the overland journey to Suez and another change of ship at Ceylon they disembarked at Singapore on 19 April 1854. From 1854 to 1862, Wallace travelled around the islands of the Malay Archipelago or East Indies (now Singapore, Malaysia and Indonesia). His main objective "was to obtain specimens of natural history, both for my private collection and to supply duplicates to museums and amateurs". In addition to Allen, he "generally employed one or two, and sometimes three Malay servants" as assistants, and paid large numbers of local people at various places to bring specimens. His total was 125,660 specimens, most of which were insects including more than 83,000 beetles, Several thousand of the specimens represented species new to science, Overall, more than thirty men worked for him at some stage as full-time paid collectors. He also hired guides, porters, cooks and boat crews, so well over 100 individuals worked for him. After collecting expeditions to Bukit Timah Hill in Singapore, and to Malacca, Wallace and Allen reached Sarawak in October 1854, and were welcomed at Kuching by Sir James Brooke's (then) heir Captain John Brooke. Wallace hired a Malay named Ali as a general servant and cook, and spent the early 1855 wet season in a small Dyak house at the foot of Mount Santubong, overlooking a branch outlet of the Sarawak River. He read about species distribution, and wrote his "Sarawak Paper". In March he moved to the Simunjon coal-works, operated by the Borneo Company under Ludvig Verner Helms, and supplemented collecting by paying workers a cent for each insect. A specimen of the previously unknown gliding tree frog Rhacophorus nigropalmatus (now called Wallace's flying frog) came from a Chinese workman who told Wallace that it glided down. Local people also assisted with shooting orangutans. They spent time with Sir James, then in February 1856 Allen chose to stay on with the missionaries at Kuching. On reaching Singapore in May 1856, Wallace hired a bird-skinner. With Ali as cook, they collected for two days on Bali, then from 17 June to 30 August on Lombok. In December 1856, Darwin had written to contacts worldwide to get specimens for his continuing research into variation under domestication. At Lombok's port city, Ampanam, Wallace wrote telling his agent, Stevens, about specimens shipped, including a domestic duck variety "for Mr. Darwin & he would perhaps also like the jungle cock, which is often domesticated here & is doubtless one of the originals of the domestic breed of poultry." In the same letter, Wallace said birds from Bali and Lombok, divided by a narrow strait, "belong to two quite distinct zoological provinces, of which they form the extreme limits", Java, Borneo, Sumatra and Malacca, and Australia and the Moluccas. Stevens arranged publication of relevant paragraphs in the January 1857 issue of The Zoologist. After further investigation, the zoogeographical boundary eventually became known as the Wallace Line. Ali became Wallace's most trusted assistant, a skilled collector and researcher. Wallace collected and preserved the delicate insect specimens, while most of the birds were collected and prepared by his assistants; of those, Ali collected and prepared around 5000. While exploring the archipelago, Wallace refined his thoughts about evolution, and had his famous insight on natural selection. In 1858 he sent an article outlining his theory to Darwin; it was published, along with a description of Darwin's theory, that same year. Accounts of Wallace's studies and adventures were eventually published in 1869 as The Malay Archipelago. This became one of the most popular books of scientific exploration of the 19th century, and has never been out of print. It was praised by scientists such as Darwin (to whom the book was dedicated), by Lyell, and by non-scientists such as the novelist Joseph Conrad. Conrad called the book his "favorite bedside companion" and used information from it for several of his novels, especially Lord Jim. A set of 80 bird skeletons Wallace collected in Indonesia are held in the Cambridge University Museum of Zoology, and described as of exceptional historical significance. Return to England, marriage and children In 1862, Wallace returned to England, where he moved in with his sister Fanny Sims and her husband Thomas. While recovering from his travels, Wallace organised his collections and gave numerous lectures about his adventures and discoveries to scientific societies such as the Zoological Society of London. Later that year, he visited Darwin at Down House, and became friendly with both Lyell and the philosopher Herbert Spencer. During the 1860s, Wallace wrote papers and gave lectures defending natural selection. He corresponded with Darwin about topics including sexual selection, warning coloration, and the possible effect of natural selection on hybridisation and the divergence of species. In 1865, he began investigating spiritualism. After a year of courtship, Wallace became engaged in 1864 to a young woman whom, in his autobiography, he would only identify as Miss L. Miss L. was the daughter of Lewis Leslie who played chess with Wallace, but to Wallace's great dismay, she broke off the engagement. In 1866, Wallace married Annie Mitten. Wallace had been introduced to Mitten through the botanist Richard Spruce, who had befriended Wallace in Brazil and who was a friend of Annie Mitten's father, William Mitten, an expert on mosses. In 1872, Wallace built the Dell, a house of concrete, on land he leased in Grays in Essex, where he lived until 1876. The Wallaces had three children: Herbert (1867–1874), Violet (1869–1945), and William (1871–1951). Financial struggles In the late 1860s and 1870s, Wallace was very concerned about the financial security of his family. While he was in the Malay Archipelago, the sale of specimens had brought in a considerable amount of money, which had been carefully invested by the agent who sold the specimens for Wallace. On his return to the UK, Wallace made a series of bad investments in railways and mines that squandered most of the money, and he found himself badly in need of the proceeds from the publication of The Malay Archipelago. Despite assistance from his friends, he was never able to secure a permanent salaried position such as a curatorship in a museum. To remain financially solvent, Wallace worked grading government examinations, wrote 25 papers for publication between 1872 and 1876 for various modest sums, and was paid by Lyell and Darwin to help edit some of their works. In 1876, Wallace needed a £500 advance from the publisher of The Geographical Distribution of Animals to avoid having to sell some of his personal property. Darwin was very aware of Wallace's financial difficulties and lobbied long and hard to get Wallace awarded a government pension for his lifetime contributions to science. When the £200 annual pension was awarded in 1881, it helped to stabilise Wallace's financial position by supplementing the income from his writings. Social activism In 1881, Wallace was elected as the first president of the newly formed Land Nationalisation Society. In the next year, he published a book, Land Nationalisation; Its Necessity and Its Aims, on the subject. He criticised the UK's free trade policies for the negative impact they had on working-class people. In 1889, Wallace read Looking Backward by Edward Bellamy and declared himself a socialist, despite his earlier foray as a speculative investor. After reading Progress and Poverty, the bestselling book by the progressive land reformist Henry George, Wallace described it as "Undoubtedly the most remarkable and important book of the present century." Wallace opposed eugenics, an idea supported by other prominent 19th-century evolutionary thinkers, on the grounds that contemporary society was too corrupt and unjust to allow any reasonable determination of who was fit or unfit. In his 1890 article "Human Selection" he wrote, "Those who succeed in the race for wealth are by no means the best or the most intelligent ..." He said, "The world does not want the eugenicist to set it straight," "Give the people good conditions, improve their environment, and all will tend towards the highest type. Eugenics is simply the meddlesome interference of an arrogant, scientific priestcraft." In 1898, Wallace wrote a paper advocating a pure paper money system, not backed by silver or gold, which impressed the economist Irving Fisher so much that he dedicated his 1920 book Stabilizing the Dollar to Wallace. Wallace wrote on other social and political topics, including in support of women's suffrage and repeatedly on the dangers and wastefulness of militarism. In an 1899 essay, he called for popular opinion to be rallied against warfare by showing people "that all modern wars are dynastic; that they are caused by the ambition, the interests, the jealousies, and the insatiable greed of power of their rulers, or of the great mercantile and financial classes which have power and influence over their rulers; and that the results of war are never good for the people, who yet bear all its burthens (burdens)". In a letter published by the Daily Mail in 1909, with aviation in its infancy, he advocated an international treaty to ban the military use of aircraft, arguing against the idea "that this new horror is 'inevitable', and that all we can do is to be sure and be in the front rank of the aerial assassins—for surely no other term can so fitly describe the dropping of, say, ten thousand bombs at midnight into an enemy's capital from an invisible flight of airships." In 1898, Wallace published The Wonderful Century: Its Successes and Its Failures, about developments in the 19th century. The first part of the book covered the major scientific and technical advances of the century; the second part covered what Wallace considered to be its social failures including the destruction and waste of wars and arms races, the rise of the urban poor and the dangerous conditions in which they lived and worked, a harsh criminal justice system that failed to reform criminals, abuses in a mental health system based on privately owned sanatoriums, the environmental damage caused by capitalism, and the evils of European colonialism. Wallace continued his social activism for the rest of his life, publishing the book The Revolt of Democracy just weeks before his death. Further scientific work In 1880, he published Island Life as a sequel to The Geographic Distribution of Animals. In November 1886, Wallace began a ten-month trip to the United States to give a series of popular lectures. Most of the lectures were on Darwinism (evolution through natural selection), but he also gave speeches on biogeography, spiritualism, and socio-economic reform. During the trip, he was reunited with his brother John who had emigrated to California years before. He spent a week in Colorado, with the American botanist Alice Eastwood as his guide, exploring the flora of the Rocky Mountains and gathering evidence that would lead him to a theory on how glaciation might explain certain commonalities between the mountain flora of Europe, Asia and North America, which he published in 1891 in the paper "English and American Flowers". He met many other prominent American naturalists and viewed their collections. His 1889 book Darwinism used information he collected on his American trip and information he had compiled for the lectures. Death On 7 November 1913, Wallace died at home, aged 90, in the country house he called Old Orchard, which he had built a decade earlier. His death was widely reported in the press. The New York Times called him "the last of the giants [belonging] to that wonderful group of intellectuals composed of Darwin, Huxley, Spencer, Lyell, Owen, and other scientists, whose daring investigations revolutionized and evolutionized the thought of the century". Another commentator in the same edition said: "No apology need be made for the few literary or scientific follies of the author of that great book on the 'Malay Archipelago'." Some of Wallace's friends suggested that he be buried in Westminster Abbey, but his wife followed his wishes and had him buried in the small cemetery at Broadstone, Dorset. Several prominent British scientists formed a committee to have a medallion of Wallace placed in Westminster Abbey near where Darwin had been buried. The medallion was unveiled on 1 November 1915. Theory of evolution Early evolutionary thinking Wallace began his career as a travelling naturalist who already believed in the transmutation of species. The concept had been advocated by Jean-Baptiste Lamarck, Geoffroy Saint-Hilaire, Erasmus Darwin, and Robert Grant, among others. It was widely discussed, but not generally accepted by leading naturalists, and was considered to have radical, even revolutionary connotations. Prominent anatomists and geologists such as Georges Cuvier, Richard Owen, Adam Sedgwick, and Lyell attacked transmutation vigorously. It has been suggested that Wallace accepted the idea of the transmutation of species in part because he was always inclined to favour radical ideas in politics, religion and science, and because he was unusually open to marginal, even fringe, ideas in science. Wallace was profoundly influenced by Robert Chambers's Vestiges of the Natural History of Creation, a controversial work of popular science published anonymously in 1844. It advocated an evolutionary origin for the solar system, the earth, and living things. Wallace wrote to Henry Bates in 1845 describing it as "an ingenious hypothesis strongly supported by some striking facts and analogies, but which remains to be proven by ... more research". In 1847, he wrote to Bates that he would "like to take some one family [of beetles] to study thoroughly, ... with a view to the theory of the origin of species." Wallace planned fieldwork to test the evolutionary hypothesis that closely related species should inhabit neighbouring territories. During his work in the Amazon basin, he came to realise that geographical barriers—such as the Amazon and its major tributaries—often separated the ranges of closely allied species. He included these observations in his 1853 paper "On the Monkeys of the Amazon". Near the end of the paper he asked the question, "Are very closely allied species ever separated by a wide interval of country?" In February 1855, while working in Sarawak on the island of Borneo, Wallace wrote "On the Law which has Regulated the Introduction of New Species". The paper was published in the Annals and Magazine of Natural History in September 1855. In this paper, he discussed observations of the geographic and geologic distribution of both living and fossil species, a field that became biogeography. His conclusion that "Every species has come into existence coincident both in space and time with a closely allied species" has come to be known as the "Sarawak Law", answering his own question in his paper on the monkeys of the Amazon basin. Although it does not mention possible mechanisms for evolution, this paper foreshadowed the momentous paper he would write three years later. The paper challenged Lyell's belief that species were immutable. Although Darwin had written to him in 1842 expressing support for transmutation, Lyell had continued to be strongly opposed to the idea. Around the start of 1856, he told Darwin about Wallace's paper, as did Edward Blyth who thought it "Good! Upon the whole! ... Wallace has, I think put the matter well; and according to his theory the various domestic races of animals have been fairly developed into species." Despite this hint, Darwin mistook Wallace's conclusion for the progressive creationism of the time, writing that it was "nothing very new ... Uses my simile of tree [but] it seems all creation with him." Lyell was more impressed, and opened a notebook on species in which he grappled with the consequences, particularly for human ancestry. Darwin had already shown his theory to their mutual friend Joseph Hooker and now, for the first time spelt out the full details of natural selection to Lyell. Although Lyell could not agree, he urged Darwin to publish to establish priority. Darwin demurred at first, but began writing up a species sketch of his continuing work in May 1856. Natural selection and Darwin By February 1858, Wallace had been convinced by his biogeographical research in the Malay Archipelago that evolution was real. He later wrote in his autobiography that the problem was of how species change from one well-marked form to another. He stated that it was while he was in bed with a fever that he thought about Malthus's idea of positive checks on human population, and had the idea of natural selection. His autobiography says that he was on the island of Ternate at the time; but the evidence of his journal suggests that he was in fact on the island of Gilolo. From 1858 to 1861, he rented a house on Ternate from the Dutchman Maarten Dirk van Renesse van Duivenbode, which he used as a base for expeditions to other islands such as Gilolo. Wallace describes how he discovered natural selection as follows: Wallace had once briefly met Darwin, and was one of the correspondents whose observations Darwin used to support his own theories. Although Wallace's first letter to Darwin has been lost, Wallace carefully kept the letters he received. In the first letter, dated 1 May 1857, Darwin commented that Wallace's letter of 10 October which he had recently received, as well as Wallace's paper "On the Law which has regulated the Introduction of New Species" of 1855, showed that they thought alike, with similar conclusions, and said that he was preparing his own work for publication in about two years time. The second letter, dated 22 December 1857, said how glad he was that Wallace was theorising about distribution, adding that "without speculation there is no good and original observation" but commented that "I believe I go much further than you". Wallace believed this and sent Darwin his February 1858 essay, "On the Tendency of Varieties to Depart Indefinitely From the Original Type", asking Darwin to review it and pass it to Charles Lyell if he thought it worthwhile. Although Wallace had sent several articles for journal publication during his travels through the Malay archipelago, the Ternate essay was in a private letter. Darwin received the essay on 18 June 1858. Although the essay did not use Darwin's term "natural selection", it did outline the mechanics of an evolutionary divergence of species from similar ones due to environmental pressures. In this sense, it was very similar to the theory that Darwin had worked on for 20 years, but had yet to publish. Darwin sent the manuscript to Charles Lyell with a letter saying "he could not have made a better short abstract! Even his terms now stand as heads of my chapters ... he does not say he wishes me to publish, but I shall, of course, at once write and offer to send to any journal." Distraught about the illness of his baby son, Darwin put the problem to Charles Lyell and Joseph Hooker, who decided to publish the essay in a joint presentation together with unpublished writings which highlighted Darwin's priority. Wallace's essay was presented to the Linnean Society of London on 1 July 1858, along with excerpts from an essay which Darwin had disclosed privately to Hooker in 1847 and a letter Darwin had written to Asa Gray in 1857. Communication with Wallace in the far-off Malay Archipelago involved months of delay, so he was not part of this rapid publication. Wallace accepted the arrangement after the fact, happy that he had been included at all, and never expressed bitterness in public or in private. Darwin's social and scientific status was far greater than Wallace's, and it was unlikely that, without Darwin, Wallace's views on evolution would have been taken seriously. Lyell and Hooker's arrangement relegated Wallace to the position of co-discoverer, and he was not the social equal of Darwin or the other prominent British natural scientists. All the same, the joint reading of their papers on natural selection associated Wallace with the more famous Darwin. This, combined with Darwin's (as well as Hooker's and Lyell's) advocacy on his behalf, would give Wallace greater access to the highest levels of the scientific community. The reaction to the reading was muted, with the president of the Linnean Society remarking in May 1859 that the year had not been marked by any striking discoveries; but, with Darwin's publication of On the Origin of Species later in 1859, its significance became apparent. When Wallace returned to the UK, he met Darwin. Although some of Wallace's opinions in the ensuing years would test Darwin's patience, they remained on friendly terms for the rest of Darwin's life. Over the years, a few people have questioned this version of events. In the early 1980s, two books, one by Arnold Brackman and another by John Langdon Brooks, suggested not only that there had been a conspiracy to rob Wallace of his proper credit, but that Darwin had actually stolen a key idea from Wallace to finish his own theory. These claims have been examined and found unconvincing by a number of scholars. Shipping schedules show that, contrary to these accusations, Wallace's letter could not have been delivered earlier than the date shown in Darwin's letter to Lyell. Defence of Darwin and his ideas After Wallace returned to England in 1862, he became one of the staunchest defenders of Darwin's On the Origin of Species. In an incident in 1863 that particularly pleased Darwin, Wallace published the short paper "Remarks on the Rev. S. Haughton's Paper on the Bee's Cell, And on the Origin of Species". This rebutted a paper by a professor of geology at the University of Dublin that had sharply criticised Darwin's comments in the Origin on how hexagonal honey bee cells could have evolved through natural selection. An even longer defence was a 1867 article in the Quarterly Journal of Science called "Creation by Law". It reviewed George Campbell, the 8th Duke of Argyll's book, The Reign of Law, which aimed to refute natural selection. After an 1870 meeting of the British Science Association, Wallace wrote to Darwin complaining that there were "no opponents left who know anything of natural history, so that there are none of the good discussions we used to have". Differences between Darwin and Wallace Historians of science have noted that, while Darwin considered the ideas in Wallace's paper to be essentially the same as his own, there were differences. Darwin emphasised competition between individuals of the same species to survive and reproduce, whereas Wallace emphasised environmental pressures on varieties and species forcing them to become adapted to their local conditions, leading populations in different locations to diverge. The historian of science Peter J. Bowler has suggested that in the paper he mailed to Darwin, Wallace might have been discussing group selection. Against this, Malcolm Kottler showed that Wallace was indeed discussing individual variation and selection. Others have noted that Wallace appeared to have envisioned natural selection as a kind of feedback mechanism that kept species and varieties adapted to their environment (now called 'stabilizing", as opposed to 'directional' selection). They point to a largely overlooked passage of Wallace's famous 1858 paper, in which he likened "this principle ... [to] the centrifugal governor of the steam engine, which checks and corrects any irregularities". The cybernetician and anthropologist Gregory Bateson observed in the 1970s that, although writing it only as an example, Wallace had "probably said the most powerful thing that'd been said in the 19th Century". Bateson revisited the topic in his 1979 book Mind and Nature: A Necessary Unity, and other scholars have continued to explore the connection between natural selection and systems theory. Warning coloration and sexual selection Warning coloration was one of Wallace's contributions to the evolutionary biology of animal coloration. In 1867, Darwin wrote to Wallace about a problem in explaining how some caterpillars could have evolved conspicuous colour schemes. Darwin had come to believe that many conspicuous animal colour schemes were due to sexual selection, but he saw that this could not apply to caterpillars. Wallace responded that he and Bates had observed that many of the most spectacular butterflies had a peculiar odour and taste, and that he had been told by John Jenner Weir that birds would not eat a certain kind of common white moth because they found it unpalatable. Since the moth was as conspicuous at dusk as a coloured caterpillar in daylight, it seemed likely that the conspicuous colours served as a warning to predators and thus could have evolved through natural selection. Darwin was impressed by the idea. At a later meeting of the Entomological Society, Wallace asked for any evidence anyone might have on the topic. In 1869, Weir published data from experiments and observations involving brightly coloured caterpillars that supported Wallace's idea. Wallace attributed less importance than Darwin to sexual selection. In his 1878 book Tropical Nature and Other Essays, he wrote extensively about the coloration of animals and plants, and proposed alternative explanations for a number of cases Darwin had attributed to sexual selection. He revisited the topic at length in his 1889 book Darwinism. In 1890, he wrote a critical review in Nature of his friend Edward Bagnall Poulton's The Colours of Animals which supported Darwin on sexual selection, attacking especially Poulton's claims on the "aesthetic preferences of the insect world". Wallace effect In 1889, Wallace wrote the book Darwinism, which explained and defended natural selection. In it, he proposed the hypothesis that natural selection could drive the reproductive isolation of two varieties by encouraging the development of barriers against hybridisation. Thus it might contribute to the development of new species. He suggested the following scenario: When two populations of a species had diverged beyond a certain point, each adapted to particular conditions, hybrid offspring would be less adapted than either parent form and so natural selection would tend to eliminate the hybrids. Furthermore, under such conditions, natural selection would favour the development of barriers to hybridisation, as individuals that avoided hybrid matings would tend to have more fit offspring, and thus contribute to the reproductive isolation of the two incipient species. This idea came to be known as the Wallace effect, later called reinforcement. Wallace had suggested to Darwin that natural selection could play a role in preventing hybridisation in private correspondence as early as 1868, but had not worked it out to this level of detail. It continues to be a topic of research in evolutionary biology today, with both computer simulation and empirical results supporting its validity. Application of theory to humans, and role of teleology in evolution In 1864, Wallace published a paper, "The Origin of Human Races and the Antiquity of Man Deduced from the Theory of 'Natural Selection, applying the theory to humankind. Darwin had not yet publicly addressed the subject, although Thomas Huxley had in Evidence as to Man's Place in Nature. Wallace explained the apparent stability of the human stock by pointing to the vast gap in cranial capacities between humans and the great apes. Unlike some other Darwinists, including Darwin himself, he did not "regard modern primitives as almost filling the gap between man and ape". He saw the evolution of humans in two stages: achieving a bipedal posture that freed the hands to carry out the dictates of the brain, and the "recognition of the human brain as a totally new factor in the history of life". Wallace seems to have been the first evolutionist to see that the human brain effectively made further specialisation of the body unnecessary. Wallace wrote the paper for the Anthropological Society of London to address the debate between the supporters of monogenism, the belief that all human races shared a common ancestor and were one species, and the supporters of polygenism, who held that different races had separate origins and were different species. Wallace's anthropological observations of Native Americans in the Amazon, and especially his time living among the Dayak people of Borneo, had convinced him that human beings were a single species with a common ancestor. He still felt that natural selection might have continued to act on mental faculties after the development of the different races; and he did not dispute the nearly universal view among European anthropologists of the time that Europeans were intellectually superior to other races. According to political scientist Adam Jones, "Wallace found little difficulty in reconciling the extermination of native peoples with his progressive political views". In 1864, in the aforementioned paper, he stated "It is the same great law of the preservation of favored races in the struggle for life, which leads to the inevitable extinction of all those low and mentally undeveloped populations with which Europeans come in contact." He argued that the natives die out due to an unequal struggle. Shortly afterwards, Wallace became a spiritualist. At about the same time, he began to maintain that natural selection could not account for mathematical, artistic, or musical genius, metaphysical musings, or wit and humour. He stated that something in "the unseen universe of Spirit" had interceded at least three times in history: the creation of life from inorganic matter; the introduction of consciousness in the higher animals; and the generation of the higher mental faculties in humankind. He believed that the raison d'être of the universe was the development of the human spirit. While some historians have concluded that Wallace's belief that natural selection was insufficient to explain the development of consciousness and the higher functions of the human mind was directly caused by his adoption of spiritualism, other scholars have disagreed, and some maintain that Wallace never believed natural selection applied to those areas. Reaction to Wallace's ideas on this topic among leading naturalists at the time varied. Lyell endorsed Wallace's views on human evolution rather than Darwin's. Wallace's belief that human consciousness could not be entirely a product of purely material causes was shared by a number of prominent intellectuals in the late 19th and early 20th centuries. All the same, many, including Huxley, Hooker, and Darwin himself, were critical of Wallace's views. As the historian of science and sceptic Michael Shermer has stated, Wallace's views in this area were at odds with two major tenets of the emerging Darwinian philosophy. These were that evolution was not teleological (purpose-driven), and that it was not anthropocentric (human-centred). Much later in his life Wallace returned to these themes, that evolution suggested that the universe might have a purpose, and that certain aspects of living organisms might not be explainable in terms of purely materialistic processes. He set out his ideas in a 1909 magazine article entitled The World of Life, later expanded into a book of the same name. Shermer commented that this anticipated ideas about design in nature and directed evolution that would arise from religious traditions throughout the 20th century. Assessment of Wallace's role in history of evolutionary theory In many accounts of the development of evolutionary theory, Wallace is mentioned only in passing as simply being the stimulus to the publication of Darwin's own theory. In reality, Wallace developed his own distinct evolutionary views which diverged from Darwin's, and was considered by many (especially Darwin) to be a leading thinker on evolution in his day, whose ideas could not be ignored. One historian of science has pointed out that, through both private correspondence and published works, Darwin and Wallace exchanged knowledge and stimulated each other's ideas and theories over an extended period. Wallace is the most-cited naturalist in Darwin's Descent of Man, occasionally in strong disagreement. Darwin and Wallace agreed on the importance of natural selection, and some of the factors responsible for it: competition between species and geographical isolation. But Wallace believed that evolution had a purpose ("teleology") in maintaining species' fitness to their environment, whereas Darwin hesitated to attribute any purpose to a random natural process. Scientific discoveries since the 19th century support Darwin's viewpoint, by identifying additional mechanisms and triggers such as mutations triggered by environmental radiation or mutagenic chemicals. Wallace remained an ardent defender of natural selection for the rest of his life. By the 1880s, evolution was widely accepted in scientific circles, but natural selection less so. Wallace's 1889 Darwinism was a response to the scientific critics of natural selection. Of all Wallace's books, it is the most cited by scholarly publications. Other scientific contributions Biogeography and ecology In 1872, at the urging of many of his friends, including Darwin, Philip Sclater, and Alfred Newton, Wallace began research for a general review of the geographic distribution of animals. Initial progress was slow, in part because classification systems for many types of animals were in flux. He resumed the work in earnest in 1874 after the publication of a number of new works on classification. Extending the system developed by Sclater for birds—which divided the earth into six separate geographic regions for describing species distribution—to cover mammals, reptiles and insects as well, Wallace created the basis for the zoogeographic regions in use today. He discussed the factors then known to influence the current and past geographic distribution of animals within each geographic region. These factors included the effects of the appearance and disappearance of land bridges (such as the one currently connecting North America and South America) and the effects of periods of increased glaciation. He provided maps showing factors, such as elevation of mountains, depths of oceans, and the character of regional vegetation, that affected the distribution of animals. He summarised all the known families and genera of the higher animals and listed their known geographic distributions. The text was organised so that it would be easy for a traveller to learn what animals could be found in a particular location. The resulting two-volume work, The Geographical Distribution of Animals, was published in 1876 and served as the definitive text on zoogeography for the next 80 years. The book included evidence from the fossil record to discuss the processes of evolution and migration that had led to the geographical distribution of modern species. For example, he discussed how fossil evidence showed that tapirs had originated in the Northern Hemisphere, migrating between North America and Eurasia and then, much more recently, to South America after which the northern species became extinct, leaving the modern distribution of two isolated groups of tapir species in South America and Southeast Asia. Wallace was very aware of, and interested in, the mass extinction of megafauna in the late Pleistocene. In The Geographical Distribution of Animals (1876) he wrote, "We live in a zoologically impoverished world, from which all the hugest, and fiercest, and strangest forms have recently disappeared". He added that he believed the most likely cause for the rapid extinctions was glaciation, but by the time he wrote World of Life (1911) he had come to believe those extinctions were "due to man's agency". In 1880, Wallace published the book Island Life as a sequel to The Geographical Distribution of Animals. It surveyed the distribution of both animal and plant species on islands. Wallace classified islands into oceanic and two types of continental islands. Oceanic islands, in his view, such as the Galapagos and Hawaiian Islands (then called Sandwich Islands) formed in mid-ocean and never part of any large continent. Such islands were characterised by a complete lack of terrestrial mammals and amphibians, and their inhabitants (except migratory birds and species introduced by humans) were typically the result of accidental colonisation and subsequent evolution. Continental islands, in his scheme, were divided into those that were recently separated from a continent (like Britain) and those much less recently (like Madagascar). Wallace discussed how that difference affected flora and fauna. He discussed how isolation affected evolution and how that could result in the preservation of classes of animals, such as the lemurs of Madagascar that were remnants of once widespread continental faunas. He extensively discussed how changes of climate, particularly periods of increased glaciation, may have affected the distribution of flora and fauna on some islands, and the first portion of the book discusses possible causes of these great ice ages. Island Life was considered a very important work at the time of its publication. It was discussed extensively in scientific circles both in published reviews and in private correspondence. Environmentalism Wallace's extensive work in biogeography made him aware of the impact of human activities on the natural world. In Tropical Nature and Other Essays (1878), he warned about the dangers of deforestation and soil erosion, especially in tropical climates prone to heavy rainfall. Noting the complex interactions between vegetation and climate, he warned that the extensive clearing of rainforest for coffee cultivation in Ceylon (now called Sri Lanka) and India would adversely impact the climate in those countries and lead to their impoverishment due to soil erosion. In Island Life, Wallace again mentioned deforestation and invasive species. On the impact of European colonisation on the island of Saint Helena, he wrote that the island was "now so barren and forbidding that some persons find it difficult to believe that it was once all green and fertile". He explained that the soil was protected by the island's vegetation; once that was destroyed, the soil was washed off the steep slopes by heavy tropical rain, leaving "bare rock or sterile clay". He attributed the "irreparable destruction" to feral goats, introduced in 1513. The island's forests were further damaged by the "reckless waste" of the East India Company from 1651, which used the bark of valuable redwood and ebony trees for tanning, leaving the wood to rot unused. Wallace's comments on environment grew more urgent later in his career. In The World of Life (1911) he wrote that people should view nature "as invested with a certain sanctity, to be used by us but not abused, and never to be recklessly destroyed or defaced." Astrobiology Wallace's 1904 book Man's Place in the Universe was the first serious attempt by a biologist to evaluate the likelihood of life on other planets. He concluded that the Earth was the only planet in the Solar System that could possibly support life, mainly because it was the only one in which water could exist in the liquid phase. His treatment of Mars in this book was brief, and in 1907, Wallace returned to the subject with the book Is Mars Habitable? to criticise the claims made by the American astronomer Percival Lowell that there were Martian canals built by intelligent beings. Wallace did months of research, consulted various experts, and produced his own scientific analysis of the Martian climate and atmospheric conditions. He pointed out that spectroscopic analysis had shown no signs of water vapour in the Martian atmosphere, that Lowell's analysis of Mars's climate badly overestimated the surface temperature, and that low atmospheric pressure would make liquid water, let alone a planet-girding irrigation system, impossible. Richard Milner comments that Wallace "effectively debunked Lowell's illusionary network of Martian canals." Wallace became interested in the topic because his anthropocentric philosophy inclined him to believe that man would be unique in the universe. Other activities Spiritualism Wallace was an enthusiast of phrenology. Early in his career, he experimented with hypnosis, then known as mesmerism, managing to hypnotise some of his students in Leicester. When he began these experiments, the topic was very controversial: early experimenters, such as John Elliotson, had been harshly criticised by the medical and scientific establishment. Wallace drew a connection between his experiences with mesmerism and spiritualism, arguing that one should not deny observations on "a priori grounds of absurdity or impossibility". Wallace began investigating spiritualism in the summer of 1865, possibly at the urging of his older sister Fanny Sims. After reviewing the literature and attempting to test what he witnessed at séances, he came to believe in it. For the rest of his life, he remained convinced that at least some séance phenomena were genuine, despite accusations of fraud and evidence of trickery. One biographer suggested that the emotional shock when his first fiancée broke their engagement contributed to his receptiveness to spiritualism. Other scholars have emphasised his desire to find scientific explanations for all phenomena. In 1874, Wallace visited the spirit photographer Frederick Hudson. He declared that a photograph of him with his deceased mother was genuine. Others reached a different conclusion: Hudson's photographs had previously been exposed as fraudulent in 1872. Wallace's public advocacy of spiritualism and his repeated defence of spiritualist mediums against allegations of fraud in the 1870s damaged his scientific reputation. In 1875 he published the evidence he believed proved his position in On Miracles and Modern Spiritualism. His attitude permanently strained his relationships with previously friendly scientists such as Henry Bates, Thomas Huxley, and even Darwin. Others, such as the physiologist William Benjamin Carpenter and zoologist E. Ray Lankester became publicly hostile to Wallace over the issue. Wallace was heavily criticised by the press; The Lancet was particularly harsh. When, in 1879, Darwin first tried to rally support among naturalists to get a civil pension awarded to Wallace, Joseph Hooker responded that "Wallace has lost caste considerably, not only by his adhesion to Spiritualism, but by the fact of his having deliberately and against the whole voice of the committee of his section of the British Association, brought about a discussion on Spiritualism at one of its sectional meetings ... This he is said to have done in an underhanded manner, and I well remember the indignation it gave rise to in the B.A. Council." Hooker eventually relented and agreed to support the pension request. Flat Earth wager In 1870, a flat-Earth proponent named John Hampden offered a £500 wager (roughly ) in a magazine advertisement to anyone who could demonstrate a convex curvature in a body of water such as a river, canal, or lake. Wallace, intrigued by the challenge and short of money at the time, designed an experiment in which he set up two objects along a stretch of canal. Both objects were at the same height above the water, and he mounted a telescope on a bridge at the same height above the water as well. When seen through the telescope, one object appeared higher than the other, showing the curvature of the Earth. The judge for the wager, the editor of Field magazine, declared Wallace the winner, but Hampden refused to accept the result. He sued Wallace and launched a campaign, which persisted for several years, of writing letters to various publications and to organisations of which Wallace was a member denouncing him as a swindler and a thief. Wallace won multiple libel suits against Hampden, but the resulting litigation cost Wallace more than the amount of the wager, and the controversy frustrated him for years. Anti-vaccination campaign In the early 1880s, Wallace joined the debate over mandatory smallpox vaccination. Wallace originally saw the issue as a matter of personal liberty; but, after studying statistics provided by anti-vaccination activists, he began to question the efficacy of vaccination. At the time, the germ theory of disease was new and far from universally accepted. Moreover, no one knew enough about the human immune system to understand why vaccination worked. Wallace discovered instances where supporters of vaccination had used questionable, in a few cases completely false, statistics to support their arguments. Always suspicious of authority, Wallace suspected that physicians had a vested interest in promoting vaccination, and became convinced that reductions in the incidence of smallpox that had been attributed to vaccination were due to better hygiene and improvements in public sanitation. Another factor in Wallace's thinking was his belief that, because of the action of natural selection, organisms were in a state of balance with their environment, and that everything in nature, served a useful purpose. Wallace pointed out that vaccination, which at the time was often unsanitary, could be dangerous. In 1890, Wallace gave evidence to a Royal Commission investigating the controversy. It found errors in his testimony, including some questionable statistics. The Lancet averred that Wallace and other activists were being selective in their choice of statistics. The commission found that smallpox vaccination was effective and should remain compulsory, though they recommended some changes in procedures to improve safety, and that the penalties for people who refused to comply be made less severe. Years later, in 1898, Wallace wrote a pamphlet, Vaccination a Delusion; Its Penal Enforcement a Crime, attacking the commission's findings. It, in turn, was attacked by The Lancet, which stated that it repeated many of the same errors as his evidence given to the commission. Legacy and historical perception Honours As a result of his writing, Wallace became a well-known figure both as a scientist and as a social activist, and was often sought out for his views. He became president of the anthropology section of the British Association in 1866, and of the Entomological Society of London in 1870. He was elected to the American Philosophical Society in 1873. The British Association elected him as head of its biology section in 1876. He was elected to the Royal Society in 1893. He was asked to chair the International Congress of Spiritualists meeting in London in 1898. He received honorary doctorates and professional honours, such the Royal Society's Royal Medal in 1868 and its Darwin Medal in 1890, and the Order of Merit in 1908. Obscurity and rehabilitation Wallace's fame faded quickly after his death. For a long time, he was treated as a relatively obscure figure in the history of science. Reasons for this lack of attention may have included his modesty, his willingness to champion unpopular causes without regard for his own reputation, and the discomfort of much of the scientific community with some of his unconventional ideas. The reason that the theory of evolution is popularly credited to Darwin is likely the impact of Darwin's On the Origin of Species. Recently, Wallace has become better known, with the publication of at least five book-length biographies and two anthologies of his writings published since 2000. A web page dedicated to Wallace scholarship is maintained at Western Kentucky University. In a 2010 book, the environmentalist Tim Flannery argued that Wallace was "the first modern scientist to comprehend how essential cooperation is to our survival", and suggested that Wallace's understanding of natural selection and his later work on the atmosphere should be seen as a forerunner to modern ecological thinking. A collection of his medals, including the Order of Merit, were sold at auction for £273,000 in 2022. Centenary celebrations The Natural History Museum, London, co-ordinated commemorative events for the Wallace centenary worldwide in the 'Wallace100' project in 2013. On 24 January, his portrait was unveiled in the Main Hall of the museum by Bill Bailey, a fervent admirer. Bailey further championed Wallace in his 2013 BBC Two series "Bill Bailey's Jungle Hero". On 7 November 2013, the 100th anniversary of Wallace's death, Sir David Attenborough unveiled a statue of Wallace at the museum. The statue, sculpted by Anthony Smith, was donated by the A. R. Wallace Memorial Fund. It depicts Wallace as a young man, collecting in the jungle. November 2013 marked the debut of The Animated Life of A. R. Wallace, a paper-puppet animation film dedicated to Wallace's centennial. In addition, Bailey unveiled a bust of Wallace, sculpted by Felicity Crawley, in Twyn Square in Usk, Monmouthshire in November 2021. Bicentenary celebrations Commemorations of the 200th anniversary of Wallace's birth celebrated during the course of 2023 range from naturalist walk events to scientific congresses and presentations. A Harvard Museum of Natural History event in April of 2023 will also include a mixologist-designed special cocktail to honor Wallace's legacy. Memorials Mount Wallace in California's Sierra Nevada mountain range was named in his honour in 1895. In 1928, a house at Richard Hale School (then called Hertford Grammar School, where he had been a pupil) was named after Wallace. The Alfred Russel Wallace building is a prominent feature of the Glyntaff campus at the University of South Wales, by Pontypridd, with several teaching spaces and laboratories for science courses. The Natural Sciences Building at Swansea University and lecture theatre at Cardiff University are named after him, as are impact craters on Mars and the Moon. In 1986, the Royal Entomological Society mounted a year-long expedition to the Dumoga-Bone National Park in North Sulawesi named Project Wallace. A group of Indonesian islands is known as the Wallacea biogeographical region in his honour, and Operation Wallacea, named after the region, awards "Alfred Russel Wallace Grants" to undergraduate ecology students. Several hundred species of plants and animals, both living and fossil, have been named after Wallace, such as the gecko Cyrtodactylus wallacei, and the freshwater stingray Potamotrygon wallacei. Writings Wallace was a prolific author. In 2002, historian of science Michael Shermer published a quantitative analysis of Wallace's publications. He found that Wallace had published 22 full-length books and at least 747 shorter pieces, 508 of which were scientific papers (191 of them published in Nature). He further broke down the 747 short pieces by their primary subjects: 29% were on biogeography and natural history, 27% were on evolutionary theory, 25% were social commentary, 12% were on anthropology, and 7% were on spiritualism and phrenology. An online bibliography of Wallace's writings has more than 750 entries. References Notes Citations Sources Vol. 1 . Vol. 2 Further reading There is an extensive literature on Wallace. Recent books on him include: Vol. 2 (Parts III – VII) (Project Gutenberg). London: Cassell and Company. Published in a single volume by Harper & Brothers Publishers, New York and London, June 1916. External links The Alfred Russel Wallace Website by George Beccaloni Alfred Russel Wallace at Western Kentucky University The Alfred Russel Wallace Correspondence Project Wallace Online – The first complete online edition of the writings of Alfred Russel Wallace Great Lives – Bill Bailey on his hero Alfred Russel Wallace on BBC Radio 4 1823 births 1913 deaths 19th-century English scientists 19th-century British writers 20th-century English non-fiction writers Biogeographers British anti-vaccination activists English coleopterists British deists Charles Darwin English activists English anthropologists English biologists English naturalists English people of Scottish descent English socialists English spiritualists British evolutionary biologists Explorers of Amazonia Explorers of Indonesia Fellows of the Linnean Society of London Fellows of the Royal Geographical Society Fellows of the Royal Society Fellows of the Zoological Society of London Georgists English lepidopterists Botanical illustrators Members of the Order of Merit Natural history of Indonesia People associated with Birkbeck, University of London People educated at Hertford Grammar School People from Broadstone, Dorset People from Grays, Essex People from Kington, Herefordshire People from Usk Philosophical theists Recipients of the Copley Medal Royal Medal winners Victorian writers
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https://en.wikipedia.org/wiki/Australian%20Labor%20Party
Australian Labor Party
The Australian Labor Party (ALP), also simply known as Labor, is the major centre-left political party in Australia and one of two major parties in Australian politics, along with the centre-right Liberal Party of Australia. The party has been in government since being elected at the 2022 federal election, and with political branches in each state and territory, they currently form government in New South Wales, Queensland, South Australia, Victoria, Western Australia, the Australian Capital Territory, and the Northern Territory. As of 2023, Tasmania is the only state or territory where Labor forms the opposition. It is the oldest continuous political party in Australian history, being established on 8 May 1901 at Parliament House, Melbourne, the meeting place of the first federal Parliament. The ALP was not founded as a federal party until after the first sitting of the Australian parliament in 1901. It is regarded as descended from labour parties founded in the various Australian colonies by the emerging labour movement in Australia, formally beginning in 1891. Colonial labour parties contested seats from 1891, and federal seats following Federation at the 1901 federal election. The ALP formed the world's first labour party government and the world's first social-democratic government at a national level. At the 1910 federal election, Labor was the first party in Australia to win a majority in either house of the Australian parliament. In every election since 1910 Labor has either served as the governing party or the opposition. There have been 13 Labor Prime Ministers and 10 periods of Federal Labor governments. At the federal and state/colony level, the Australian Labor Party predates both the British Labour Party and the New Zealand Labour Party in party formation, government, and policy implementation. Internationally, the ALP is a member of the Progressive Alliance, a network of social-democratic parties, having previously been a member of the Socialist International. Name and spelling In standard Australian English, the word "labour" is spelt with a u. However, the political party uses the spelling "Labor", without a u. There was originally no standardised spelling of the party's name, with "Labor" and "Labour" both in common usage. According to Ross McMullin, who wrote an official history of the Labor Party, the title page of the proceedings of the Federal Conference used the spelling "Labor" in 1902, "Labour" in 1905 and 1908, and then "Labor" from 1912 onwards. In 1908, James Catts put forward a motion at the Federal Conference that "the name of the party be the Australian Labour Party", which was carried by 22 votes to 2. A separate motion recommending state branches adopt the name was defeated. There was no uniformity of party names until 1918 when the Federal party resolved that state branches should adopt the name "Australian Labor Party", now spelt without a u. Each state branch had previously used a different name, due to their different origins. Although the ALP officially adopted the spelling without a u, it took decades for the official spelling to achieve widespread acceptance. According to McMullin, "the way the spelling of 'Labor Party' was consolidated had more to do with the chap who ended up being in charge of printing the federal conference report than any other reason". Some sources have attributed the official choice of "Labor" to influence from King O'Malley, who was born in the United States and was reputedly an advocate of spelling reform; the spelling without a u is the standard form in American English. It has been suggested that the adoption of the spelling without a u "signified one of the ALP's earliest attempts at modernisation", and served the purpose of differentiating the party from the Australian labour movement as a whole and distinguishing it from other British Empire labour parties. The decision to include the word "Australian" in the party's name, rather than just "Labour Party" as in the United Kingdom, has been attributed to "the greater importance of nationalism for the founders of the colonial parties". History The Australian Labor Party has its origins in the Labour parties founded in the 1890s in the Australian colonies prior to federation. Labor tradition ascribes the founding of Queensland Labour to a meeting of striking pastoral workers under a ghost gum tree (the "Tree of Knowledge") in Barcaldine, Queensland in 1891. The 1891 shearers' strike is credited as being one of the factors for the formation of the Australian Labor Party. On 9 September 1892 the Manifesto of the Queensland Labour Party was read out under the well known Tree of Knowledge at Barcaldine following the Great Shearers' Strike. The State Library of Queensland now holds the manifesto; in 2008 the historic document was added to UNESCO's Memory of the World Australian Register and, in 2009, the document was added to UNESCO's Memory of the World International Register. The Balmain, New South Wales branch of the party claims to be the oldest in Australia. However, the Scone Branch has a receipt for membership fees for the 'Labour Electoral League' dated April 1891. This predates the Balmain claim. This can be attested in the Centenary of the ALP book. Labour as a parliamentary party dates from 1891 in New South Wales and South Australia, 1893 in Queensland, and later in the other colonies. The first election contested by Labour candidates was the 1891 New South Wales election, when Labour candidates (then called the Labor Electoral League of New South Wales) won 35 of 141 seats. The major parties were the Protectionist and Free Trade parties and Labour held the balance of power. It offered parliamentary support in exchange for policy concessions. The United Labor Party (ULP) of South Australia was founded in 1891, and three candidates were that year elected to the South Australian Legislative Council. The first successful South Australian House of Assembly candidate was John McPherson at the 1892 East Adelaide by-election. Richard Hooper however was elected as an Independent Labor candidate at the 1891 Wallaroo by-election, while he was the first "labor" member of the House of Assembly he was not a member of the newly formed ULP. At the 1893 South Australian elections the ULP was immediately elevated to balance of power status with 10 of 54 lower house seats. The liberal government of Charles Kingston was formed with the support of the ULP, ousting the conservative government of John Downer. So successful, less than a decade later at the 1905 state election, Thomas Price formed the world's first stable Labor government. John Verran led Labor to form the state's first of many majority governments at the 1910 state election. In 1899, Anderson Dawson formed a minority Labour government in Queensland, the first in the world, which lasted one week while the conservatives regrouped after a split. The colonial Labour parties and the trade unions were mixed in their support for the Federation of Australia. Some Labour representatives argued against the proposed constitution, claiming that the Senate as proposed was too powerful, similar to the anti-reformist colonial upper houses and the British House of Lords. They feared that federation would further entrench the power of the conservative forces. However, the first Labour leader and Prime Minister Chris Watson was a supporter of federation. Historian Celia Hamilton, examining New South Wales, argues for the central role of Irish Catholics. Before 1890, they opposed Henry Parkes, the main Liberal leader, and of free trade, seeing them both as the ideals of Protestant Englishmen who represented landholding and large business interests. In the strike of 1890 the leading Catholic, Sydney's Archbishop Patrick Francis Moran was sympathetic toward unions, but Catholic newspapers were negative. After 1900, says Hamilton, Irish Catholics were drawn to the Labour Party because its stress on equality and social welfare fitted with their status as manual labourers and small farmers. In the 1910 elections Labour gained in the more Catholic areas and the representation of Catholics increased in Labour's parliamentary ranks. Early decades at the federal level The federal parliament in 1901 was contested by each state Labour Party. In total, they won 15 of the 75 seats in the House of Representatives, collectively holding the balance of power, and the Labour members now met as the Federal Parliamentary Labour Party (informally known as the caucus) on 8 May 1901 at Parliament House, Melbourne, the meeting place of the first federal Parliament. The caucus decided to support the incumbent Protectionist Party in minority government, while the Free Trade Party formed the opposition. It was some years before there was any significant structure or organisation at a national level. Labour under Chris Watson doubled its vote at the 1903 federal election and continued to hold the balance of power. In April 1904, however, Watson and Alfred Deakin fell out over the issue of extending the scope of industrial relations laws concerning the Conciliation and Arbitration Bill to cover state public servants, the fallout causing Deakin to resign. Free Trade leader George Reid declined to take office, which saw Watson become the first Labour Prime Minister of Australia, and the world's first Labour head of government at a national level (Anderson Dawson had led a short-lived Labour government in Queensland in December 1899), though his was a minority government that lasted only four months. He was aged only 37, and is still the youngest Prime Minister in Australia's history. George Reid of the Free Trade Party adopted a strategy of trying to reorient the party system along Labour vs. non-Labour lines prior to the 1906 federal election and renamed his Free Trade Party to the Anti-Socialist Party. Reid envisaged a spectrum running from socialist to anti-socialist, with the Protectionist Party in the middle. This attempt struck a chord with politicians who were steeped in the Westminster tradition and regarded a two-party system as very much the norm. Although Watson further strengthened Labour's position in 1906, he stepped down from the leadership the following year, to be succeeded by Andrew Fisher who formed a minority government lasting seven months from late 1908 to mid 1909. At the 1910 federal election, Fisher led Labor to victory, forming Australia's first elected federal majority government, Australia's first elected Senate majority, the world's first Labour Party majority government at a national level, and after the 1904 Chris Watson minority government the world's second Labour Party government at a national level. It was the first time a Labour Party had controlled any house of a legislature, and the first time the party controlled both houses of a bicameral legislature. The state branches were also successful, except in Victoria, where the strength of Deakinite liberalism inhibited the party's growth. The state branches formed their first majority governments in New South Wales and South Australia in 1910, Western Australia in 1911, Queensland in 1915 and Tasmania in 1925. Such success eluded equivalent social democratic and labour parties in other countries for many years. Analysis of the early NSW Labor caucus reveals "a band of unhappy amateurs", made up of blue collar workers, a squatter, a doctor, and even a mine owner, indicating that the idea that only the socialist working class formed Labor is untrue. In addition, many members from the working class supported the liberal notion of free trade between the colonies; in the first grouping of state MPs, 17 of the 35 were free-traders. In the aftermath of World War I and the Russian Revolution of 1917, support for socialism grew in trade union ranks, and at the 1921 All-Australian Trades Union Congress a resolution was passed calling for "the socialisation of industry, production, distribution and exchange." The 1922 Labor Party National Conference adopted a similarly worded "socialist objective," which remained official policy for many years. The resolution was immediately qualified, however, by the "Blackburn amendment," which said that "socialisation" was desirable only when was necessary to "eliminate exploitation and other anti-social features." In practice the socialist objective was a dead letter. Only once has a federal Labor government attempted to nationalise any industry (Ben Chifley's bank nationalisation of 1947), and that was held by the High Court to be unconstitutional. The commitment to nationalisation was dropped by Gough Whitlam, and Bob Hawke's government carried out many free market reforms including the floating of the dollar and privatisation of state enterprises such as Qantas airways and the Commonwealth Bank. The Labor Party is commonly described as a social democratic party, and its constitution stipulates that it is a democratic socialist party. The party was created by, and has always been influenced by, the trade unions, and in practice its policy at any given time has usually been the policy of the broader labour movement. Thus at the first federal election 1901 Labor's platform called for a White Australia policy, a citizen army and compulsory arbitration of industrial disputes. Labor has at various times supported high tariffs and low tariffs, conscription and pacifism, White Australia and multiculturalism, nationalisation and privatisation, isolationism and internationalism. Historically, Labor and its affiliated unions were strong defenders of the White Australia policy, which banned all non-European migration to Australia. This policy was partly motivated by 19th century theories about "racial purity" and by fears of economic competition from low-wage overseas workers which was shared by the vast majority of Australians and all major political parties. In practice the Labor party opposed all migration, on the grounds that immigrants competed with Australian workers and drove down wages, until after World War II, when the Chifley government launched a major immigration program. The party's opposition to non-European immigration did not change until after the retirement of Arthur Calwell as leader in 1967. Subsequently, Labor has become an advocate of multiculturalism, although some of its trade union base and some of its members continue to oppose high immigration levels. World War II and beyond The Curtin and Chifley governments governed Australia through the latter half of the Second World War and initial stages of transition to peace. Labor leader John Curtin became prime minister in October 1941 when two independents crossed the floor of Parliament. Labor, led by Curtin, then led Australia through the years of the Pacific War. In December 1941, Curtin announced that "Australia looks to America, free of any pangs as to our traditional links or kinship with the United Kingdom", thus helping to establish the Australian-American alliance (later formalised as ANZUS by the Menzies Government). Remembered as a strong war time leader and for a landslide win at the 1943 federal election, Curtin died in office just prior to the end of the war and was succeeded by Ben Chifley. Chifley Labor won the 1946 federal election and oversaw Australia's initial transition to a peacetime economy. Labor was defeated at the 1949 federal election. At the conference of the New South Wales Labor Party in June 1949, Chifley sought to define the labour movement as follows: "We have a great objective – the light on the hill – which we aim to reach by working for the betterment of mankind. [...] [Labor would] bring something better to the people, better standards of living, greater happiness to the mass of the people." To a large extent, Chifley saw centralisation of the economy as the means to achieve such ambitions. With an increasingly uncertain economic outlook, after his attempt to nationalise the banks and a strike by the Communist-dominated Miners' Federation, Chifley lost office in 1949 to Robert Menzies' Liberal-National Coalition. Labor commenced a 23-year period in opposition. The party was primarily led during this time by H. V. Evatt and Arthur Calwell. Various ideological beliefs were factionalised under reforms to the ALP under Gough Whitlam, resulting in what is now known as the Socialist Left who tend to favour a more interventionist economic policy and more socially progressive ideals, and Labor Right, the now dominant faction that tends to be more economically liberal and focus to a lesser extent on social issues. The Whitlam Labor government, marking a break with Labor's socialist tradition, pursued social-democratic policies rather than democratic socialist policies. In contrast to earlier Labor leaders, Whitlam also cut tariffs by 25 percent. Whitlam led the Federal Labor Party back to office at the 1972 and 1974 federal elections, and passed a large amount of legislation. The Whitlam government lost office following the 1975 Australian constitutional crisis and dismissal by Governor-General John Kerr after the Coalition blocked supply in the Senate after a series of political scandals, and was defeated at the 1975 federal election in the largest landslide of Australian federal history. Whitlam remains the only Prime Minister to have his commission terminated in that manner. Whitlam also lost the 1977 federal election and subsequently resigned as leader. Bill Hayden succeeded Whitlam as leader. At the 1980 federal election, the party achieved a big swing, though the unevenness of the swing around the nation prevented an ALP victory. In 1983, Bob Hawke became leader of the party after Hayden resigned to avoid a leadership spill. Bob Hawke led Labor back to office at the 1983 federal election and the party won four consecutive elections under Hawke. In December 1991 Paul Keating defeated Bob Hawke in a leadership spill. The ALP then won the 1993 federal election. It was in power for five terms over 13 years, until severely defeated by John Howard at the 1996 federal election. This was the longest period the party has ever been in government at the national level. Kim Beazley led the party to the 1998 federal election, winning 51 percent of the two-party-preferred vote but falling short on seats, and the ALP lost ground at the 2001 federal election. After a brief period when Simon Crean served as ALP leader, Mark Latham led Labor to the 2004 federal election but lost further ground. Beazley replaced Latham in 2005; not long afterwards he in turn was forced out of the leadership by Kevin Rudd. Rudd went on to defeat John Howard at the 2007 federal election with 52.7 percent of the two-party vote (Howard became the first Prime Minister since Stanley Melbourne Bruce to lose not just the election but his own parliamentary seat). The Rudd government ended prior to the 2010 federal election with the overthrow of Rudd as leader of the Party by deputy leader Julia Gillard. Gillard, who was also the first woman to serve as Prime Minister of Australia, remained Prime Minister in a hung parliament following the election. Her government lasted until 2013, when Gillard lost a leadership spill, with Rudd becoming leader once again. Later that year the ALP lost the 2013 election. After this defeat, Bill Shorten became leader of the party. The party narrowly lost the 2016 election, yet gained 14 seats. It remained in opposition after the 2019 election, despite having been ahead in opinion polls for the preceding two years. The party lost in 2019 some of the seats which it had won back in 2016. After the 2019 defeat, Shorten resigned from the leadership, though he remained in parliament. Anthony Albanese was elected as leader unopposed and led the party to victory in the 2022 election. Between the 2007 federal election and the 2008 Western Australian state election, Labor was in government nationally and in all eight state and territory legislatures. This was the first time any single party or any coalition had achieved this since the ACT and the NT gained self-government. Labor narrowly lost government in Western Australia at the 2008 state election and Victoria at the 2010 state election. These losses were further compounded by landslide defeats in New South Wales in 2011, Queensland in 2012, the Northern Territory in 2012, Federally in 2013 and Tasmania in 2014. Labor secured a good result in the Australian Capital Territory in 2012 and, despite losing its majority, the party retained government in South Australia in 2014. However, most of these reversals proved only temporary with Labor returning to government in Victoria in 2014 and in Queensland in 2015 after spending only one term in opposition in both states. Furthermore, after winning the 2014 Fisher by-election by nine votes from a 7.3 percent swing, the Labor government in South Australia went from minority to majority government. Labor won landslide victories in the 2016 Northern Territory election, the 2017 Western Australian election and the 2018 Victorian state election. However, Labor lost the 2018 South Australian state election after 16 years in government. In 2022, Labor returned to government after defeating the Liberal Party in the 2022 South Australian state election. Despite favourable polling, the party also did not return to government in the 2019 New South Wales state election or the 2019 federal election. The latter has been considered a historic upset due to Labor's consistent and significant polling lead; the result has been likened to the Coalition's loss in the 1993 federal election, with 2019 retrospectively referred to as the "unloseable election". Anthony Albanese later led the party into the 2022 Australian federal election, in which the party once again won a majority government. In 2023, Labor won the 2023 New South Wales state election returning to government for the first time since 2011. This victory marked the first time in 15 years that Labor were in government in all mainland states. National platform The policy of the Australian Labor Party is contained in its National Platform, which is approved by delegates to Labor's National Conference, held every three years. According to the Labor Party's website, "The Platform is the result of a rigorous and constructive process of consultation, spanning the nation and including the cooperation and input of state and territory policy committees, local branches, unions, state and territory governments, and individual Party members. The Platform provides the policy foundation from which we can continue to work towards the election of a federal Labor government." The platform gives a general indication of the policy direction which a future Labor government would follow, but does not commit the party to specific policies. It maintains that "Labor's traditional values will remain a constant on which all Australians can rely." While making it clear that Labor is fully committed to a market economy, it says that: "Labor believes in a strong role for national government – the one institution all Australians truly own and control through our right to vote." Labor "will not allow the benefits of change to be concentrated in fewer and fewer hands, or located only in privileged communities. The benefits must be shared by all Australians and all our regions." The platform and Labor "believe that all people are created equal in their entitlement to dignity and respect, and should have an equal chance to achieve their potential." For Labor, "government has a critical role in ensuring fairness by: ensuring equal opportunity; removing unjustifiable discrimination; and achieving a more equitable distribution of wealth, income and status." Further sections of the platform stress Labor's support for equality and human rights, labour rights and democracy. In practice, the platform provides only general policy guidelines to Labor's federal, state and territory parliamentary leaderships. The policy Labor takes into an election campaign is determined by the Cabinet (if the party is in office) or the Shadow Cabinet (if it is in opposition), in consultation with key interest groups within the party, and is contained in the parliamentary Leader's policy speech delivered during the election campaign. When Labor is in office, the policies it implements are determined by the Cabinet, subject to the platform. Generally, it is accepted that while the platform binds Labor governments, how and when it is implemented remains the prerogative of the parliamentary caucus. It is now rare for the platform to conflict with government policy, as the content of the platform is usually developed in close collaboration with the party's parliamentary leadership as well as the factions. However, where there is a direct contradiction with the platform, Labor governments have sought to change the platform as a prerequisite for a change in policy. For example, privatisation legislation under the Hawke government occurred only after holding a special national conference to debate changing the platform., Party structure National executive and secretariat The Australian Labor Party National Executive is the party's chief administrative authority, subject only to Labor's national conference. The executive is responsible for organising the triennial national conference; carrying out the decisions of the conference; interpreting the national constitution, the national platform and decisions of the national conference; and directing federal members. The party holds a national conference every three years, which consists of delegates representing the state and territory branches (many coming from affiliated trade unions, although there is no formal requirement for unions to be represented at the national conference). The national conference decides the party's platform, elects the national executive and appoints office-bearers such as the national secretary, who also serves as national campaign director during elections. The current national secretary is Paul Erickson. The most recent national conference was the 48th conference held in December 2018. The head office of the ALP, the national secretariat, is managed by the national secretary. It plays a dual role of administration and a national campaign strategy. It acts as a permanent secretariat to the national executive by managing and assisting in all administrative affairs of the party. As the national secretary also serves as national campaign director during elections, it is also responsible for the national campaign strategy and organisation. Federal Parliamentary Labor Party The elected members of the Labor party in both houses of the national Parliament meet as the Federal Parliamentary Labor Party, also known as the Australian Labor Party Caucus (see also caucus). Besides discussing parliamentary business and tactics, the Caucus also is involved in the election of the federal parliamentary leaders. Federal parliamentary leaders Until 2013, the parliamentary leaders were elected by the Caucus from among its members. The leader has historically been a member of the House of Representatives. Since October 2013, a ballot of both the Caucus and by the Labor Party's rank-and-file members determined the party leader and the deputy leader. When the Labor Party is in government, the party leader is the Prime Minister and the deputy leader is the Deputy Prime Minister. If a Labor prime minister resigns or dies in office, the deputy leader acts as prime minister and party leader until a successor is elected. The deputy prime minister also acts as prime minister when the prime minister is on leave or out of the country. Members of the Ministry are also chosen by Caucus, though the leader may allocate portfolios to the ministers. Anthony Albanese is the leader of the federal Labor party, serving since 30 May 2019. The deputy leader is Richard Marles, also serving since 30 May 2019. State and territory branches The Australian Labor Party is a federal party, consisting of eight branches from each state and territory. While the National Executive is responsible for national campaign strategy, each state and territory are an autonomous branch and are responsible for campaigning in their own jurisdictions for federal, state and local elections. State and territory branches consist of both individual members and affiliated trade unions, who between them decide the party's policies, elect its governing bodies and choose its candidates for public office. Members join a state branch and pay a membership fee, which is graduated according to income. The majority of trade unions in Australia are affiliated to the party at a state level. Union affiliation is direct and not through the Australian Council of Trade Unions. Affiliated unions pay an affiliation fee based on the size of their membership. Union affiliation fees make up a large part of the party's income. Other sources of funds for the party include political donations and public funding. Members are generally expected to attend at least one meeting of their local branch each year, although there are differences in the rules from state to state. In practice only a dedicated minority regularly attend meetings. Many members are only active during election campaigns. The members and unions elect delegates to state and territory conferences (usually held annually, although more frequent conferences are often held). These conferences decide policy, and elect state or territory executives, a state or territory president (an honorary position usually held for a one-year term), and a state or territory secretary (a full-time professional position). However, ACT Labor directly elects its president. The larger branches also have full-time assistant secretaries and organisers. In the past the ratio of conference delegates coming from the branches and affiliated unions has varied from state to state, however under recent national reforms at least 50% of delegates at all state and territory conferences must be elected by branches. In some states it also contests local government elections or endorses local candidates. In others it does not, preferring to allow its members to run as non-endorsed candidates. The process of choosing candidates is called preselection. Candidates are preselected by different methods in the various states and territories. In some they are chosen by ballots of all party members, in others by panels or committees elected by the state conference, in still others by a combination of these two. The state and territory Labor branches are the following: Country Labor The Country Labor Party, commonly known as Country Labor, was an affiliated organisation of the Labor Party. Although not expressly defined, Country Labor operated mainly within rural New South Wales, and was mainly seen as an extension of the New South Wales branch that operates in rural electorates. Country Labor was used as a designation by candidates contesting elections in rural areas. The Country Labor Party was registered as a separate party in New South Wales, and was also registered with the Australian Electoral Commission (AEC) for federal elections. It did not have the same status in other states and, consequently, that designation could not be used on the ballot paper. The creation of a separation designation for rural candidates was first suggested at the June 1999 ALP state conference in New South Wales. In May 2000, following Labor's success at the 2000 Benalla by-election in Victoria, Kim Beazley announced that the ALP intended to register a separate "Country Labor Party" with the AEC; this occurred in October 2000. The Country Labor designation was most frequently used in New South Wales. According to the ALP's financial statements for the 2015–16 financial year, NSW Country Labor had around 2,600 members (around 17 percent of the party total), but almost no assets. It recorded a severe funding shortfall at the 2015 New South Wales election, and had to rely on a $1.68-million loan from the party proper to remain solvent. It had been initially assumed that the party proper could provide the money from its own resources, but the NSW Electoral Commission ruled that this was impermissible because the parties were registered separately. Instead the party proper had to loan Country Labor the required funds at a commercial interest rate. The Country Labor Party was de-registered by the New South Wales Electoral Commission in 2021. Australian Young Labor Australian Young Labor is the youth wing of the Australian Labor Party, where all members under age 26 are automatically members. It is the peak youth body within the ALP. Former presidents of AYL have included former NSW Premier Bob Carr, Federal Leader of the House Tony Burke, former Special Minister of State Senator John Faulkner, former Australian Workers Union National Secretary, current Member for Maribyrnong and former Federal Labor Leader Bill Shorten as well as dozens of State Ministers and MPs. The current National President is Jason Byrne from South Australia. Networks The Australian Labor Party is beginning to formally recognise single interest groups within the party. The national platform currently encourages state branches to formally establish these groups known as policy action caucuses. Examples of such groups include the Labor Environment Action Network, Rainbow Labor, Labor For Choice, Labor Women's Network, Labor for Drug Law Reform Labor for Refugees, Labor for Housing, Labor Teachers Network, Aboriginal Labor Network, and recently, Labor Enabled - the action group for Disability Advocacy The Tasmanian Branch of the Australian Labor Party recently gave these groups voting and speaking rights at their state conference. Ideology and factions Labor's constitution has long stated: "The Australian Labor Party is a democratic socialist party and has the objective of the democratic socialisation of industry, production, distribution and exchange, to the extent necessary to eliminate exploitation and other anti-social features in these fields". This "socialist objective" was introduced in 1921, but was later qualified by two further objectives: "maintenance of and support for a competitive non-monopolistic private sector" and "the right to own private property". Labor governments have not attempted the "democratic socialisation" of any industry since the 1940s, when the Chifley government failed to nationalise the private banks, and in fact have privatised several industries such as aviation and banking. Labor's current National Platform describes the party as "a modern social democratic party". Factions The Labor Party has always had a left wing and a right wing, but since the 1970s it has been organised into formal factions. The two largest factions are the Labor Left and the Labor Right. The Labor Right generally supports free-market policies and the US alliance and tends to be conservative on some social issues, whilst the Labor Left favours more state intervention in the economy, is generally less enthusiastic about the US alliance and is often more progressive on social issues. The national factions are themselves divided into sub-factions, primarily state-based such as Centre Unity in New South Wales and Labor Forum in Queensland. Those factions tend to occupy social-liberal, and social democratic positions. Some trade unions are affiliated with the Labor Party and are also factionally aligned. The largest unions supporting the right faction are the Australian Workers' Union (AWU), the Shop, Distributive and Allied Employees' Association (SDA) and the Transport Workers Union (TWU). Important unions supporting the left include the Australian Manufacturing Workers Union (AMWU), United Workers Union, the Construction, Forestry, Maritime, Mining and Energy Union (CFMMEU) and the Community and Public Sector Union (CPSU). Federal election results House of Representatives Donors For the 2015–2016 financial year, the top ten disclosed donors to the ALP were the Health Services Union NSW ($389,000), Village Roadshow ($257,000), Electrical Trades Union of Australia ($171,000), National Automotive Leasing and Salary Packaging Association ($153,000), Westfield Corporation ($150,000), Randazzo C&G Developments ($120,000), Macquarie Telecom ($113,000), Woodside Energy ($110,000), ANZ Bank ($100,000) and Ying Zhou ($100,000), all significantly lower than the 2014 donations by a Chinese donor Zi Chun Wang, which at $850,000 was the largest donation to any political party in the 2013-2014 financial year. At least one newspaper report queried the identity of this donor stating "news archive searches do not produce results for this name, suggesting Wang operates under another name". Another report mentions that in addition to a hotel and a travel agency, the donor's listed address at the Old Communist Cadres Activity Centre in Shijiazhuang houses several Chinese government entities, stating also that another publisher "tried many times without success" to contact the donor on the phone number listed in the donation return form. The Labor Party also receives undisclosed funding through several methods, such as "associated entities". John Curtin House, Industry 2020, IR21 and the Happy Wanderers Club are entities which have been used to funnel donations to the Labor Party without disclosing the source. A 2019 report found that the Labor Party received $33,000 from pro-gun groups during the 2011–2018 periods, however, the Coalition received over $82,000 in donations from pro-gun groups, more than doubling Labor's pro-gun donors. See also Socialism in Australia Australian labour movement Third Way Further reading Ormonde, Paul (1982). A Foolish Passionate Man: a biography of Jim Cairns. Ringwood, Vic, Australia: Penguin Books. ISBN 014005975X. Ormonde, Paul (1972). The Movement. Sydney: Thomas Nelson. SBN 170019683 Charlesworth, M. J. (2000) Ormonde, Paul (Ed). Santamaria : the politics of fear : critical reflections. Richmond, Vic.: Spectrum Publications. ISBN 0867862947 Notes References Bibliography Bramble, Tom, and Rick Kuhn. Labor's Conflict: Big Business, Workers, and the Politics of Class (Cambridge University Press; 2011) 240 pages. Calwell, A. A. (1963). Labor's Role in Modern Society. Melbourne, Lansdowne Press. External links Australian Labor Party Victorian Branch Rules, April 2013 Manifesto of the Queensland Labour Party, 1892 - UNESCO Australian Memory of the World Register 125th anniversary of the Manifesto of the Queensland Labour Party - John Oxley Library Blog, State Library of Queensland. OM69-18 Charles Seymour Papers 1880-1924 - Collection record, State Library of Queensland Charles Seymour Papers 1880-1924: Treasure collection of the John Oxley Library - John Oxley Library Blog, State Library of Queensland. 1891 establishments in Australia Democratic socialist parties in Oceania Former member parties of the Socialist International Centre-left parties Labour parties Political parties established in 1891 Progressive Alliance Republican parties in Australia Social democratic parties in Oceania
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August 18
Events Pre-1600 684 – Battle of Marj Rahit: Umayyad partisans defeat the supporters of Ibn al-Zubayr and cement Umayyad control of Syria. 707 – Princess Abe accedes to the imperial Japanese throne as Empress Genmei. 1304 – The Battle of Mons-en-Pévèle is fought to a draw between the French army and the Flemish militias. 1487 – The Siege of Málaga ends with the taking of the city by Castilian and Aragonese forces. 1492 – The first grammar of the Spanish language (Gramática de la lengua castellana) is presented to Queen Isabella I. 1572 – The Huguenot King Henry III of Navarre marries the Catholic Margaret of Valois, ostensibly to reconcile the feuding Protestants and Catholics of France. 1590 – John White, the governor of the Roanoke Colony, returns from a supply trip to England and finds his settlement deserted. 1601–1900 1612 – The trial of the Pendle witches, one of England's most famous witch trials, begins at Lancaster Assizes. 1634 – Urbain Grandier, accused and convicted of sorcery, is burned alive in Loudun, France. 1721 – The city of Shamakhi in Safavid Shirvan is sacked. 1783 – A huge fireball meteor is seen across Great Britain as it passes over the east coast. 1809 – The Senate of Finland is established in the Grand Duchy of Finland after the official adoption of the Statute of the Government Council by Tsar Alexander I of Russia. 1826 – Major Gordon Laing becomes the first European to enter Timbuktu. 1838 – The Wilkes Expedition, which would explore the Puget Sound and Antarctica, weighs anchor at Hampton Roads. 1848 – Camila O'Gorman and Ladislao Gutierrez are executed on the orders of Argentine dictator Juan Manuel de Rosas. 1864 – American Civil War: Battle of Globe Tavern: Union forces try to cut a vital Confederate supply-line into Petersburg, Virginia, by attacking the Wilmington and Weldon Railroad. 1868 – French astronomer Pierre Janssen discovers helium. 1870 – Franco-Prussian War: Battle of Gravelotte is fought. 1877 – American astronomer Asaph Hall discovers Phobos, one of Mars’s moons. 1891 – A major hurricane strikes Martinique, leaving 700 dead. 1901–present 1903 – German engineer Karl Jatho allegedly flies his self-made, motored gliding airplane four months before the first flight of the Wright brothers. 1917 – A Great Fire in Thessaloniki, Greece, destroys 32% of the city leaving 70,000 individuals homeless. 1920 – The Nineteenth Amendment to the United States Constitution is ratified, guaranteeing women's suffrage. 1923 – The first British Track and Field championships for women are held in London, Great Britain. 1933 – The Volksempfänger is first presented to the German public at a radio exhibition; the presiding Nazi Minister of Propaganda, Joseph Goebbels, delivers an accompanying speech heralding the radio as the ‘eighth great power’. 1937 – A lightning strike starts the Blackwater Fire of 1937 in Shoshone National Forest, killing 15 firefighters within three days and prompting the United States Forest Service to develop their smokejumper program. 1938 – The Thousand Islands Bridge, connecting New York, United States, with Ontario, Canada, over the Saint Lawrence River, is dedicated by U.S. President Franklin D. Roosevelt. 1940 – World War II: The Hardest Day air battle, part of the Battle of Britain, takes place. At that point, it is the largest aerial engagement in history with heavy losses sustained on both sides. 1945 – Sukarno takes office as the first president of Indonesia, following the country's declaration of independence the previous day. 1945 – Soviet-Japanese War: Battle of Shumshu: Soviet forces land at Takeda Beach on Shumshu Island and launch the Battle of Shumshu; the Soviet Union’s Invasion of the Kuril Islands commences. 1949 – Kemi Bloody Thursday: Two protesters die in the scuffle between the police and the strikers' protest procession in Kemi, Finland. 1950 – Julien Lahaut, the chairman of the Communist Party of Belgium, is assassinated. The Party newspaper blames royalists and Rexists. 1958 – Vladimir Nabokov's controversial novel Lolita is published in the United States. 1958 – Brojen Das from Bangladesh swims across the English Channel in a competition as the first Bengali and the first Asian to do so, placing first among the 39 competitors. 1963 – Civil rights movement: James Meredith becomes the first African American to graduate from the University of Mississippi. 1965 – Vietnam War: Operation Starlite begins: United States Marines destroy a Viet Cong stronghold on the Van Tuong peninsula in the first major American ground battle of the war. 1966 – Vietnam War: The Battle of Long Tan ensues after a patrol from the 6th Battalion, Royal Australian Regiment clashes with a Viet Cong force in Phước Tuy Province. 1971 – Vietnam War: Australia and New Zealand decide to withdraw their troops from Vietnam. 1973 – Aeroflot Flight A-13 crashes after takeoff from Baku-Bina International Airport in Azerbaijan, killing 56 people and injuring eight. 1976 – The Korean axe murder incident in Panmunjom results in the deaths of two US Army officers. 1976 – The Soviet Union’s robotic probe Luna 24 successfully lands on the Moon. 1977 – Steve Biko is arrested at a police roadblock under Terrorism Act No. 83 of 1967 in King William's Town, South Africa. He later dies from injuries sustained during this arrest, bringing attention to South Africa's apartheid policies. 1983 – Hurricane Alicia hits the Texas coast, killing 21 people and causing over US$1 billion in damage (1983 dollars). 1989 – Leading presidential hopeful Luis Carlos Galán is assassinated near Bogotá in Colombia. 1993 – American International Airways Flight 808 crashes at Leeward Point Field at Guantanamo Bay Naval Base in Guantánamo Bay, Cuba, injuring the three crew members. 2003 – One-year-old Zachary Turner is murdered in Newfoundland by his mother, who was awarded custody despite facing trial for the murder of Zachary's father. The case was documented in the film Dear Zachary and led to reform of Canada's bail laws. 2005 – A massive power blackout hits the Indonesian island of Java; affecting almost 100 million people, it is one of the largest and most widespread power outages in history. 2008 – The President of Pakistan, Pervez Musharraf, resigns under threat of impeachment. 2008 – War of Afghanistan: The Uzbin Valley ambush occurs. 2011 – A terrorist attack on Israel's Highway 12 near the Egyptian border kills 16 and injures 40. 2017 – The first terrorist attack ever sentenced as a crime in Finland kills two and injures eight. 2019 – One hundred activists, officials, and other concerned citizens in Iceland hold a funeral for Okjökull glacier, which has completely melted after having once covered six square miles (15.5 km2). Births Pre-1600 1305 – Ashikaga Takauji, Japanese Shōgun (d. 1358) 1450 – Marko Marulić, Croatian poet and author (d. 1524) 1458 – Lorenzo Pucci, Catholic cardinal (d. 1531) 1497 – Francesco Canova da Milano, Italian composer (d. 1543) 1542 – Charles Neville, 6th Earl of Westmorland (d. 1601) 1579 – Countess Charlotte Flandrina of Nassau (d. 1640) 1587 – Virginia Dare, granddaughter of Governor John White of the Colony of Roanoke, first child born to English parents in the Americas (date of death unknown) 1596 – Jean Bolland, Flemish priest and hagiographer (d. 1665) 1601–1900 1605 – Henry Hammond, English churchman and theologian (d. 1660) 1606 – Maria Anna of Spain (d. 1646) 1629 – Agneta Horn, Swedish writer (d. 1672) 1657 – Ferdinando Galli-Bibiena, Italian architect and painter (d. 1743) 1685 – Brook Taylor, English mathematician and theorist (d. 1731) 1692 – Louis Henri, Duke of Bourbon (d. 1740) 1700 – Baji Rao I, first Peshwa of Maratha Empire (d. 1740) 1720 – Laurence Shirley, 4th Earl Ferrers, English politician (d. 1760) 1750 – Antonio Salieri, Italian composer and conductor (d. 1825) 1754 – François, marquis de Chasseloup-Laubat, French general and engineer (d. 1833) 1774 – Meriwether Lewis, American soldier, explorer, and politician (d. 1809) 1792 – John Russell, 1st Earl Russell, English politician, Prime Minister of the United Kingdom (d. 1878) 1803 – Nathan Clifford, American lawyer, jurist, and politician, 19th United States Attorney General (d. 1881) 1807 – B. T. Finniss, Australian politician, 1st Premier of South Australia (d. 1893) 1819 – Grand Duchess Maria Nikolaevna of Russia (d. 1876) 1822 – Isaac P. Rodman, American general and politician (d. 1862) 1830 – Franz Joseph I of Austria (d. 1916) 1831 – Ernest Noel, Scottish businessman and politician (d. 1931) 1834 – Marshall Field, American businessman, founded Marshall Field's (d. 1906) 1841 – William Halford, English-American lieutenant, Medal of Honor recipient (d. 1919) 1855 – Alfred Wallis, English painter and illustrator (d. 1942) 1857 – Libert H. Boeynaems, Belgian-American bishop and missionary (d. 1926) 1866 – Mahboob Ali Khan, 6th Nizam of Hyderabad (d. 1911) 1869 – Carl Rungius, German-American painter and educator (d. 1959) 1870 – Lavr Kornilov, Russian general and explorer (d. 1918) 1879 – Alexander Rodzyanko, Russian general (d. 1970) 1885 – Nettie Palmer, Australian poet and critic (d. 1964) 1887 – John Anthony Sydney Ritson, English rugby player, mines inspector, engineer and professor of mining (d. 1957) 1890 – Walther Funk, German economist and politician, Reich Minister of Economics (d. 1960) 1893 – Burleigh Grimes, American baseball player and manager (d. 1985) 1893 – Ernest MacMillan, Canadian conductor and composer (d. 1973) 1896 – Jack Pickford, Canadian-American actor and director (d. 1933) 1898 – Clemente Biondetti, Italian race car driver (d. 1955) 1900 – Ruth Bonner, Soviet Communist activist, sentenced to a labor camp during Joseph Stalin's Great Purge (d. 1987) 1900 – Ruth Norman, American religious leader (d. 1993) 1901–present 1902 – Adamson-Eric, Estonian painter (d. 1968) 1902 – Margaret Murie, American environmentalist and author (d. 2003) 1903 – Lucienne Boyer, French singer (d. 1983) 1904 – Max Factor, Jr., American businessman (d. 1996) 1905 – Enoch Light, American bandleader, violinist, and recording engineer (d. 1978) 1906 – Marcel Carné, French director and screenwriter (d. 1996) 1906 – Curtis Jones, American blues pianist and singer (d. 1971) 1908 – Edgar Faure, French historian and politician, 139th Prime Minister of France (d. 1988) 1908 – Olav H. Hauge, Norwegian poet and gardener (d. 1994) 1908 – Bill Merritt, New Zealand cricketer and sportscaster (d. 1977) 1909 – Gérard Filion, Canadian businessman and journalist (d. 2005) 1910 – Herman Berlinski, Polish-American pianist, composer, and conductor (d. 2001) 1910 – Robert Winters, Canadian colonel, engineer, and politician, 26th Canadian Minister of Public Works (d. 1969) 1911 – Amelia Boynton Robinson, American activist (d. 2015) 1911 – Klara Dan von Neumann, Hungarian computer scientist and programmer (d. 1963) 1911 – Maria Ulfah Santoso, Indonesian politician and women's rights activist (d. 1988) 1912 – Otto Ernst Remer, German general (d. 1997) 1913 – Romain Maes, Belgian cyclist (d. 1983) 1914 – Lucy Ozarin, United States Navy lieutenant commander and psychiatrist (d. 2017) 1915 – Max Lanier, American baseball player and manager (d. 2007) 1916 – Neagu Djuvara, Romanian historian, journalist, and diplomat (d. 2018) 1916 – Moura Lympany, English pianist (d. 2005) 1917 – Caspar Weinberger, American captain, lawyer, and politician, 15th United States Secretary of Defense (d. 2006) 1918 – Cisco Houston, American singer-songwriter and guitarist (d. 1961) 1919 – Wally Hickel, American businessman and politician, 2nd Governor of Alaska (d. 2010) 1920 – Godfrey Evans, English cricketer (d. 1999) 1920 – Bob Kennedy, American baseball player and manager (d. 2005) 1920 – Shelley Winters, American actress (d. 2006) 1921 – Lydia Litvyak, Russian lieutenant and pilot (d. 1943) 1921 – Zdzisław Żygulski, Polish historian and academic (d. 2015) 1922 – Alain Robbe-Grillet, French director, screenwriter, and novelist (d. 2008) 1923 – Katherine Victor, American actress (d. 2004) 1925 – Brian Aldiss, English author and critic (d. 2017) 1925 – Pierre Grondin, Canadian surgeon and academic (d. 2006) 1925 – Anis Mansour, Egyptian journalist and author (d. 2011) 1927 – Rosalynn Carter, 41st First Lady of the United States 1928 – Marge Schott, American businesswoman (d. 2004) 1928 – Sonny Til, American R&B singer (d. 1981) 1929 – Hugues Aufray, French singer-songwriter 1930 – Liviu Librescu, Romanian-American engineer and academic (d. 2007) 1930 – Rafael Pineda Ponce, Honduran academic and politician (d. 2014) 1931 – Bramwell Tillsley, Canadian 14th General of The Salvation Army (d. 2019) 1931 – Hans van Mierlo, Dutch journalist and politician, Deputy Prime Minister of the Netherlands (d. 2010) 1931 – Grant Williams, American film, theater and television actor (d. 1985) 1932 – Luc Montagnier, French virologist and academic, Nobel Prize laureate (d. 2022) 1933 – Just Fontaine, Moroccan-French footballer and manager (d. 2023) 1933 – Roman Polanski, French-Polish director, producer, screenwriter, and actor 1933 – Frank Salemme, American gangster and hitman (d. 2022) 1934 – Vincent Bugliosi, American lawyer and author (d. 2015) 1934 – Roberto Clemente, Puerto Rican-American baseball player and soldier (d. 1972) 1934 – Gulzar, Indian poet, lyricist and film director 1934 – Rafer Johnson, American decathlete and actor (d. 2020) 1934 – Michael May, German-Swiss race car driver and engineer 1935 – Gail Fisher, American actress (d. 2000) 1935 – Hifikepunye Pohamba, Namibian lawyer and politician, 2nd President of Namibia 1936 – Robert Redford, American actor, director, and producer 1937 – Sheila Cassidy, English physician and author 1939 – Maxine Brown, American soul/R&B singer-songwriter 1939 – Robert Horton, English businessman (d. 2011) 1939 – Johnny Preston, American pop singer (d. 2011) 1940 – Adam Makowicz, Polish-Canadian pianist and composer 1940 – Gil Whitney, American journalist (d. 1982) 1942 – Henry G. Sanders, American actor 1943 – Martin Mull, American actor and comedian 1943 – Gianni Rivera, Italian footballer and politician 1943 – Carl Wayne, English singer and actor (d. 2004) 1944 – Paula Danziger, American author (d. 2004) 1944 – Robert Hitchcock, Australian sculptor and illustrator 1945 – Sarah Dash, American singer-songwriter and actress (d. 2021) 1945 – Värner Lootsmann, Estonian lawyer and politician 1945 – Lewis Burwell Puller, Jr., American soldier, lawyer, and author (d. 1994) 1948 – James Jones, English bishop 1948 – John Scarlett, English intelligence officer 1949 – Nigel Griggs, English bass player, songwriter, and producer 1950 – Dennis Elliott, English drummer and sculptor 1952 – Elayne Boosler, American actress, director, and screenwriter 1952 – Patrick Swayze, American actor and dancer (d. 2009) 1952 – Ricardo Villa, Argentinian footballer and coach 1953 – Louie Gohmert, American captain, lawyer, and politician 1953 – Marvin Isley, American R&B bass player and songwriter (d. 2010) 1954 – Umberto Guidoni, Italian astrophysicist, astronaut, and politician 1955 – Bruce Benedict, American baseball player and coach 1955 – Taher Elgamal, Egyptian-American cryptographer 1956 – John Debney, American composer and conductor 1956 – Sandeep Patil, Indian cricketer and coach 1956 – Jon Schwartz, American drummer and producer 1956 – Kelly Willard, American singer-songwriter 1956 – Rainer Woelki, German cardinal 1957 – Tan Dun, Chinese composer 1957 – Denis Leary, American comedian, actor, producer, and screenwriter 1957 – Ron Strykert, Australian singer-songwriter, guitarist, and producer 1958 – Didier Auriol, French race car driver 1958 – Madeleine Stowe, American actress 1959 – Tom Prichard, American wrestler and trainer 1960 – Mike LaValliere, American baseball player 1960 – Fat Lever, American basketball player and sportscaster 1961 – Huw Edwards, Welsh-English journalist and author 1961 – Timothy Geithner, American banker and politician, 75th United States Secretary of the Treasury 1961 – Bob Woodruff, American journalist and author 1962 – Felipe Calderón, Mexican lawyer and politician, 56th President of Mexico 1962 – Geoff Courtnall, Canadian ice hockey player and coach 1962 – Adam Storke, American actor 1964 – Craig Bierko, American actor and singer 1964 – Andi Deris, German singer and songwriter 1964 – Mark Sargent, Australian rugby league player 1964 – Kenny Walker, American basketball player and sportscaster 1965 – Ikue Ōtani, Japanese voice actress 1966 – Gustavo Charif, Argentinian director and producer 1967 – Daler Mehndi, Indian Punjabi singer, songwriter and record producer 1967 – Brian Michael Bendis, American author and illustrator 1969 – Everlast, American singer, rapper, and musician 1969 – Masta Killa, American rapper 1969 – Mark Kuhlmann, German rugby player and coach 1969 – Edward Norton, American actor 1969 – Christian Slater, American actor and producer 1970 – Jason Furman, American economist and politician 1970 – Malcolm-Jamal Warner, American actor and producer 1971 – Patrik Andersson, Swedish footballer 1971 – Richard David James, English musician composer 1974 – Nicole Krauss, American novelist and critic 1975 – Kaitlin Olson, American actress and comedian 1977 – Paraskevas Antzas, Greek footballer 1977 – Even Kruse Skatrud, Norwegian musician and educator 1978 – Andy Samberg, American actor and comedian 1979 – Stuart Dew, Australian footballer 1980 – Esteban Cambiasso, Argentinian footballer 1980 – Rob Nguyen, Australian race car driver 1980 – Ryan O'Hara, Australian rugby league player 1980 – Bart Scott, American football player 1980 – Jeremy Shockey, American football player 1981 – César Delgado, Argentinian footballer 1981 – Dimitris Salpingidis, Greek footballer 1983 – Mika, Lebanese-born English recording artist and singer-songwriter 1983 – Cameron White, Australian cricketer 1984 – Sigourney Bandjar, Dutch footballer 1984 – Robert Huth, German footballer 1985 – Inge Dekker, Dutch swimmer 1985 – Bryan Ruiz, Costa Rican footballer 1986 – Evan Gattis, American baseball player 1986 – Ross McCormack, Scottish footballer 1987 – Joanna Jędrzejczyk, Polish mixed martial artist 1987 – Justin Wilson, American baseball player 1988 – Jack Hobbs, English footballer 1988 – Eggert Jónsson, Icelandic footballer 1988 – G-Dragon, South Korean rapper, singer-songwriter and record producer 1989 – Anna Akana, American actress, comedian, musician, and YouTuber 1989 – Yu Mengyu, Singaporean table tennis player 1991 – Liz Cambage, Australian basketball player 1991 – Richard Harmon, Canadian actor 1992 – Elizabeth Beisel, American swimmer 1992 – Bogdan Bogdanović, Serbian basketball player 1992 – Frances Bean Cobain, American visual artist and model 1993 – Jung Eun-ji, South Korean singer-songwriter 1993 – Maia Mitchell, Australian actress and singer 1994 – Madelaine Petsch, American actress and YouTuber 1994 – Morgan Sanson, French footballer 1994 – Seiya Suzuki, Japanese baseball player 1995 – Alīna Fjodorova, Latvian figure skater 1995 – Parker McKenna Posey, American actress 1997 – Josephine Langford, Australian actress 1997 – Renato Sanches, Portuguese footballer 1998 – Brian To'o, Australian-Samoan rugby league player 1999 – Cassius Stanley, American basketball player Deaths Pre-1600 353 – Decentius, Roman usurper 440 – Pope Sixtus III 472 – Ricimer, Roman general and politician (b. 405) 670 – Fiacre, Irish hermit 673 – Kim Yu-shin, general of Silla (b. 595) 849 – Walafrid Strabo, German monk and theologian (b. 808) 911 – Al-Hadi ila'l-Haqq Yahya, first Zaydi Imam of Yemen (b. 859) 1095 – King Olaf I of Denmark 1211 – Narapatisithu, king of Burma (b. 1150) 1258 – Theodore II Laskaris, emperor of Nicea (Byzantine emperor in exile) 1276 – Pope Adrian V (b. 1220) 1318 – Clare of Montefalco, Italian nun and saint (b. 1268) 1430 – Thomas de Ros, 8th Baron de Ros, English soldier and politician (b. 1406) 1500 – Alfonso of Aragon, Spanish prince (b. 1481) 1502 – Knut Alvsson, Norwegian nobleman and politician (b. 1455) 1503 – Pope Alexander VI (b. 1431) 1550 – Antonio Ferramolino, Italian architect and military engineer 1559 – Pope Paul IV (b. 1476) 1563 – Étienne de La Boétie, French judge and philosopher (b. 1530) 1600 – Sebastiano Montelupi, Italian businessman (b. 1516) 1601–1900 1613 – Giovanni Artusi, Italian composer and theorist (b. 1540) 1620 – Wanli Emperor of China (b. 1563) 1625 – Edward la Zouche, 11th Baron Zouche, English diplomat (b. 1556) 1634 – Urbain Grandier, French priest (b. 1590) 1642 – Guido Reni, Italian painter and educator (b. 1575) 1648 – Ibrahim of the Ottoman Empire (b. 1615) 1683 – Charles Hart, English actor (b. 1625) 1707 – William Cavendish, 1st Duke of Devonshire, English soldier and politician, Lord Lieutenant of Derbyshire (b. 1640) 1712 – Richard Savage, 4th Earl Rivers, English general and politician, Lord Lieutenant of Essex (b. 1660) 1765 – Francis I, Holy Roman Emperor (b. 1708) 1815 – Chauncey Goodrich, American lawyer and politician, 8th Lieutenant Governor of Connecticut (b. 1759) 1823 – André-Jacques Garnerin, French balloonist and the inventor of the frameless parachute (b. 1769) 1842 – Louis de Freycinet, French explorer and navigator (b. 1779) 1850 – Honoré de Balzac, French novelist and playwright (b. 1799) 1852 – James Finlayson, Scottish Quaker (b. 1772) 1886 – Eli Whitney Blake, American inventor, invented the Mortise lock (b. 1795) 1901–present 1919 – Joseph E. Seagram, Canadian businessman and politician, founded the Seagram Company (b. 1841) 1940 – Walter Chrysler, American businessman, founded Chrysler (b. 1875) 1942 – Erwin Schulhoff, Austro-Czech composer and pianist (b. 1894) 1943 – Ali-Agha Shikhlinski, Azerbaijani general (b. 1865) 1944 – Ernst Thälmann, German soldier and politician (b. 1886) 1945 – Subhas Chandra Bose, Indian activist and politician (b. 1897) 1949 – Paul Mares, American trumpet player and bandleader (b. 1900) 1950 – Julien Lahaut, Belgian soldier and politician (b. 1884) 1952 – Alberto Hurtado, Chilean priest, lawyer, and saint (b. 1901) 1961 – Learned Hand, American lawyer, jurist, and philosopher (b. 1872) 1964 – Hildegard Trabant, Berlin Wall victim (b. 1927) 1968 – Arthur Marshall, American pianist and composer (b. 1881) 1979 – Vasantrao Naik, Indian politician (b. 1913) 1981 – Anita Loos, American author and screenwriter (b. 1889) 1983 – Nikolaus Pevsner, German-English historian and scholar (b. 1902) 1986 – Harun Babunagari, Bangladeshi Islamic scholar and educationist (b. 1902) 1990 – B. F. Skinner, American psychologist and philosopher, invented the Skinner box (b. 1904) 1994 – Francis Raymond Shea, American bishop (b. 1913) 1998 – Persis Khambatta, Indian model and actress, Femina Miss India 1965 (b. 1948) 2001 – David Peakall, English chemist and toxicologist (b. 1931) 2002 – Dean Riesner, American actor and screenwriter (b. 1918) 2003 – Tony Jackson, English singer and bassist (b. 1938) 2004 – Elmer Bernstein, American composer and conductor (b. 1922) 2004 – Hiram Fong, American soldier and politician (b. 1906) 2005 – Chri$ Ca$h, American wrestler (b. 1982) 2006 – Ken Kearney, Australian rugby player (b. 1924) 2007 – Michael Deaver, American soldier and politician, White House Deputy Chief of Staff (b. 1938) 2007 – Magdalen Nabb, English author (b. 1947) 2009 – Kim Dae-jung, South Korean lieutenant and politician, 15th President of South Korea, Nobel Prize laureate (b. 1925) 2009 – Rose Friedman, Ukrainian-American economist and author (b. 1910) 2009 – Robert Novak, American journalist and author (b. 1931) 2010 – Hal Connolly, American hammer thrower and coach (b. 1931) 2010 – Benjamin Kaplan, American scholar and jurist (b. 1911) 2012 – Harrison Begay, American painter (b. 1917) 2012 – John Kovatch, American football player (b. 1920) 2012 – Scott McKenzie, American singer-songwriter and guitarist (b. 1939) 2012 – Ra. Ki. Rangarajan, Indian journalist and author (b. 1927) 2012 – Jesse Robredo, Filipino public servant and politician, 23rd Secretary of the Interior and Local Government (b. 1958) 2013 – Josephine D'Angelo, American baseball player (b. 1924) 2013 – Jean Kahn, French lawyer and activist (b. 1929) 2013 – Albert Murray, American author and critic (b. 1916) 2014 – Gordon Faber, American soldier and politician, 39th Mayor of Hillsboro, Oregon (b. 1930) 2014 – Jim Jeffords, American captain, lawyer, and politician (b. 1934) 2014 – Levente Lengyel, Hungarian chess player (b. 1933) 2014 – Don Pardo, American radio and television announcer (b. 1918) 2015 – Khaled al-Asaad, Syrian archaeologist and author (b. 1932) 2015 – Roger Smalley, English-Australian pianist, composer, and conductor (b. 1943) 2015 – Suvra Mukherjee, Wife of former Indian president Pranab Mukherjee (b. 1940) 2015 – Louis Stokes, American lawyer and politician (b. 1925) 2015 – Bud Yorkin, American director, producer, and screenwriter (b. 1926) 2016 – Ernst Nolte, German historian (b. 1923) 2017 – Bruce Forsyth, English television presenter and entertainer (b. 1928) 2017 – Zoe Laskari, Greek actress and beauty pageant winner (b. 1944) 2018 – Denis Edozie, Nigerian Supreme Court judge (b. 1935) 2018 – Kofi Annan, Ghanaian diplomat and seventh Secretary-General of the United Nations (b. 1938) 2020 – Ben Cross, English stage and film actor (b. 1947) 2023 – Lolita, the second-oldest orca in captivity (b. ca. 1966) 2023 – Al Quie, American politician, 35th Governor of Minnesota (b. 1923) Holidays and observances Christian feast day: Agapitus of Palestrina Alberto Hurtado Daig of Inniskeen Evan (or Inan) Fiacre Florus and Laurus Helena of Constantinople (Roman Catholic Church) William Porcher DuBose (Episcopal Church) August 18 (Eastern Orthodox liturgics) Arbor Day (Pakistan) Armed Forces Day (North Macedonia) Birthday of Virginia Dare (Roanoke Island) Constitution Day (Indonesia) Long Tan Day, also called Vietnam Veterans' Day (Australia) National Science Day (Thailand) References Sources External links Days of the year August
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August 19
Events Pre-1600 295 BC – The first temple to Venus, the Roman goddess of love, beauty and fertility, is dedicated by Quintus Fabius Maximus Gurges during the Third Samnite War. 43 BC – Gaius Julius Caesar Octavianus, later known as Augustus, compels the Roman Senate to elect him Consul. 947 – Abu Yazid, a Kharijite rebel leader, is defeated and killed in the Hodna Mountains in modern-day Algeria by Fatimid forces. 1153 – Baldwin III of Jerusalem takes control of the Kingdom of Jerusalem from his mother Melisende, and also captures Ascalon. 1458 – Pope Pius II is elected the 211th Pope. 1504 – In Ireland, the Hiberno-Norman de Burghs (Burkes) and Cambro-Norman Fitzgeralds fight in the Battle of Knockdoe. 1561 – Mary, Queen of Scots, aged 18, returns to Scotland after spending 13 years in France. 1601–1900 1604 – Eighty Years War: a besieging Dutch and English army led by Maurice of Orange forces the Spanish garrison of Sluis to capitulate. 1612 – The "Samlesbury witches", three women from the Lancashire village of Samlesbury, England, are put on trial, accused of practicing witchcraft, one of the most famous witch trials in British history. 1666 – Second Anglo-Dutch War: Rear Admiral Robert Holmes leads a raid on the Dutch island of Terschelling, destroying 150 merchant ships, an act later known as "Holmes's Bonfire". 1692 – Salem witch trials: In Salem, Province of Massachusetts Bay, five people, one woman and four men, including a clergyman, are executed after being convicted of witchcraft. 1745 – Prince Charles Edward Stuart raises his standard in Glenfinnan: The start of the Second Jacobite Rebellion, known as "the 45". 1745 – Ottoman–Persian War: In the Battle of Kars, the Ottoman army is routed by Persian forces led by Nader Shah. 1759 – Battle of Lagos: Naval battle during the Seven Years' War between Great Britain and France. 1772 – Gustav III of Sweden stages a coup d'état, in which he assumes power and enacts a new constitution that divides power between the Riksdag and the King. 1782 – American Revolutionary War: Battle of Blue Licks: The last major engagement of the war, almost ten months after the surrender of the British commander Charles Cornwallis following the Siege of Yorktown. 1812 – War of 1812: American frigate defeats the British frigate off the coast of Nova Scotia, Canada earning the nickname "Old Ironsides". 1813 – Gervasio Antonio de Posadas joins Argentina's Second Triumvirate. 1839 – The French government announces that Louis Daguerre's photographic process is a gift "free to the world". 1848 – California Gold Rush: The New York Herald breaks the news to the East Coast of the United States of the gold rush in California (although the rush started in January). 1854 – The First Sioux War begins when United States Army soldiers kill Lakota chief Conquering Bear and in return are massacred. 1861 – First ascent of Weisshorn, fifth highest summit in the Alps. 1862 – Dakota War: During an uprising in Minnesota, Lakota warriors decide not to attack heavily defended Fort Ridgely and instead turn to the settlement of New Ulm, killing white settlers along the way. 1901–present 1903 – The Transfiguration Uprising breaks out in East Thrace, resulting in the establishment of the Strandzha Commune. 1909 – The Indianapolis Motor Speedway opens for automobile racing. William Bourque and his mechanic are killed during the first day's events. 1920 – The Tambov Rebellion breaks out, in response to the Bolshevik policy of Prodrazvyorstka. 1927 – Patriarch Sergius of Moscow proclaims the declaration of loyalty of the Russian Orthodox Church to the Soviet Union. 1934 – The first All-American Soap Box Derby is held in Dayton, Ohio. 1934 – The German referendum of 1934 approves Adolf Hitler's appointment as head of state with the title of Führer. 1936 – The Great Purge of the Soviet Union begins when the first of the Moscow Trials is convened. 1940 – First flight of the B-25 Mitchell medium bomber. 1941 – Germany and Romania sign the Tiraspol Agreement, rendering the region of Transnistria under control of the latter. 1942 – World War II: Operation Jubilee: The 2nd Canadian Infantry Division leads an amphibious assault by allied forces on Dieppe, France and fails. 1944 – World War II: Liberation of Paris: Paris, France rises against German occupation with the help of Allied troops. 1945 – August Revolution: Viet Minh led by Ho Chi Minh take power in Hanoi, Vietnam. 1953 – Cold War: The CIA and MI6 help to overthrow the government of Mohammad Mosaddegh in Iran and reinstate the Shah Mohammad Reza Pahlavi. 1955 – In the Northeast United States, severe flooding caused by Hurricane Diane, claims 200 lives. 1960 – Cold War: In Moscow, Russia, Soviet Union, downed American U-2 pilot Francis Gary Powers is sentenced to ten years imprisonment by the Soviet Union for espionage. 1960 – Sputnik program: Korabl-Sputnik 2: The Soviet Union launches the satellite with the dogs Belka and Strelka, 40 mice, two rats and a variety of plants. 1964 – Syncom 3, the first geostationary communication satellite, is launched. Two months later, it would enable live coverage of the 1964 Summer Olympics. 1965 – Japanese prime minister Eisaku Satō becomes the first post-World War II sitting prime minister to visit Okinawa Prefecture. 1978 – In Iran, the Cinema Rex fire causes more than 400 deaths. 1980 – Saudia Flight 163, a Lockheed L-1011 TriStar burns after making an emergency landing at King Khalid International Airport in Riyadh, Saudi Arabia, killing 301 people. 1980 – Otłoczyn railway accident: In Poland's worst post-war railway accident, 67 people lose their lives and a further 62 are injured. 1981 – Gulf of Sidra Incident: United States F-14A Tomcat fighters intercept and shoot down two Libyan Sukhoi Su-22 fighter jets over the Gulf of Sidra. 1987 – Hungerford massacre: In the United Kingdom, Michael Ryan kills sixteen people with a semi-automatic rifle and then commits suicide. 1989 – Polish president Wojciech Jaruzelski nominates Solidarity activist Tadeusz Mazowiecki to be the first non-communist prime minister in 42 years. 1989 – Several hundred East Germans cross the frontier between Hungary and Austria during the Pan-European Picnic, part of the events that began the process of the Fall of the Berlin Wall. 1991 – Dissolution of the Soviet Union: The August Coup begins when Soviet President Mikhail Gorbachev is placed under house arrest while on holiday in the town of Foros, Ukraine. 1991 – Crown Heights riot begins. 1999 – In Belgrade, Yugoslavia, tens of thousands of Serbians rally to demand the resignation of Federal Republic of Yugoslavia President Slobodan Milošević. 2002 – Khankala Mi-26 crash: A Russian Mil Mi-26 helicopter carrying troops is hit by a Chechen missile outside Grozny, killing 118 soldiers. 2003 – A truck-bomb attack on United Nations headquarters in Iraq kills the agency's top envoy Sérgio Vieira de Mello and 21 other employees. 2003 – Shmuel HaNavi bus bombing: A suicide attack on a bus in Jerusalem, planned by Hamas, kills 23 Israelis, seven of them children. 2004 – Google Inc. has its initial public offering on Nasdaq. 2005 – The first-ever joint military exercise between Russia and China, called Peace Mission 2005 begins. 2009 – A series of bombings in Baghdad, Iraq, kills 101 and injures 565 others. 2010 – Operation Iraqi Freedom ends, with the last of the United States brigade combat teams crossing the border to Kuwait. 2013 – The Dhamara Ghat train accident kills at least 37 people in the Indian state of Bihar. 2017 – Tens of thousands of farmed non-native Atlantic salmon are accidentally released into the wild in Washington waters in the 2017 Cypress Island Atlantic salmon pen break. Births Pre-1600 232 – Marcus Aurelius Probus, Roman emperor (d. 282) 1342 – Catherine of Bohemia, duchess of Austria (d. 1395) 1398 – Íñigo López de Mendoza, 1st Marquis of Santillana, Spanish poet and politician (d. 1458) 1570 – Salamone Rossi, Italian violinist and composer (probable; d. 1630) 1583 – Daišan, Chinese prince and statesman (d. 1648) 1590 – Henry Rich, 1st Earl of Holland, English soldier and politician, Lord Lieutenant of Berkshire (d. 1649) 1596 – Elizabeth Stuart, queen of Bohemia (d. 1662) 1601–1900 1609 – Jan Fyt, Flemish painter (d. 1661) 1621 – Gerbrand van den Eeckhout, Dutch painter, etcher, and poet (d. 1674) 1631 – John Dryden, English poet, literary critic and playwright (d. 1700) 1646 – John Flamsteed, English astronomer and academic (d. 1719) 1686 – Eustace Budgell, English journalist and politician (d. 1737) 1689 (baptized) – Samuel Richardson, English author and publisher (d. 1761) 1711 – Edward Boscawen, English admiral and politician (d. 1761) 1719 – Charles-François de Broglie, marquis de Ruffec, French soldier and diplomat (d. 1781) 1743 – Madame du Barry, French mistress of Louis XV of France (d. 1793) 1777 – Francis I, king of the Two Sicilies (d. 1830) 1815 – Harriette Newell Woods Baker, American editor and children's book writer (d. 1893) 1819 – Julius van Zuylen van Nijevelt, Luxembourger-Dutch politician, Prime Minister of the Netherlands (d. 1894) 1830 – Julius Lothar Meyer, German chemist (d. 1895) 1835 – Tom Wills, Australian cricketer and pioneer of Australian rules football (d. 1880) 1843 – C. I. Scofield, American minister and theologian (d. 1921) 1846 – Luis Martín, Spanish religious leader, 24th Superior General of the Society of Jesus (d. 1906) 1848 – Gustave Caillebotte, French painter and engineer (d. 1894) 1849 – Joaquim Nabuco, Brazilian politician and diplomat (d. 1910) 1858 – Ellen Willmott, English horticulturalist (d. 1934) 1870 – Bernard Baruch, American businessman and philanthropist (d. 1965) 1871 – Orville Wright, American engineer and pilot, co-founded the Wright Company (d. 1948) 1873 – Fred Stone, American actor and producer (d. 1959) 1878 – Manuel L. Quezon, Filipino soldier, lawyer, and politician, 2nd President of the Philippines (d. 1944) 1881 – George Enescu, Romanian violinist, pianist, composer, and conductor (d. 1955) 1881 – George Shepherd, 1st Baron Shepherd (d. 1954) 1883 – Coco Chanel, French fashion designer, founded the Chanel Company (d. 1971) 1883 – José Mendes Cabeçadas, Portuguese admiral and politician, 9th President of Portugal (d. 1965) 1885 – Grace Hutchins, American labor reformer and researcher (d. 1969) 1887 – S. Satyamurti, Indian lawyer and politician (d. 1943) 1895 – C. Suntharalingam, Sri Lankan lawyer, academic, and politician (d. 1985) 1899 – Colleen Moore, American actress (d. 1988) 1900 – Gontran de Poncins, French author and adventurer (d. 1962) 1900 – Gilbert Ryle, English philosopher, author, and academic (d. 1976) 1900 – Dorothy Burr Thompson, American archaeologist and art historian (d. 2001) 1901–present 1902 – Ogden Nash, American poet (d. 1971) 1903 – James Gould Cozzens, American novelist and short story writer (d. 1978) 1904 – Maurice Wilks, English engineer and businessman (d. 1963) 1906 – Philo Farnsworth, American inventor, invented the Fusor (d. 1971) 1907 – Hazari Prasad Dwivedi, Indian historian, author, and scholar (d. 1979) 1909 – Ronald King, New Zealand rugby player (d. 1988) 1910 – Saint Alphonsa, first woman of Indian origin to be canonized as a saint by the Catholic Church (d. 1946) 1911 – Anna Terruwe, Dutch psychiatrist and author (d. 2004) 1912 – Herb Narvo, Australian rugby league player, coach, and boxer (d. 1958) 1913 – John Argyris, Greek engineer and academic (d. 2004) 1913 – Peter Kemp, Indian-English soldier and author (d. 1993) 1913 – Richard Simmons, American actor (d. 2003) 1914 – Lajos Baróti, Hungarian footballer and manager (d. 2005) 1914 – Fumio Hayasaka, Japanese composer (d. 1955) 1914 – Rose Heilbron, British barrister and judge (d. 2005) 1915 – Ring Lardner, Jr., American journalist and screenwriter (d. 2000) 1915 – Alfred Rouleau, Canadian businessman (d. 1985) 1916 – Dennis Poore, English racing driver and businessman (d. 1987) 1918 – Jimmy Rowles, American singer-songwriter and pianist (d. 1996) 1919 – Malcolm Forbes, American publisher and politician (d. 1990) 1921 – Gene Roddenberry, American screenwriter and producer (d. 1991) 1922 – Jack Holland, Australian rugby league player (d. 1994) 1923 – Edgar F. Codd, English computer scientist, inventor of relational model of data (d. 2003) 1924 – Willard Boyle, Canadian physicist and academic, Nobel Prize laureate (d. 2011) 1924 – William Marshall, American actor, director, and opera singer (d. 2003) 1925 – Claude Gauvreau, Canadian poet and playwright (d. 1971) 1926 – Angus Scrimm, American actor and author (d. 2016) 1928 – Shiv Prasaad Singh, Indian Hindi writer (d. 1998) 1928 – Bernard Levin, English journalist, author, and broadcaster (d. 2004) 1929 – Bill Foster, American basketball player and coach (d. 2016) 1929 – Ion N. Petrovici, Romanian-German neurologist and academic (d. 2021) 1930 – Frank McCourt, American author and educator (d. 2009) 1931 – Bill Shoemaker, American jockey and author (d. 2003) 1932 – Thomas P. Salmon, American lawyer and politician, 75th Governor of Vermont 1932 – Banharn Silpa-archa, Thai politician, Prime Minister (1995–1996) (d. 2016) 1933 – Bettina Cirone, American model and photographer 1933 – David Hopwood, English microbiologist and geneticist 1933 – Debra Paget, American actress 1934 – David Durenberger, American soldier, lawyer, and politician (d. 2023) 1934 – Renée Richards, American tennis player and ophthalmologist 1935 – Bobby Richardson, American baseball player and coach 1936 – Richard McBrien, American priest, theologian, and academic (d. 2015) 1937 – Richard Ingrams, English journalist, founded The Oldie 1937 – William Motzing, American composer and conductor (d. 2014) 1938 – Diana Muldaur, American actress 1938 – Nelly Vuksic, Argentine conductor and musician 1939 – Ginger Baker, English drummer and songwriter (d. 2019) 1940 – Roger Cook, English songwriter, singer, and producer 1940 – Johnny Nash, American singer-songwriter (d. 2020) 1940 – Jill St. John, American model and actress 1941 – John Cootes, Australian rugby league player, priest, and businessman 1941 – Mihalis Papagiannakis, Greek educator and politician (d. 2009) 1942 – Fred Thompson, American actor, lawyer, and politician (d. 2015) 1943 – Don Fardon, English pop singer 1943 – Sid Going, New Zealand rugby player 1943 – Billy J. Kramer, English pop singer 1944 – Jack Canfield, American author 1944 – Stew Johnson, American basketball player 1944 – Bodil Malmsten, Swedish author and poet (d. 2016) 1944 – Eddy Raven, American country music singer-songwriter 1944 – Charles Wang, Chinese-American businessman and philanthropist, co-founded Computer Associates International (d. 2018) 1945 – Dennis Eichhorn, American author and illustrator (d. 2015) 1945 – Charles Wellesley, 9th Duke of Wellington, English politician 1945 – Ian Gillan, English singer-songwriter 1946 – Charles Bolden, American general and astronaut 1946 – Bill Clinton, American lawyer and politician, 42nd President of the United States 1946 – Dawn Steel, American film producer (d. 1997) 1947 – Dave Dutton, English actor and screenwriter 1947 – Terry Hoeppner, American football player and coach (d. 2007) 1947 – Gerald McRaney, American actor 1947 – Gerard Schwarz, American conductor and director 1947 – Anuška Ferligoj, Slovenian mathematician 1948 – Jim Carter, English actor 1948 – Tipper Gore, American activist and author, former Second Lady of the United States 1948 – Robert Hughes, Australian actor 1948 – Christy O'Connor Jnr, Irish golfer and architect (d. 2016) 1949 – Michael Nazir-Ali, Pakistani-English bishop 1950 – Jennie Bond, English journalist and author 1950 – Sudha Murty, Indian author and teacher, head of Infosys Foundation 1951 – John Deacon, English bass player and songwriter 1951 – Gustavo Santaolalla, Argentinian singer-songwriter, guitarist, and producer 1952 – Jonathan Frakes, American actor and director 1952 – Jimmy Watson, Canadian ice hockey player 1954 – Oscar Larrauri, Argentinian racing driver 1955 – Mary-Anne Fahey, Australian actress 1955 – Peter Gallagher, American actor 1955 – Patricia Scotland, Baroness Scotland of Asthal, Dominica-born English lawyer and politician, Attorney General for England and Wales 1955 – Ned Yost, American baseball player and manager 1956 – Adam Arkin, American actor, director, and producer 1956 – José Rubén Zamora, Guatemalan journalist 1957 – Paul-Jan Bakker, Dutch cricketer 1957 – Gary Chapman, American singer-songwriter and guitarist 1957 – Martin Donovan, American actor and director 1957 – Ian Gould, English cricketer and umpire 1957 – Cesare Prandelli, Italian footballer and manager 1957 – Christine Soetewey, Belgian high jumper 1957 – Gerda Verburg, Dutch trade union leader and politician, Dutch Minister of Agriculture 1958 – Gary Gaetti, American baseball player, coach, and manager 1958 – Anthony Muñoz, American football player and sportscaster 1958 – Brendan Nelson, Australian physician and politician, 47th Minister for Defence for Australia 1958 – Rick Snyder, American politician and businessman, 48th Governor of Michigan 1958 – Darryl Sutter, Canadian ice hockey player and coach 1959 – Chris Mortimer, Australian rugby league player 1959 – Ivan Neville, American singer-songwriter 1959 – Ricky Pierce, American basketball player 1960 – Morten Andersen, Danish-American football player 1960 – Ron Darling, American baseball player and commentator 1961 – Jonathan Coe, English author and academic 1963 – John Stamos, American actor 1965 – Kevin Dillon, American actor 1965 – Kyra Sedgwick, American actress and producer 1965 – James Tomkins, Australian rower 1966 – Lee Ann Womack, American singer-songwriter 1967 – Khandro Rinpoche, Indian spiritual leader 1967 – Satya Nadella, Indian-American business executive, Chairman and CEO of Microsoft 1969 – Douglas Allen Tunstall Jr., American professional wrestler and politician 1969 – Nate Dogg, American rapper (d. 2011) 1969 – Matthew Perry, American actor, producer, and screenwriter (d. 2023) 1969 – Kazuyoshi Tatsunami, Japanese baseball player and coach 1969 – Clay Walker, American singer-songwriter and guitarist 1970 – Fat Joe, American rapper 1971 – Mary Joe Fernández, Dominican-American tennis player and coach 1971 – João Vieira Pinto, Portuguese footballer 1972 – Roberto Abbondanzieri, Argentinian footballer and manager 1972 – Chihiro Yonekura, Japanese singer-songwriter 1973 – Marco Materazzi, Italian footballer and manager 1973 – Roy Rogers, American basketball player and coach 1973 – Tasma Walton, Australian actress 1975 – Tracie Thoms, American actress 1976 – Régine Chassagne, Canadian singer-songwriter 1977 – Iban Mayo, Spanish cyclist 1978 – Chris Capuano, American baseball player 1978 – Jakub Dvorský, Czech game designer 1978 – Thomas Jones, American football player 1979 – Oumar Kondé, Swiss footballer 1980 – Darius Campbell, Scottish singer-songwriter, guitarist, and actor (d. 2022) 1980 – Craig Frawley, Australian rugby league player 1980 – Jun Jin, South Korean singer 1980 – Paul Parry, Welsh footballer 1980 – Michael Todd, American bass player 1981 – Nick Kennedy, English rugby player 1981 – Taylor Pyatt, Canadian ice hockey player 1981 – Percy Watson, American football player and wrestler 1982 – Erika Christensen, American actress 1982 – Melissa Fumero, American actress 1982 – J. J. Hardy, American baseball player 1982 – Kevin Rans, Belgian pole vaulter 1982 – Stipe Miocic, American professional mixed martial artist 1982 – Steve Ott, Canadian ice hockey player 1983 – Mike Conway, English racing driver 1983 – Missy Higgins, Australian singer-songwriter 1983 – Tammin Sursok, South African-Australian actress and singer 1984 – Simon Bird, English actor and screenwriter 1984 – Alessandro Matri, Italian footballer 1984 – Ryan Taylor, English footballer 1985 – David A. Gregory, American actor 1985 – Lindsey Jacobellis, American snowboarder 1986 – Sotiris Balafas, Greek footballer 1986 – Saori Kimura, Japanese volleyball player 1986 – Christina Perri, American singer and songwriter 1987 – Patrick Chung, Jamaican-American football player 1987 – Nick Driebergen, Dutch swimmer 1987 – Nico Hülkenberg, German racing driver 1988 – Kirk Cousins, American football player 1988 – Veronica Roth, American author 1989 – Romeo Miller, American basketball player, rapper, actor 1990 – Danny Galbraith, Scottish footballer 1991 – Salem Al-Dawsari, Saudi Arabian footballer 1992 – David Rittich, Czech ice hockey player 1994 – Nafissatou Thiam, Belgian pentathlete and heptathlete 1994 – Fernando Gaviria, Colombian cyclist 1996 – Jung Ye-rin, South Korean singer and actress 1996 – Lachlan Lewis, Australian rugby league player 1999 – Ethan Cutkosky, American actor and musician 1999 – Thomas Flegler, Australian rugby league player 2000 – Keegan Murray, American basketball player 2001 – Awak Kuier, Finnish basketball player Deaths Pre-1600 607 BC – Duke Ling of Jin, Chinese monarch AD 14 – Augustus, Roman emperor (b. 63 BC) 780 – Credan, English abbot and saint 947 – Abu Yazid, Kharijite rebel leader (b. 873) 998 – Fujiwara no Sukemasa, Japanese noble, statesman and calligrapher (b. 944) 1072 – Hawise, Duchess of Brittany (b. 1037) 1085 – Al-Juwayni, Muslim scholar and imam (b. 1028) 1186 – Geoffrey II, Duke of Brittany (b. 1158) 1245 – Ramon Berenguer IV, Count of Provence (b. 1195) 1284 – Alphonso, Earl of Chester (b. 1273) 1297 – Louis of Toulouse, French bishop and saint (b. 1274) 1457 – Andrea del Castagno, Italian painter (b. 1421) 1470 – Richard Olivier de Longueil, French cardinal (b. 1406) 1493 – Frederick III, Holy Roman Emperor (b. 1415) 1506 – King Alexander Jagiellon of Poland (b. 1461) 1541 – Vincenzo Cappello, Venetian admiral and statesman (b. 1469) 1580 – Andrea Palladio, Italian architect, designed the Church of San Giorgio Maggiore and Il Redentore (b. 1508) 1601–1900 1646 – Alexander Henderson, Scottish theologian and academic (b. 1583) 1654 – Yom-Tov Lipmann Heller, Bohemian rabbi (b. 1579) 1662 – Blaise Pascal, French mathematician, physicist, and philosopher (b. 1623) 1680 – Jean Eudes, French priest, founded the Congregation of Jesus and Mary (b. 1601) 1691 – Köprülü Fazıl Mustafa Pasha, Ottoman commander and politician, 117th Grand Vizier of the Ottoman Empire (b. 1637) 1702 – Anthony Grey, 11th Earl of Kent, English politician (b. 1645) 1753 – Johann Balthasar Neumann, German engineer and architect, designed Basilica of the Fourteen Holy Helpers (b. 1687) 1808 – Fredrik Henrik af Chapman, Swedish admiral and shipbuilder (b. 1721) 1822 – Jean Baptiste Joseph Delambre, French mathematician and astronomer (b. 1749) 1883 – Jeremiah S. Black, American lawyer and politician, 24th United States Attorney General (b. 1810) 1889 – Auguste Villiers de l'Isle-Adam, French author, poet, and playwright (b. 1838) 1895 – John Wesley Hardin, American Old West outlaw, gunfighter (b. 1853) 1900 – Jean-Baptiste Accolay, Belgian violinist, composer, and conductor (b. 1833) 1901–present 1914 – Franz Xavier Wernz, German religious leader, 25th Superior General of the Society of Jesus (b. 1844) 1915 – Tevfik Fikret, Turkish poet and educator (b. 1867) 1923 – Vilfredo Pareto, Italian sociologist and economist (b. 1845) 1928 – Stephanos Skouloudis, Greek banker and diplomat, 97th Prime Minister of Greece (b. 1838) 1929 – Sergei Diaghilev, Russian critic and producer, founded Ballets Russes (b. 1872) 1932 – Louis Anquetin, French painter (b. 1861) 1936 – Federico García Lorca, Spanish poet, playwright, and director (b. 1898) 1942 – Harald Kaarmann, Estonian footballer (b. 1901) 1942 – Heinrich Rauchinger, Kraków-born painter (b. 1858) 1944 – Henry Wood, English conductor (b. 1869) 1945 – Tomás Burgos, Chilean philanthropist (b. 1875) 1950 – Giovanni Giorgi, Italian physicist and engineer (b. 1871) 1954 – Alcide De Gasperi, Italian journalist and politician, 30th Prime Minister of Italy (b. 1881) 1957 – David Bomberg, English soldier and painter (b. 1890) 1967 – Hugo Gernsback, Luxembourg-born American author and publisher (b. 1884) 1967 – Isaac Deutscher, Polish-English journalist and historian (b. 1907) 1968 – George Gamow, Ukrainian-American physicist and cosmologist (b. 1904) 1970 – Paweł Jasienica, Polish soldier and historian (b. 1909) 1975 – Mark Donohue, American race car driver and engineer (b. 1937) 1976 – Alastair Sim, Scottish-English actor (b. 1900) 1976 – Ken Wadsworth, New Zealand cricketer (b. 1946) 1977 – Aleksander Kreek, Estonian shot putter and discus thrower (b. 1914) 1977 – Groucho Marx, American comedian and actor (b. 1890) 1980 – Otto Frank, German-Swiss businessman, father of Anne Frank (b. 1889) 1981 – Jessie Matthews, English actress, singer, and dancer (b. 1907) 1982 – August Neo, Estonian wrestler (b. 1908) 1986 – Hermione Baddeley, English actress (b. 1906) 1986 – Viv Thicknesse, Australian rugby player (b. 1910) 1993 – Utpal Dutt, Bangladeshi actor, director, and playwright (b. 1929) 1994 – Linus Pauling, American chemist and biologist, Nobel Prize laureate (b. 1901) 1995 – Pierre Schaeffer, French composer and musicologist (b. 1910) 2000 – Bineshwar Brahma, Indian poet, author, and educator (b. 1948) 2001 – Donald Woods, South African journalist and activist (b. 1933) 2003 – Carlos Roberto Reina, Honduran lawyer and politician, President of Honduras (b. 1926) 2003 – Sérgio Vieira de Mello, Brazilian diplomat (b. 1948) 2005 – Mo Mowlam, English academic and politician, Chancellor of the Duchy of Lancaster (b. 1949) 2008 – Levy Mwanawasa, Zambian lawyer and politician, 3rd President of Zambia (b. 1948) 2009 – Don Hewitt, American television producer, created 60 Minutes (b. 1922) 2011 – Raúl Ruiz, Chilean director and producer (b. 1941) 2012 – Donal Henahan, American journalist and critic (b. 1921) 2012 – Ivar Iversen, Norwegian canoe racer (b. 1914) 2012 – Tony Scott, English-American director and producer (b. 1944) 2012 – Edmund Skellings, American poet and academic (b. 1932) 2013 – Musa'id bin Abdulaziz Al Saud, Saudi Arabian prince (b. 1923) 2013 – Russell S. Doughten, American director and producer (b. 1927) 2013 – Abdul Rahim Hatif, Afghan politician, 8th President of Afghanistan (b. 1926) 2013 – Donna Hightower, American singer-songwriter (b. 1926) 2014 – Samih al-Qasim, Palestinian poet and journalist (b. 1939) 2014 – Simin Behbahani, Iranian poet and activist (b. 1927) 2014 – James Foley, American photographer and journalist (b. 1973) 2014 – Candida Lycett Green, Anglo-Irish journalist and author (b. 1942) 2015 – George Houser, American minister and activist (b. 1916) 2015 – Sanat Mehta, Indian activist and politician (b. 1935) 2016 – Jack Riley, American actor and voice artist (b. 1935) 2017 – Dick Gregory, American comedian, author and activist (b. 1932) 2019 – Lars Larsen, Danish businessman and billionaire, founder and owner of the Danish retail chain JYSK (b. 1948) 2021 – Sonny Chiba, Japanese actor (b. 1939) 2023 – Václav Patejdl, Slovak musician (b. 1954) Holidays and observances Afghan Independence Day, commemorates the Treaty of Rawalpindi in 1919, granting independence from Britain (Afghanistan) August Revolution Commemoration Day (Vietnam) Birthday of Crown Princess Mette-Marit (Norway) Christian Feast Day: Bernardo Tolomei Bertulf of Bobbio Saint Calminius Ezequiél Moreno y Díaz Feast of the Transfiguration (Julian calendar), and its related observances: Buhe (Ethiopian Orthodox Tewahedo Church and Eritrean Orthodox Tewahedo Church) Saviour's Transfiguration, popularly known as the "Apples Feast" (Russian Orthodox Church and Georgian Orthodox Church) Jean-Eudes de Mézeray Louis of Toulouse Maginus Magnus of Anagni Magnus of Avignon Sebaldus August 19 (Eastern Orthodox liturgics) Manuel Luis Quezón Day (Quezon City and other places in the Philippines named after Manuel L. Quezon) National Aviation Day (United States) World Humanitarian Day References External links Days of the year August
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https://en.wikipedia.org/wiki/August%2021
August 21
Events Pre-1600 959 – Eraclus becomes the 25th bishop of Liège. 1140 – Song dynasty general Yue Fei defeats an army led by Jin dynasty general Wuzhu at the Battle of Yancheng during the Jin–Song Wars. 1169 – Battle of the Blacks: Uprising by the black African forces of the Fatimid army, along with a number of Egyptian emirs and commoners, against Saladin. 1192 – Minamoto no Yoritomo becomes Sei-i Taishōgun and the de facto ruler of Japan. (Traditional Japanese date: the 12th day of the seventh month in the third year of the Kenkyū (建久) era). 1331 – King Stefan Uroš III, after months of anarchy, surrenders to his son and rival Stefan Dušan, who succeeds as King of Serbia. 1415 – Henry the Navigator leads Portuguese forces to victory over the Marinids at the Conquest of Ceuta. 1601–1900 1680 – Pueblo Indians capture Santa Fe from the Spanish during the Pueblo Revolt. 1689 – The Battle of Dunkeld in Scotland. 1716 – Seventh Ottoman–Venetian War: The arrival of naval reinforcements and the news of the Battle of Petrovaradin force the Ottomans to abandon the Siege of Corfu, thus preserving the Ionian Islands under Venetian rule. 1770 – James Cook formally claims eastern Australia for Great Britain, naming it New South Wales. 1772 – King Gustav III completes his coup d'état by adopting a new Constitution, ending half a century of parliamentary rule in Sweden and installing himself as an enlightened despot. 1778 – American Revolutionary War: British forces begin besieging the French outpost at Pondichéry. 1791 – A Vodou ceremony, led by Dutty Boukman, turns into a violent slave rebellion, beginning the Haitian Revolution. 1808 – Battle of Vimeiro: British and Portuguese forces led by General Arthur Wellesley defeat French force under Major-General Jean-Andoche Junot near the village of Vimeiro, Portugal, the first Anglo-Portuguese victory of the Peninsular War. 1810 – Jean-Baptiste Bernadotte, Marshal of France, is elected Crown Prince of Sweden by the Swedish Riksdag of the Estates. 1821 – Jarvis Island is discovered by the crew of the ship, Eliza Frances. 1831 – Nat Turner leads black slaves and free blacks in a rebellion in Southampton County, Virginia, which will claim the lives of 55 to 65 whites and about twice that number of blacks. 1852 – Tlingit Indians destroy Fort Selkirk, Yukon Territory. 1858 – The first of the Lincoln–Douglas debates is held in Ottawa, Illinois. 1862 – The Stadtpark, the first public park in Vienna, opens to the public. 1863 – Lawrence, Kansas is destroyed by pro-Confederate guerrillas known as Quantrill's Raiders. 1878 – The American Bar Association is founded in Saratoga Springs, New York. 1879 – The locals of Knock, County Mayo, Ireland report their having seen an apparition of the Virgin Mary. The apparition is later named “Our Lady of Knock” and the spot transformed into a Catholic pilgrimage site. 1883 – An F5 tornado strikes Rochester, Minnesota, leading to the creation of the Mayo Clinic. 1888 – The first successful adding machine in the United States is patented by William Seward Burroughs. 1901–present 1901 – Six hundred American school teachers, Thomasites, arrived in Manila on the USAT Thomas. 1911 – The Mona Lisa is stolen by Vincenzo Peruggia, a Louvre employee. 1914 – World War I: The Battle of Charleroi, a successful German attack across the River Sambre that pre-empted a French offensive in the same area. 1918 – World War I: The Second Battle of the Somme begins. 1942 – World War II: The Guadalcanal Campaign: American forces defeat an attack by Imperial Japanese Army soldiers in the Battle of the Tenaru. 1944 – Dumbarton Oaks Conference, prelude to the United Nations, begins. 1944 – World War II: Canadian and Polish units capture the strategically important town of Falaise, Calvados, France. 1945 – Physicist Harry Daghlian is fatally irradiated in a criticality accident during an experiment with the Demon core at Los Alamos National Laboratory. 1957 – The Soviet Union successfully conducts a long-range test flight of the R-7 Semyorka, the first intercontinental ballistic missile. 1959 – United States President Dwight D. Eisenhower signs an executive order proclaiming Hawaii the 50th state of the union. Hawaii's admission is currently commemorated by Hawaii Admission Day. 1963 – Xá Lợi Pagoda raids: The Army of the Republic of Vietnam Special Forces loyal to Ngô Đình Nhu, brother of President Ngo Dinh Diem, vandalizes Buddhist pagodas across the country, arresting thousands and leaving an estimated hundreds dead. 1965 – The Socialist Republic of Romania is proclaimed, following the adoption of a new constitution. 1968 – Cold War: Nicolae Ceaușescu, leader of the Socialist Republic of Romania, publicly condemns the Soviet-led Warsaw Pact invasion of Czechoslovakia, encouraging the Romanian population to arm itself against possible Soviet reprisals. 1968 – James Anderson Jr. posthumously receives the first Medal of Honor to be awarded to an African American U.S. Marine. 1971 – A bomb exploded in the Liberal Party campaign rally in Plaza Miranda, Manila, Philippines with several anti-Marcos political candidates injured. 1982 – Lebanese Civil War: The first troops of a multinational force lands in Beirut to oversee the Palestine Liberation Organization's withdrawal from Lebanon. 1983 – Philippine opposition leader Benigno Aquino Jr. is assassinated at Manila International Airport (now renamed Ninoy Aquino International Airport in his honor). 1986 – Carbon dioxide gas erupts from volcanic Lake Nyos in Cameroon, killing up to 1,800 people within a range. 1988 – The 6.9 Nepal earthquake shakes the Nepal–India border with a maximum Mercalli intensity of VIII (Severe), leaving 709–1,450 people killed and thousands injured. 1991 – Latvia declares renewal of its full independence after its occupation by the Soviet Union since 1940. 1991 – Coup attempt against Mikhail Gorbachev collapses. 1993 – NASA loses contact with the Mars Observer spacecraft. 1994 – Royal Air Maroc Flight 630 crashes in Douar Izounine, Morocco, killing all 44 people on board. 1995 – Atlantic Southeast Airlines Flight 529, an Embraer EMB 120 Brasilia, attempts to divert to West Georgia Regional Airport after the left engine fails, but the aircraft crashes in Carroll County near Carrollton, Georgia, killing nine of the 29 people on board. 2000 – American golfer Tiger Woods wins the 82nd PGA Championship and becomes the first golfer since Ben Hogan in 1953 to win three majors in a calendar year. 2013 – Hundreds of people are reported killed by chemical attacks in the Ghouta region of Syria. 2017 – A solar eclipse traverses the continental United States. Births Pre-1600 1165 – Philip II of France (d. 1223) 1481 – Jorge de Lencastre, Duke of Coimbra (d. 1550) 1535 – Shimazu Yoshihiro, Japanese general (d. 1619) 1552 – Muhammad Qadiri, Founder of the Naushahia branch of the Qadri order (d. 1654) 1567 – Francis de Sales, Swiss bishop and saint (d. 1622) 1579 – Henri, Duke of Rohan (d. 1638) 1597 – Roger Twysden, English historian and politician (d. 1672) 1601–1900 1625 – John Claypole, English politician (d. 1688) 1643 – Afonso VI of Portugal (d. 1683) 1660 – Hubert Gautier, French mathematician and engineer (d. 1737) 1665 – Giacomo F. Maraldi, French-Italian astronomer and mathematician (d. 1729) 1670 – James FitzJames, 1st Duke of Berwick, French general and politician, Lord Lieutenant of Hampshire (d. 1734) 1725 – Jean-Baptiste Greuze, French painter and educator (d. 1805) 1754 – William Murdoch, Scottish engineer and inventor, created gas lighting (d. 1839) 1754 – Banastre Tarleton, English general and politician (d. 1833) 1765 – William IV of the United Kingdom (d. 1837) 1789 – Augustin-Louis Cauchy, French mathematician and academic (d. 1857) 1798 – Jules Michelet, French historian and philosopher (d. 1874) 1800 – Hiram Walden, American general and politician (d. 1880) 1801 – Guillaume Groen van Prinsterer, Dutch historian and politician (d. 1876) 1813 – Jean Stas, Belgian chemist and physician (d. 1891) 1816 – Charles Frédéric Gerhardt, French chemist and academic (d. 1856) 1823 – Nathaniel Everett Green, English painter and astronomer (d. 1899) 1826 – Karl Gegenbaur, German anatomist and academic (d. 1903) 1829 – Otto Goldschmidt, German composer, conductor and pianist (d. 1907) 1840 – Ferdinand Hamer, Dutch bishop and missionary (d. 1900) 1851 – Charles Barrois, French geologist and palaeontologist (d. 1939) 1856 – Medora de Vallombrosa, Marquise de Morès, American heiress (d. 1921) 1858 – Rudolf, Crown Prince of Austria (d. 1889) 1862 – Emilio Salgari, Italian journalist and author (d. 1911) 1869 – William Henry Ogilvie, Scottish-Australian poet and author (d. 1963) 1872 – Aubrey Beardsley, English author and illustrator (d. 1898) 1878 – Richard Girulatis, German footballer and manager (d. 1963) 1879 – Claude Grahame-White, English pilot and engineer (d. 1959) 1884 – Chandler Egan, American golfer and architect (d. 1936) 1885 – Édouard Fabre, Canadian runner (d. 1939) 1886 – Ruth Manning-Sanders, Welsh-English author and poet (d. 1988) 1887 – James Paul Moody, English sailor (d. 1912) 1891 – Emiliano Mercado del Toro, Puerto Rican-American soldier (d. 2007) 1892 – Charles Vanel, French actor and director (d. 1989) 1894 – Christian Schad, German painter (d. 1982) 1895 – Blossom Rock, American actress (d. 1978) 1897 – Keith Arbuthnott, 15th Viscount of Arbuthnott, Scottish soldier and peer (d. 1966) 1901–present 1902 – Angel Karaliychev, Bulgarian author (d. 1972) 1903 – Kostas Giannidis, Greek pianist, composer, and conductor (d. 1984) 1904 – Count Basie, American pianist, composer, and bandleader (d. 1984) 1905 – Bipin Gupta, Indian actor and producer (d. 1981) 1906 – Friz Freleng, American animator, director, and producer (d. 1995) 1907 – P. Jeevanandham, Indian lawyer and politician (d. 1963) 1909 – Nikolay Bogolyubov, Russian mathematician and physicist (d. 1992) 1912 – Toe Blake, Canadian ice hockey player and coach (d. 1995) 1914 – Doug Wright, English cricketer and coach (d. 1998) 1916 – Bill Lee, American actor and singer (d. 1980) 1916 – Consuelo Velázquez, Mexican pianist and songwriter (d. 2005) 1917 – Leonid Hurwicz, Russian economist and mathematician (d. 2008) 1918 – Billy Reay, Canadian-American ice hockey player and coach (d. 2004) 1921 – Reuven Feuerstein, Romanian-Israeli psychologist and academic (d. 2014) 1922 – Albert Irvin, English soldier and painter (d. 2015) 1923 – Keith Allen, Canadian-American ice hockey player, coach, and manager (d. 2014) 1924 – Jack Buck, American sportscaster (d. 2002) 1924 – Jack Weston, American actor (d. 1996) 1926 – Can Yücel, Turkish poet and translator (d. 1999) 1927 – Thomas S. Monson, American religious leader, 16th President of The Church of Jesus Christ of Latter-day Saints (d. 2018) 1928 – Addison Farmer, American bassist (d. 1963) 1928 – Art Farmer, American trumpet player and composer (d. 1999) 1928 – Bud McFadin, American football player (d. 2006) 1929 – Herman Badillo, Puerto Rican-American lawyer and politician (d. 2014) 1929 – X. J. Kennedy, American poet, translator, anthologist, editor 1929 – Ahmed Kathrada, South African politician and political prisoner (d. 2017) 1930 – Princess Margaret, Countess of Snowdon (d. 2002) 1930 – Frank Perry, American director, producer, and screenwriter (d. 1995) 1932 – Menashe Kadishman, Israeli sculptor and painter (d. 2015) 1932 – Melvin Van Peebles, American actor, director, and screenwriter (d. 2021) 1933 – Janet Baker, English soprano and educator 1933 – Michael Dacher, German mountaineer (d. 1994) 1933 – Barry Norman, English author and critic (d. 2017) 1933 – Erik Paaske, Danish actor and singer (d. 1992) 1934 – Sudhakarrao Naik, Indian lawyer and politician, 13th Chief Minister of Maharashtra (d. 2001) 1934 – Paul Panhuysen, Dutch composer (d. 2015) 1936 – Wilt Chamberlain, American basketball player and coach (d. 1999) 1936 – Radish Tordia, Georgian painter and educator 1937 – Donald Dewar, Scottish politician, first First Minister of Scotland (d. 2000) 1937 – Gustavo Noboa, Ecuadorian academic and politician, 51st President of Ecuador (d. 2021) 1937 – Robert Stone, American novelist and short story writer (d. 2015) 1938 – Steve Cowper, American politician, 6th Governor of Alaska 1938 – Kenny Rogers, American singer-songwriter, guitarist, producer, and actor (d. 2020) 1938 – Mike Weston, English rugby player 1939 – James Burton, American Hall of Fame guitarist 1939 – Festus Mogae, Botswana economist and politician, third President of Botswana 1939 – Clarence Williams III, American actor (d. 2021) 1940 – Dominick Harrod, English journalist, historian, and author (d. 2013) 1940 – Endre Szemerédi, Hungarian-American mathematician and computer scientist 1941 – Jackie DeShannon, American singer-songwriter 1943 – Patrick Demarchelier, French photographer (d. 2022) 1943 – Jonathan Schell, American journalist and author (d. 2014) 1943 – Lucius Shepard, American author and critic (d. 2014) 1943 – Hugh Wilson, American actor, director, producer, and screenwriter (d. 2018) 1944 – Perry Christie, Bahamian politician, third Prime Minister of the Bahamas 1944 – Peter Weir, Australian director, producer, and screenwriter 1945 – Basil Poledouris, Greek-American composer, conductor (d. 2006) 1945 – Celia Brayfield, English journalist and author 1945 – Jerry DaVanon, American baseball player 1945 – Willie Lanier, American football player 1945 – Patty McCormack, American actress 1947 – Carl Giammarese, American singer-songwriter and musician 1949 – Loretta Devine, American actress and singer 1949 – Daniel Sivan, Israeli scholar and academic 1950 – Patrick Juvet, Swiss singer-songwriter and model (d. 2021) 1951 – Eric Goles, Chilean mathematician and computer scientist 1951 – Glenn Hughes, English musician 1951 – Yana Mintoff, Maltese politician, economist and educator 1951 – Chesley V. Morton, American businessman and politician 1952 – Keith Hart, Canadian firefighter, wrestler, and trainer 1952 – Jiří Paroubek, Czech soldier and politician, sixth Prime Minister of the Czech Republic 1952 – Bernadette Porter, English nun and educator 1952 – Joe Strummer, English singer-songwriter and guitarist (d. 2002) 1953 – Ivan Stang, American author, publisher, and director 1954 – Archie Griffin, American football player 1954 – Steve Smith, American drummer 1954 – Mark Williams, New Zealand-Australian singer-songwriter 1956 – Kim Cattrall, English-Canadian actress 1956 – Jon Tester, American farmer and politician 1957 – Frank Pastore, American baseball player and radio host (d. 2012) 1958 – Steve Case, American businessman, co-founder of America Online (AOL) 1958 – Mark Williams, Australian footballer and coach 1959 – Anne Hobbs, English tennis player and coach 1959 – Jim McMahon, American football player and coach 1961 – Gerardo Barbero, Argentinian chess player and coach (d. 2001) 1961 – V. B. Chandrasekhar, Indian cricketer and coach (d. 2019) 1961 – Stephen Hillenburg, American marine biologist, cartoonist, animator and creator of SpongeBob SquarePants (d. 2018) 1962 – Cleo King, American actress 1962 – John Korfas, Greek-American basketball player and coach 1962 – Gilberto Santa Rosa, Puerto Rican bandleader and singer of salsa and bolero 1962 – Pete Weber, American bowler 1963 – Mohammed VI of Morocco, King of Morocco 1963 – Nigel Pearson, English footballer and manager 1964 – Gary Elkerton, Australian surfer 1965 – Jim Bullinger, American baseball player 1966 – John Wetteland, American baseball player and coach 1967 – Darren Bewick, Australian footballer 1967 – Charb, French journalist and cartoonist (d. 2015) 1967 – Carrie-Anne Moss, Canadian actress 1967 – Serj Tankian, Lebanese-born Armenian-American singer-songwriter, multi-instrumentalist, and record producer 1968 – Dina Carroll, English singer-songwriter 1968 – Goran Ćurko, Serbian footballer 1968 – Laura Trevelyan, English journalist and author 1969 – Bruce Anstey, New Zealand motorcycle racer 1969 – Josée Chouinard, Canadian figure skater 1970 – Craig Counsell, American baseball player and coach 1970 – Erik Dekker, Dutch cyclist and manager 1970 – Cathy Weseluck, Canadian actress 1971 – Mamadou Diallo, Senegalese footballer 1971 – Robert Harvey, Australian footballer and coach 1971 – Liam Howlett, English keyboard player, DJ, and producer 1973 – Sergey Brin, Russian-American computer scientist and businessman, co-founded Google 1973 – Steve McKenna, Canadian ice hockey player and coach 1974 – Martin Andanar, Filipino journalist and radio host 1974 – Paul Mellor, Australian rugby league player and referee 1975 – Simon Katich, Australian cricketer and manager 1975 – Alicia Witt, American actress and musician 1976 – Alex Brooks, American ice hockey player and scout 1976 – Jeff Cunningham, Jamaican-American soccer player 1976 – Robert Miles, Australian rugby league player 1976 – Ramón Vázquez, Puerto Rican-American baseball player and coach 1978 – Peter Buxton, English rugby player and manager 1978 – Reuben Droughns, American football player and coach 1978 – Lee Gronkiewicz, American baseball player and coach 1978 – Alan Lee, Irish footballer and coach 1978 – Jason Marquis, American baseball player 1979 – Kelis, American singer-songwriter, producer, chef and author 1979 – Diego Klattenhoff, Canadian actor 1980 – Bryan Allen, Canadian ice hockey player 1980 – Burney Lamar, American race car driver 1980 – Paul Menard, American race car driver 1980 – Jasmin Wöhr, German tennis player 1981 – Jarrod Lyle, Australian golfer (d. 2018) 1981 – Cameron Winklevoss, American rower and businessman, co-founded ConnectU 1981 – Tyler Winklevoss, American rower and businessman, co-founded ConnectU 1981 – Ross Thomas, American actor 1982 – Jason Eaton, New Zealand rugby player 1982 – Omar Sachedina, Canadian television journalist, correspondent, and news anchor 1983 – Brody Jenner, American television personality and model 1983 – Scott McDonald, Australian footballer 1984 – Neil Dexter, South African cricketer 1984 – Melvin Upton, Jr., American baseball player 1985 – Nicolás Almagro, Spanish tennis player 1985 – Aleksandra Kiryashova, Russian pole vaulter 1985 – Alizée, French singer 1986 – Usain Bolt, Jamaican sprinter 1986 – Wout Brama, Dutch footballer 1986 – Koki Sakamoto, Japanese gymnast 1986 – Brooks Wheelan, American comedian and actor 1987 – DeWanna Bonner, American-Macedonian basketball player 1987 – Cody Kasch, American actor 1987 – J. D. Martinez, American baseball player 1987 – Jodie Meeks, American basketball player and coach 1988 – Robert Lewandowski, Polish footballer 1988 – Kacey Musgraves, American singer-songwriter and guitarist 1989 – Charlison Benschop, Dutch footballer 1989 – James Davey, English rugby league player 1989 – Matteo Gentili, Italian footballer 1989 – Hayden Panettiere, American actress 1989 – Aleix Vidal, Spanish footballer 1990 – Bo Burnham, American comedian, musician, actor, filmmaker and poet 1990 – Christian Vázquez, Puerto Rican baseball player 1991 – Leandro Bacuna, Dutch footballer 1992 – Brandon Drury, American baseball player 1992 – RJ Mitte, American actor 1992 – Felipe Nasr, Brazilian race car driver 1993 – Millie Bright, English footballer 1993 – Mike Evans, American football player 1995 – Dominik Kubalík, Czech ice hockey player 1996 – Karolína Muchová, Czech tennis player 1999 – Maxim Knight, American actor 2000 – Corbin Carroll, American baseball player Deaths Pre-1600 672 – Emperor Kōbun of Japan (b. 648) 784 – Alberic, archbishop of Utrecht 913 – Tang Daoxi, Chinese general 1131 – King Baldwin II of Jerusalem 1148 – William II, Count of Nevers (b. c. 1089) 1157 – Alfonso VII of León and Castile (b. 1105) 1245 – Alexander of Hales, English theologian 1271 – Alphonse, Count of Poitiers (b. 1220) 1534 – Philippe Villiers de L'Isle-Adam, 44th Grandmaster of the Knights Hospitaller (b. 1464) 1568 – Jean Parisot de Valette, 49th Grandmaster of the Knights Hospitaller (b. 1495) 1601–1900 1614 – Elizabeth Báthory, Hungarian countess and purported serial killer (b. 1560) 1622 – Juan de Tassis, 2nd Count of Villamediana, Spanish poet and politician (b. 1582) 1627 – Jacques Mauduit, French composer and academic (b. 1557) 1673 – Henry Grey, 1st Earl of Stamford, English soldier (b. 1599) 1689 – William Cleland, Scottish poet and soldier (b. 1661) 1762 – Lady Mary Wortley Montagu, English author, poet, and playwright (b. 1689) 1763 – Charles Wyndham, 2nd Earl of Egremont, English politician, Secretary of State for the Southern Department (b. 1710) 1775 – Zahir al-Umar, Arabian ruler (b. 1690) 1796 – John McKinly, American physician and politician, first Governor of Delaware (b. 1721) 1814 – Benjamin Thompson, American-English physicist and colonel (b. 1753) 1835 – John MacCulloch, Scottish geologist and academic (b. 1773) 1836 – Claude-Louis Navier, French physicist and engineer (b. 1785) 1838 – Adelbert von Chamisso, German botanist and poet (b. 1781) 1853 – Charles Tristan, marquis de Montholon, French general (b. 1783) 1854 – Thomas Clayton, American lawyer and politician (b. 1777) 1867 – Juan Álvarez, Mexican general and president (1855) (b. 1790) 1870 – Ma Xinyi, Chinese general and politician, Viceroy of Liangjiang (b. 1821) 1888 – James Farnell, Australian politician, eighth Premier of New South Wales (b. 1825) 1901–present 1905 – Alexander von Oettingen, Estonian theologian and statistician (b. 1827) 1910 – Bertalan Székely, Hungarian painter and academic (b. 1835) 1911 – Mahboob Ali Khan, sixth Nizam of Hyderabad State (b. 1866) 1919 – Laurence Doherty, English tennis player (b. 1875) 1935 – John Hartley, English tennis player (b. 1849) 1940 – Hermann Obrecht, Swiss lawyer and politician (b. 1882) 1940 – Ernest Thayer, American poet and author (b. 1863) 1940 – Leon Trotsky, Russian theorist and politician, founded the Red Army (b. 1879) 1943 – Henrik Pontoppidan, Danish journalist and author, Nobel Prize laureate (b. 1857) 1947 – Ettore Bugatti, Italian-French engineer and businessman, founded Bugatti (b. 1881) 1951 – Constant Lambert, English composer and conductor (b. 1905) 1957 – Mait Metsanurk, Estonian author and playwright (b. 1879) 1957 – Nels Stewart, Canadian ice hockey player (b. 1902) 1957 – Harald Sverdrup, Norwegian meteorologist and oceanographer (b. 1888) 1960 – David B. Steinman, American engineer, designed the Mackinac Bridge (b. 1886) 1964 – Palmiro Togliatti, Italian journalist and politician, Italian Minister of Justice (b. 1893) 1968 – Germaine Guèvremont, Canadian journalist and author (b. 1893) 1971 – George Jackson, American activist and author, co-founded the Black Guerrilla Family (b. 1941) 1974 – Buford Pusser, American police officer (b. 1937) 1974 – Kirpal Singh, Indian spiritual master (b. 1894) 1978 – Charles Eames, American architect, co-designed the Eames House (b. 1907) 1979 – Giuseppe Meazza, Italian footballer and manager (b. 1910) 1981 – Kaka Kalelkar, Indian Hindi Writer(b. 1885) 1983 – Benigno Aquino Jr., Filipino journalist and politician (b. 1932) 1988 – Teodoro de Villa Diaz, Filipino guitarist and songwriter (b. 1963) 1988 – Ray Eames, American architect, co-designed the Eames House (b. 1912) 1989 – Raul Seixas, Brazilian singer-songwriter and producer (b. 1945) 1993 – Tatiana Troyanos, American soprano and actress (b. 1938) 1995 – Subrahmanyan Chandrasekhar, Indian-American astrophysicist and mathematician, Nobel Prize laureate (b. 1910) 1995 – Chuck Stevenson, American race car driver (b. 1919) 1996 – Mary Two-Axe Earley, Canadian indigenous women's rights activist (b. 1911) 2000 – Tomata du Plenty, American singer-songwriter and playwright (b. 1948) 2000 – Daniel Lisulo, Zambian politician, third Prime Minister of Zambia (b. 1930) 2000 – Andrzej Zawada, Polish mountaineer and author (b. 1928) 2001 – Calum MacKay, Canadian ice hockey player (b. 1927) 2003 – John Coplans, British artist (b. 1920) 2003 – Kathy Wilkes, English philosopher and academic (b. 1946) 2004 – Sachidananda Routray, Indian Oriya-language poet (b. 1916) 2005 – Martin Dillon, American tenor and educator (b. 1957) 2005 – Robert Moog, American businessman, founded Moog Music (b. 1934) 2005 – Dahlia Ravikovitch, Israeli poet and translator (b. 1936) 2005 – Marcus Schmuck, Austrian mountaineer (b. 1925) 2006 – Bismillah Khan, Indian musician, Bharat Ratna recipient (b. 1916) 2006 – Paul Fentener van Vlissingen, Dutch businessman and philanthropist (b. 1941) 2007 – Frank Bowe, American academic (b. 1947) 2007 – Siobhan Dowd, British author (b. 1960) 2007 – Elizabeth P. Hoisington, American general (b. 1918) 2008 – Jerry Finn, American engineer and producer (b. 1969) 2009 – Rex Shelley, Singaporean engineer and author (b. 1930) 2010 – Rodolfo Enrique Fogwill, Argentinean sociologist and author (b. 1941) 2012 – Georg Leber, German soldier and politician, Federal Minister of Defence for Germany (b. 1920) 2012 – J. Frank Raley Jr., American soldier and politician (b. 1926) 2012 – Don Raleigh, Canadian ice hockey player and coach (b. 1926) 2012 – Guy Spitaels, Belgian academic and politician, seventh Minister-President of Wallonia (b. 1931) 2012 – William Thurston, American mathematician and academic (b. 1946) 2013 – Jean Berkey, American lawyer and politician (b. 1938) 2013 – Sid Bernstein, American record producer (b. 1918) 2013 – C. Gordon Fullerton, American colonel, engineer, and astronaut (b. 1936) 2013 – Fred Martin, Scottish footballer (b. 1929) 2013 – Enos Nkala, Zimbabwean politician, Zimbabwean Minister of Defence (b. 1932) 2014 – Gerry Anderson, Irish radio and television host (b. 1944) 2014 – Helen Bamber, English psychotherapist and academic (b. 1925) 2014 – Steven R. Nagel, American colonel, engineer, and astronaut (b. 1946) 2014 – Jean Redpath, Scottish singer-songwriter (b. 1937) 2014 – Albert Reynolds, Irish businessman and politician, ninth Taoiseach of Ireland (b. 1932) 2015 – Colin Beyer, New Zealand lawyer and businessman (b. 1938) 2015 – Wang Dongxing, Chinese commander and politician (b. 1916) 2015 – Jimmy Evert, American tennis player and coach (b. 1924) 2017 – Bajram Rexhepi, First Kosovan Prime Ministers of UN mission administration in Kosovo (b. 1954) 2018 – Stefán Karl Stefánsson, Icelandic actor and singer (b. 1975) 2019 – Celso Piña, Mexican singer, composer, arranger, and accordionist (b. 1953) Holidays and observances Christian Feast Day: Abraham of Smolensk (Eastern Orthodox Church) Euprepius of Verona Maximilian of Antioch Our Lady of Knock Pope Pius X Sidonius Apollinaris August 21 (Eastern Orthodox liturgics) Ninoy Aquino Day (Philippines) Youth Day (Morocco) World Senior Citizen's Day References External links Days of the year August
1519
https://en.wikipedia.org/wiki/August%2025
August 25
Events Pre-1600 19 – The Roman general Germanicus dies near Antioch. He was convinced that the mysterious illness that ended in his death was a result of poisoning by the Syrian governor Gnaeus Calpurnius Piso, whom he had ordered to leave the province. 766 – Emperor Constantine V humiliates nineteen high-ranking officials, after discovering a plot against him. He executes the leaders, Constantine Podopagouros and his brother Strategios. 1248 – The Dutch city of Ommen receives city rights and fortification rights from Otto III, the Archbishop of Utrecht. 1258 – Regent George Mouzalon and his brothers are killed during a coup headed by the aristocratic faction under Michael VIII Palaiologos, paving the way for its leader to ultimately usurp the throne of the Empire of Nicaea. 1270 – Philip III, although suffering from dysentery, becomes King of France following the death of his father Louis IX, during the Eighth Crusade. His uncle, Charles I of Naples, is forced to begin peace negotiations with Muhammad I al-Mustansir, Hafsid Sultan of Tunis. 1537 – The Honourable Artillery Company, the oldest surviving regiment in the British Army, and the second most senior, is formed. 1543 – António Mota and a few companions become the first Europeans to visit Japan. 1580 – War of the Portuguese Succession: Spanish victory at the Battle of Alcântara brings about the Iberian Union. 1601–1900 1609 – Galileo Galilei demonstrates his first telescope to Venetian lawmakers. 1630 – Portuguese forces are defeated by the Kingdom of Kandy at the Battle of Randeniwela in Sri Lanka. 1758 – Seven Years' War: Frederick II of Prussia defeats the Russian army at the Battle of Zorndorf. 1814 – War of 1812: On the second day of the Burning of Washington, British troops torch the Library of Congress, United States Treasury, Department of War, and other public buildings. 1823 – American fur trapper Hugh Glass is mauled by a grizzly bear while on an expedition in South Dakota. 1825 – The Thirty-Three Orientals declare the independence of Uruguay from Brazil. 1830 – The Belgian Revolution begins. 1835 – The first Great Moon Hoax article is published in The New York Sun, announcing the discovery of life and civilization on the Moon. 1875 – Captain Matthew Webb becomes the first person to swim across the English Channel, traveling from Dover, England, to Calais, France, in 21 hours and 45 minutes. 1883 – France and Viet Nam sign the Treaty of Huế, recognizing a French protectorate over Annam and Tonkin. 1894 – Kitasato Shibasaburō discovers the infectious agent of the bubonic plague and publishes his findings in The Lancet. 1901–present 1904 – Russo-Japanese War: The Battle of Liaoyang begins. 1912 – The Kuomintang is founded for the first time in Peking. 1914 – World War I: Japan declares war on Austria-Hungary. 1914 – World War I: The library of the Catholic University of Leuven is deliberately destroyed by the German Army. Hundreds of thousands of irreplaceable volumes and Gothic and Renaissance manuscripts are lost. 1916 – The United States National Park Service is created. 1920 – Polish–Soviet War: Battle of Warsaw, which began on August 13, ends with the Red Army's defeat. 1933 – The Diexi earthquake strikes Mao County, Sichuan, China and kills 9,000 people. 1939 – The Irish Republican Army carries out the 1939 Coventry bombing in which five civilians were killed. 1939 – The United Kingdom and Poland form a military alliance in which the UK promises to defend Poland in case of invasion by a foreign power. 1940 – World War II: The first Bombing of Berlin by the British Royal Air Force. 1941 – World War II: Anglo-Soviet invasion of Iran: The United Kingdom and the Soviet Union jointly stage an invasion of the Imperial State of Iran. 1942 – World War II: Second day of the Battle of the Eastern Solomons; a Japanese naval transport convoy headed towards Guadalcanal is turned back by an Allied air attack. 1942 – World War II: Battle of Milne Bay: Japanese marines assault Allied airfields at Milne Bay, New Guinea, initiating the Battle of Milne Bay. 1944 – World War II: Paris is liberated by the Allies. 1945 – Ten days after World War II ends with Japan announcing its surrender, armed supporters of the Chinese Communist Party kill U.S. intelligence officer John Birch, regarded by some of the American right as the first victim of the Cold War. 1945 – The August Revolution ends as Emperor Bảo Đại abdicates, ending the Nguyễn dynasty. 1948 – The House Un-American Activities Committee holds first-ever televised congressional hearing: "Confrontation Day" between Whittaker Chambers and Alger Hiss. 1950 – To avert a threatened strike during the Korean War, President Truman orders Secretary of the Army Frank Pace to seize control of the nation's railroads. 1958 – The world’s first publicly marketed instant noodles, Chikin Ramen, are introduced by Taiwanese-Japanese businessman Momofuku Ando. 1960 – The Games of the XVII Olympiad commence in Rome, Italy. 1961 – President Jânio Quadros of Brazil resigns after just seven months in power, initiating a political crisis that culminates in a military coup in 1964. 1967 – George Lincoln Rockwell, founder of the American Nazi Party, is assassinated by a former member of his group. 1980 – Zimbabwe joins the United Nations. 1981 – Voyager 2 spacecraft makes its closest approach to Saturn. 1985 – Bar Harbor Airlines Flight 1808 crashes near Auburn, Maine, killing all eight people on board including peace activist and child actress Samantha Smith. 1989 – Voyager 2 spacecraft makes its closest approach to Neptune, the last planet in the Solar System at the time, due to Pluto being within Neptune's orbit from 1979 to 1999. 1989 – Pakistan International Airlines Flight 404, carrying 54 people, disappears over the Himalayas after take off from Gilgit Airport in Pakistan. The aircraft was never found. 1991 – Belarus gains its independence from the Soviet Union. 1991 – The Battle of Vukovar begins. An 87-day siege of Vukovar by the Yugoslav People's Army (JNA), supported by various Serb paramilitary forces, between August and November 1991 (during the Croatian War of Independence). 1991 – Linus Torvalds announces the first version of what will become Linux. 1997 – Egon Krenz, the former East German leader, is convicted of a shoot-to-kill policy at the Berlin Wall. 2001 – American singer Aaliyah and several members of her record company are killed as their overloaded aircraft crashes shortly after takeoff from Marsh Harbour Airport, Bahamas. 2003 – NASA successfully launches the Spitzer Space Telescope into space. 2005 – Hurricane Katrina makes landfall in Florida. 2006 – Former Prime Minister of Ukraine Pavlo Lazarenko is sentenced to nine years imprisonment for money laundering, wire fraud, and extortion. 2011 – Fifty-two people are killed during an arson attack caused by members of the drug cartel Los Zetas. 2012 – Voyager 1 spacecraft enters interstellar space becoming the first man-made object to do so. 2017 – Hurricane Harvey makes landfall in Texas as a powerful Category 4 hurricane, the strongest hurricane to make landfall in the United States since 2004. 2017 – Conflict in Rakhine State (2016–present): One hundred seventy people are killed in at least 26 separate attacks carried out by the Arakan Rohingya Salvation Army, leading to the governments of Myanmar and Malaysia designating the group as a terrorist organisation. Births Pre-1600 1467 – Francisco Fernández de la Cueva, 2nd Duke of Alburquerque, Spanish duke (d. 1526) 1491 – Innocenzo Cybo, Italian cardinal (d. 1550) 1509 – Ippolito II d'Este, Italian cardinal and statesman (d. 1572) 1530 – Ivan the Terrible, Russian ruler (d. 1584) 1540 – Lady Catherine Grey, English noblewoman (d. 1568) 1561 – Philippe van Lansberge, Dutch astronomer and mathematician (d. 1632) 1601–1900 1605 – Philipp Moritz, Count of Hanau-Münzenberg, German noble (d. 1638) 1624 – François de la Chaise, French priest (d. 1709) 1662 – John Leverett the Younger, American lawyer, academic, and politician (d. 1724) 1707 – Louis I of Spain (d. 1724) 1724 – George Stubbs, English painter and academic (d. 1806) 1741 – Karl Friedrich Bahrdt, German theologian and author (d. 1792) 1744 – Johann Gottfried Herder, German poet, philosopher, and critic (d. 1803) 1758 – Franz Teyber, Austrian organist and composer (d. 1810) 1767 – Louis Antoine de Saint-Just, French soldier and politician (d. 1794) 1776 – Thomas Bladen Capel, English admiral (d. 1853) 1786 – Ludwig I of Bavaria, King of Bavaria (d. 1868) 1793 – John Neal, American writer, critic, editor, lecturer, and activist (d. 1876) 1796 – James Lick, American carpenter and piano builder (d. 1876) 1802 – Nikolaus Lenau, Romanian-Austrian poet and author (d. 1850) 1803 – Luís Alves de Lima e Silva, Duke of Caxias (d. 1880) 1812 – Nikolay Zinin, Russian organic chemist (d. 1880) 1817 – Marie-Eugénie de Jésus, French nun and saint, founded the Religious of the Assumption (d. 1898) 1819 – Allan Pinkerton, Scottish-American detective and spy (d. 1884) 1829 – Carlo Acton, Italian pianist and composer (d. 1909) 1836 – Bret Harte, American short story writer and poet (d. 1902) 1840 – George C. Magoun, American businessman (d. 1893) 1841 – Emil Theodor Kocher, Swiss physician and academic, Nobel Prize laureate (d. 1917) 1845 – Ludwig II of Bavaria, King of Bavaria (d. 1886) 1850 – Charles Richet, French physiologist and occultist, Nobel Prize laureate (d. 1935) 1867 – James W. Gerard, American lawyer and diplomat, United States Ambassador to Germany (d. 1951) 1869 – Tom Kiely, British-Irish decathlete (d. 1951) 1877 – Joshua Lionel Cowen, American businessman, co-founded the Lionel Corporation (d. 1965) 1878 – Ted Birnie, English footballer and manager (d. 1935) 1882 – Seán T. O'Kelly, Irish journalist and politician, 2nd President of Ireland (d. 1966) 1889 – Alexander Mair, Australian politician, 26th Premier of New South Wales (d. 1969) 1891 – David Shimoni, Belarusian-Israeli poet and translator (d. 1956) 1893 – Henry Trendley Dean, American dentist (d. 1962) 1898 – Helmut Hasse, German mathematician and academic (d. 1975) 1898 – Arthur Wood, English cricketer (d. 1973) 1899 – Paul Herman Buck, American historian and author (d. 1978) 1900 – Isobel Hogg Kerr Beattie, Scottish architect (d. 1970) 1900 – Hans Adolf Krebs, German physician and biochemist, Nobel Prize laureate (d. 1981) 1901–present 1902 – Stefan Wolpe, German-American composer and educator (d. 1972) 1903 – Arpad Elo, Hungarian-American chess player, created the Elo rating system (d. 1992) 1905 – Faustina Kowalska, Polish nun and saint (d. 1938) 1906 – Jim Smith, English cricketer (d. 1979) 1909 – Ruby Keeler, Canadian-American actress, singer, and dancer (d. 1993) 1909 – Michael Rennie, English actor and producer (d. 1971) 1910 – George Cisar, American baseball player (d. 2010) 1910 – Dorothea Tanning, American painter, sculptor, and poet (d. 2012) 1911 – Võ Nguyên Giáp, Vietnamese general and politician, 3rd Minister of Defence for Vietnam (d. 2013) 1912 – Erich Honecker, German politician (d. 1994) 1913 – Don DeFore, American actor (d. 1993) 1913 – Walt Kelly, American illustrator and animator (d. 1973) 1916 – Van Johnson, American actor (d. 2008) 1916 – Frederick Chapman Robbins, American pediatrician and virologist, Nobel Prize laureate (d. 2003) 1916 – Saburō Sakai, Japanese lieutenant and pilot (d. 2000) 1917 – Mel Ferrer, American actor, director, and producer (d. 2008) 1918 – Leonard Bernstein, American pianist, composer, and conductor (d. 1990) 1918 – Richard Greene, English actor (d. 1985) 1919 – William P. Foster, American bandleader and educator (d. 2010) 1919 – George Wallace, American lawyer, and politician, 45th Governor of Alabama (d. 1998) 1919 – Jaap Rijks, Dutch Olympic medalist (d. 2017) 1921 – Monty Hall, Canadian television personality and game show host (d. 2017) 1921 – Bryce Mackasey, Canadian businessman and politician, 20th Canadian Minister of Labour (d. 1999) 1921 – Brian Moore, Northern Irish-Canadian author and screenwriter (d. 1999) 1923 – Álvaro Mutis, Colombian-Mexican author and poet (d. 2013) 1923 – Allyre Sirois, Canadian lawyer and judge (d. 2012) 1924 – Zsuzsa Körmöczy, Hungarian tennis player and coach (d. 2006) 1925 – Thea Astley, Australian journalist and author (d. 2004) 1925 – Hilmar Hoffmann, German film and culture academic (d. 2018) 1925 – Stepas Butautas, Lithuanian basketball player and coach (d. 2001) 1927 – Althea Gibson, American tennis player and golfer (d. 2003) 1927 – Des Renford, Australian swimmer (d. 1999) 1928 – John "Kayo" Dottley, American football player (d. 2018) 1928 – Darrell Johnson, American baseball player, coach, and manager (d. 2004) 1928 – Karl Korte, American composer and academic (d. 2022) 1928 – Herbert Kroemer, German-American physicist, engineer, and academic, Nobel Prize laureate 1930 – Sean Connery, Scottish actor and producer (d. 2020) 1930 – György Enyedi, Hungarian economist and geographer (d. 2012) 1930 – Graham Jarvis, Canadian actor (d. 2003) 1930 – Crispin Tickell, English academic and diplomat, British Permanent Representative to the United Nations (d. 2022) 1931 – Regis Philbin, American actor and television host (d. 2020) 1932 – Anatoly Kartashov, Soviet aviator and cosmonaut (d. 2005) 1933 – Patrick F. McManus, American journalist and author (d. 2018) 1933 – Wayne Shorter, American saxophonist and composer (d. 2023) 1933 – Tom Skerritt, American actor 1934 – Lise Bacon, Canadian judge and politician, Deputy Premier of Quebec 1934 – Eddie Ilarde, Filipino journalist and politician (d. 2020) 1935 – Charles Wright, American poet 1936 – Giridharilal Kedia, Indian businessman, founded the Image Institute of Technology & Management (d. 2009) 1937 – Jimmy Hannan, Australian television host and singer (d. 2019) 1937 – Virginia Euwer Wolff, American author 1938 – David Canary, American actor (d. 2015) 1938 – Frederick Forsyth, English journalist and author 1939 – John Badham, English-American actor, director, and producer 1940 – Wilhelm von Homburg, German boxer and actor (d. 2004) 1941 – Marshall Brickman, Brazilian-American director, producer, and screenwriter 1941 – Mario Corso, Italian footballer and coach (d. 2020) 1941 – Ludwig Müller, German footballer (d. 2021) 1942 – Nathan Deal, American lawyer, and politician, 82nd Governor of Georgia 1942 – Ivan Koloff, Canadian wrestler (d. 2017) 1944 – Conrad Black, Canadian historian and author 1944 – Jacques Demers, Canadian ice hockey player, coach, and politician 1944 – Anthony Heald, American actor 1944 – Andrew Longmore, British lawyer and judge 1945 – Daniel Hulet, Belgian cartoonist (d. 2011) 1945 – Hannah Louise Shearer, American screenwriter and producer 1946 – Rollie Fingers, American baseball player 1946 – Charles Ghigna, American poet and author 1946 – Charlie Sanders, American football player and sportscaster (d. 2015) 1947 – Michael Kaluta, American author and illustrator 1947 – Keith Tippett, British jazz pianist and composer (d. 2020) 1948 – Ledward Kaapana, American singer and guitarist 1948 – Nicholas A. Peppas, Greek chemist and biologist 1949 – Martin Amis, British novelist (d. 2023) 1949 – Rijkman Groenink, Dutch banker and academic 1949 – John Savage, American actor and producer 1949 – Gene Simmons, Israeli-American singer-songwriter, producer, and actor 1950 – Willy DeVille, American singer and songwriter (d. 2009) 1950 – Charles Fambrough, American bassist, composer, and producer (d. 2011) 1951 – Rob Halford, English heavy metal singer-songwriter 1951 – Bill Handel, Brazilian-American lawyer and radio host 1952 – Kurban Berdyev, Turkmen footballer and manager 1952 – Geoff Downes, English keyboard player, songwriter, and producer 1952 – Duleep Mendis, Sri Lankan cricketer and coach 1954 – Elvis Costello, English singer-songwriter, guitarist, and producer 1954 – Jim Wallace, Baron Wallace of Tankerness, Scottish lawyer and politician, First Minister of Scotland 1955 – John McGeoch, Scottish guitarist (d. 2004) 1955 – Gerd Müller, German businessman and politician 1956 – Matt Aitken, English songwriter and record producer 1956 – Takeshi Okada, Japanese footballer, coach, and manager 1956 – Henri Toivonen, Finnish race car driver (d. 1986) 1957 – Sikander Bakht, Pakistani cricketer and sportscaster 1957 – Simon McBurney, English actor and director 1957 – Frank Serratore, American ice hockey player and coach 1958 – Tim Burton, American director, producer, and screenwriter 1958 – Christian LeBlanc, American actor 1959 – Ian Falconer, American author and illustrator 1959 – Steve Levy, American lawyer and politician 1959 – Bernardo Rezende, Brazilian volleyball coach and player 1959 – Lane Smith, American author and illustrator 1959 – Ruth Ann Swenson, American soprano and actress 1960 – Ashley Crow, American actress 1960 – Georg Zellhofer, Austrian footballer and manager 1961 – Billy Ray Cyrus, American singer-songwriter, guitarist, and actor 1961 – Dave Tippett, Canadian ice hockey player and coach 1961 – Ally Walker, American actress 1961 – Joanne Whalley, English actress 1962 – Taslima Nasrin, Bangladeshi author 1962 – Theresa Andrews, American competition swimmer and Olympic champion 1962 – Vivian Campbell, Northern Irish rock guitarist and songwriter 1962 – Michael Zorc, German footballer 1963 – Miro Cerar, Slovenian lawyer and politician, 8th Prime Minister of Slovenia 1963 – Shock G, American rapper and producer (d. 2021) 1963 – Tiina Intelmann, Estonian lawyer and diplomat 1964 – Azmin Ali, Malaysian mathematician and politician 1964 – Maxim Kontsevich, Russian-American mathematician and academic 1964 – Blair Underwood, American actor 1965 – Cornelius Bennett, American football player 1965 – Tim Cain, American video game designer 1965 – Sanjeev Sharma, Indian cricketer and coach 1965 – Mia Zapata, American singer (d. 1993) 1966 – Albert Belle, American baseball player 1966 – Robert Maschio, American actor 1966 – Derek Sherinian, American keyboard player, songwriter, and producer 1966 – Terminator X, American hip-hop DJ 1967 – Tom Hollander, English actor 1967 – Jeff Tweedy, American singer-songwriter, musician, and producer 1968 – David Alan Basche, American actor 1968 – Yuri Mitsui, Japanese actress, model, and race car driver 1968 – Stuart Murdoch, Scottish singer-songwriter 1968 – Spider One, American singer-songwriter and producer 1968 – Rachael Ray, American chef, author, and television host 1968 – Takeshi Ueda, Japanese singer-songwriter and bass player 1969 – Olga Konkova, Norwegian-Russian pianist and composer 1969 – Cameron Mathison, Canadian actor and television personality 1969 – Catriona Matthew, Scottish golfer 1969 – Vivek Razdan, Indian cricketer, coach, and sportscaster 1970 – Doug Glanville, American baseball player and sportscaster 1970 – Debbie Graham, American tennis player 1970 – Robert Horry, American basketball player and sportscaster 1970 – Adrian Lam, Papua New Guinean-Australian rugby league player and coach 1970 – Jo Dee Messina, American singer-songwriter 1970 – Claudia Schiffer, German model and fashion designer 1971 – Jason Death, Australian rugby league player 1971 – Nathan Page, Australian actor 1972 – Marvin Harrison, American football player 1973 – Fatih Akın, German director, producer, and screenwriter 1974 – Eric Millegan, American actor 1974 – Pablo Ozuna, Dominican baseball player 1975 – Brad Drew, Australian rugby league player 1975 – Petria Thomas, Australian swimmer and coach 1976 – Damon Jones, American basketball player and coach 1976 – Javed Qadeer, Pakistani cricketer and coach 1976 – Alexander Skarsgård, Swedish actor 1977 – Masumi Asano, Japanese voice actress and producer 1977 – Andy McDonald, Canadian ice hockey player 1977 – Jonathan Togo, American actor 1978 – Kel Mitchell, American actor, producer, and screenwriter 1978 – Robert Mohr, German rugby player 1979 – Marlon Harewood, English footballer 1979 – Philipp Mißfelder, German historian and politician (d. 2015) 1979 – Deanna Nolan, American basketball player 1981 – Rachel Bilson, American actress 1981 – Jan-Berrie Burger, Namibian cricketer 1981 – Camille Pin, French tennis player 1982 – Jung Jung-suk, South Korean footballer (d. 2011) 1982 – Nick Schultz, Canadian ice hockey player 1983 – James Rossiter, English race car driver 1984 – Florian Mohr, German footballer 1984 – Anya Monzikova, Russian-American model and actress 1986 – Rodney Ferguson, American footballer 1987 – Stacey Farber, Canadian actress 1987 – Velimir Jovanović, Serbian footballer 1987 – Blake Lively, American model and actress 1987 – Amy Macdonald, Scottish singer-songwriter and guitarist 1987 – Justin Upton, American baseball player 1987 – Adam Warren, American baseball player 1987 – James Wesolowski, Australian footballer 1988 – Angela Park, Brazilian-American golfer 1988 – Giga Chikadze, Georgian mixed martial artist and kickboxer 1989 – Hiram Mier, Mexican footballer 1990 – Max Muncy, American baseball player 1992 – Miyabi Natsuyaki, Japanese singer and actress 1992 – Ricardo Rodriguez, Swiss footballer 1994 – Edmunds Augstkalns, Latvian ice hockey player 1994 – Caris LeVert, American basketball player 1998 – China Anne McClain, American actress and singer 2003 – Rebeka Jančová, Slovak alpine ski racer Deaths Pre-1600 AD 79 – Pliny the Elder, Roman commander and philosopher (b. 23) 274 – Yang Yan, Jin Dynasty empress (b. 238) 306 – Saint Maginus, Christian hermit and martyr from Tarragona 383 – Gratian, Roman emperor (b. 359) 471 – Gennadius I, patriarch of Constantinople 766 – Constantine Podopagouros, Byzantine official 766 – Strategios Podopagouros, Byzantine general 985 – Dietrich of Haldensleben, German margrave 1091 – Sisnando Davides, military leader 1192 – Hugh III, Duke of Burgundy (b. 1142) 1258 – George Mouzalon, regent of the Empire of Nicaea 1270 – Louis IX of France (b. 1214) 1270 – Alphonso of Brienne (b. c. 1225) 1271 – Joan, Countess of Toulouse (b. 1220) 1282 – Thomas de Cantilupe, English bishop and saint (b. 1218) 1322 – Beatrice of Silesia, queen consort of Germany (b. c. 1292) 1327 – Demasq Kaja, Chobanid 1330 – Sir James Douglas, Scottish guerrilla leader (b. 1286) 1339 – Henry de Cobham, 1st Baron Cobham (b. 1260) 1368 – Andrea Orcagna, Italian painter, sculptor, and architect 1482 – Margaret of Anjou (b. 1429) 1485 – William Catesby, supporter of Richard III (b. 1450) 1554 – Thomas Howard, 3rd Duke of Norfolk, English soldier and politician, Lord High Treasurer (b. 1473) 1592 – William IV, Landgrave of Hesse-Kassel (b. 1532) 1601–1900 1603 – Ahmad al-Mansur, Sultan of the Saadi dynasty (b. 1549) 1631 – Nicholas Hyde, Lord Chief Justice of England (b.c. 1572) 1632 – Thomas Dekker, English author and playwright (b. 1572) 1688 – Henry Morgan, Welsh admiral and politician, Lieutenant Governor of Jamaica (b. 1635) 1699 – Christian V of Denmark (b. 1646) 1711 – Edward Villiers, 1st Earl of Jersey, English politician, Secretary of State for the Southern Department (b. 1656) 1742 – Carlos Seixas, Portuguese organist and composer (b. 1704) 1774 – Niccolò Jommelli, Italian composer and educator (b. 1714) 1776 – David Hume, Scottish economist, historian, and philosopher (b. 1711) 1794 – Florimond Claude, Comte de Mercy-Argenteau, Belgian-Austrian diplomat (b. 1727) 1797 – Thomas Chittenden, Governor of the Vermont Republic (later 1st Governor of the State of Vermont) (b. 1730) 1819 – James Watt, Scottish engineer and instrument maker (b. 1736) 1822 – William Herschel, German-English astronomer and composer (b. 1738) 1867 – Michael Faraday, English physicist and chemist (b. 1791) 1882 – Friedrich Reinhold Kreutzwald, Estonian physician and author (b. 1803) 1886 – Zinovios Valvis, Greek lawyer and politician, 35th Prime Minister of Greece (b. 1791) 1892 – William Champ, English-Australian politician, 1st Premier of Tasmania (b. 1808) 1900 – Friedrich Nietzsche, German philologist, philosopher, and critic (b. 1844) 1901–present 1904 – Henri Fantin-Latour, French painter and lithographer (b. 1836) 1908 – Henri Becquerel, French physicist and chemist, Nobel Prize laureate (b. 1852) 1916 – Mary Tappan Wright, American novelist and short story writer (b. 1851) 1921 – Nikolay Gumilyov, Russian poet and critic (b. 1886) 1924 – Mariano Álvarez, Filipino general and politician (b. 1818) 1924 – Velma Caldwell Melville, American editor, and writer of prose and poetry (b. 1858) 1925 – Franz Conrad von Hötzendorf, Austrian field marshal (b. 1852) 1930 – Frankie Campbell, American boxer (b. 1904) 1931 – Dorothea Fairbridge, South African author and co-founder of Guild of Loyal Women (b. 1862) 1936 – Juliette Adam, French author (b. 1836) 1938 – Aleksandr Kuprin, Russian pilot, explorer, and author (b. 1870) 1939 – Babe Siebert, Canadian ice hockey player and coach (b. 1904) 1940 – Prince Jean, Duke of Guise (b. 1874) 1942 – Prince George, Duke of Kent (b. 1902) 1945 – John Birch, American soldier and missionary (b. 1918) 1956 – Alfred Kinsey, American biologist and academic (b. 1894) 1965 – Moonlight Graham, American baseball player and physician (b. 1879) 1966 – Lao She, Chinese novelist and dramatist (b. 1899) 1967 – Stanley Bruce, Australian lawyer and politician, 8th Prime Minister of Australia (b. 1883) 1967 – Oscar Cabalén, Argentine race car driver (b. 1928) 1967 – Paul Muni, Ukrainian-born American actor (b. 1895) 1967 – George Lincoln Rockwell, American commander, politician, and activist, founded the American Nazi Party (b. 1918) 1968 – Stan McCabe, Australian cricketer and coach (b. 1910) 1969 – Robert Cosgrove, Australian politician, 30th Premier of Tasmania (b. 1884) 1970 – Tachū Naitō, Japanese architect and engineer, designed the Tokyo Tower (b. 1886) 1971 – Ted Lewis, American singer and clarinet player (b. 1890) 1973 – Dezső Pattantyús-Ábrahám, Hungarian lawyer and politician, Prime Minister of Hungary (b. 1875) 1976 – Eyvind Johnson, Swedish novelist and short story writer, Nobel Prize laureate (b. 1900) 1977 – Károly Kós, Hungarian architect, ethnologist, and politician (b. 1883) 1979 – Stan Kenton, American pianist, composer, and bandleader (b. 1911) 1980 – Gower Champion, American dancer and choreographer (b. 1919) 1981 – Nassos Kedrakas, Greek actor and cinematographer (b. 1915) 1982 – Anna German, Polish singer (b. 1936) 1984 – Truman Capote, American novelist, playwright, and screenwriter (b. 1924) 1984 – Viktor Chukarin, Ukrainian gymnast and coach (b. 1921) 1984 – Waite Hoyt, American baseball player and sportscaster (b. 1899) 1988 – Art Rooney, American businessman, founded the Pittsburgh Steelers (b. 1901) 1990 – Morley Callaghan, Canadian author and playwright (b. 1903) 1995 – Doug Stegmeyer, American bass player and producer (b. 1951) 1998 – Lewis F. Powell, Jr., American lawyer and Supreme Court justice (b. 1907) 1999 – Rob Fisher, English keyboard player and songwriter (b. 1956) 2000 – Carl Barks, American author and illustrator (b. 1901) 2000 – Frederick C. Bock, American soldier and pilot (b. 1918) 2000 – Jack Nitzsche, American pianist, composer, and producer (b. 1937) 2000 – Allen Woody, American bass player and songwriter (b. 1955) 2001 – Aaliyah, American singer and actress (b. 1979) 2001 – Carl Brewer, Canadian ice hockey player (b. 1938) 2001 – Üzeyir Garih, Turkish engineer and businessman, co-founded Alarko Holding (b. 1929) 2001 – Ken Tyrrell, English race car driver and businessman, founded Tyrrell Racing (b. 1924) 2002 – Dorothy Hewett, Australian author and poet (b. 1923) 2003 – Tom Feelings, American author and illustrator (b. 1933) 2005 – Peter Glotz, Czech-German academic and politician (b. 1939) 2006 – Noor Hassanali, Trinidadian-Tobagonian lawyer and politician, 2nd President of Trinidad and Tobago (b. 1918) 2007 – Benjamin Aaron, American lawyer and scholar (b. 1915) 2007 – Ray Jones, English footballer (b. 1988) 2008 – Ahmad Faraz, Pakistani poet (b. 1931) 2008 – Kevin Duckworth, American basketball player (b. 1964) 2009 – Ted Kennedy, American politician (b. 1932) 2009 – Mandé Sidibé, Malian economist and politician, Prime Minister of Mali (b. 1940) 2011 – Lazar Mojsov, Macedonian politician (b. 1920) 2012 – Florencio Amarilla, Paraguayan footballer, coach, and actor (b. 1935) 2012 – Neil Armstrong, American pilot, engineer, and astronaut (b. 1930) 2012 – Roberto González Barrera, Mexican banker and businessman (b. 1930) 2012 – Donald Gorrie, Scottish politician (b. 1933) 2013 – Ciril Bergles, Slovene poet and translator (b. 1934) 2013 – António Borges, Portuguese economist and banker (b. 1949) 2013 – William Froug, American screenwriter and producer (b. 1922) 2013 – Liu Fuzhi, Chinese academic and politician, 3rd Minister of Justice for China (b. 1917) 2013 – Raghunath Panigrahi, Indian singer-songwriter (b. 1932) 2013 – Gylmar dos Santos Neves, Brazilian footballer (b. 1930) 2014 – William Greaves, American director and producer (b. 1926) 2014 – Marcel Masse, Canadian educator and politician, 29th Canadian Minister of National Defence (b. 1936) 2014 – Nico M. M. Nibbering, Dutch chemist and academic (b. 1938) 2014 – Uziah Thompson, Jamaican-American drummer and producer (b. 1936) 2014 – Enrique Zileri, Peruvian journalist and publisher (b. 1931) 2015 – José María Benegas, Spanish lawyer and politician (b. 1948) 2015 – Francis Sejersted, Norwegian historian and academic (b. 1936) 2016 – Marvin Kaplan, American actor (b. 1927) 2017 – Rich Piana, American bodybuilder (b. 1971) 2018 – John McCain, American politician (b. 1936) 2019 – Ferdinand Piëch, Austrian business magnate and engineer (b. 1937) 2022 – Mable John, American blues vocalist (b. 1930) Holidays and observances Christian feast day: Æbbe of Coldingham Aredius Genesius of Arles Genesius of Rome Ginés de la Jara (or Genesius of Cartagena) Gregory of Utrecht Joseph Calasanz Louis IX of France Blessed Ludovicus Baba Blessed Ludovicus Sasada Blessed Luis Sotelo Menas of Constantinople Blessed Miguel de Carvalho Patricia of Naples Blessed Pedro Vásquez Thomas de Cantilupe (or of Hereford) August 25 (Eastern Orthodox liturgics) Day of Songun (North Korea) Independence Day, celebrates the independence of Uruguay from Brazil in 1825. Soldier's Day (Brazil) References External links Days of the year August
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https://en.wikipedia.org/wiki/Aachen
Aachen
Aachen ( , ; ; French and traditional English: Aix-la-Chapelle ) is the 13th-largest city in North Rhine-Westphalia and the 27th-largest city of Germany, with around 249,000 inhabitants. It is the westernmost city in Germany, and borders Belgium and the Netherlands to the west, the triborder area. It is located between Maastricht (NL) and Liège (BE) in the west, and Bonn and Cologne in the east. The Wurm River flows through the city, and together with Mönchengladbach, Aachen is the only larger German city in the drainage basin of the Meuse. Aachen is the seat of the City Region Aachen (). Aachen developed from a Roman settlement and (bath complex), subsequently becoming the preferred medieval Imperial residence of Emperor Charlemagne of the Frankish Empire, and, from 936 to 1531, the place where 31 Holy Roman Emperors were crowned Kings of the Germans. One of Germany's leading institutes of higher education in technology, the RWTH Aachen University (), is located in the city. Its university hospital Uniklinikum Aachen is Europe's largest single-building hospital. Aachen's industries include science, engineering and information technology. In 2009, Aachen was ranked eighth among cities in Germany for innovation. The regional dialect spoken in the city is a Central Franconian, Ripuarian variant with strong Limburgish influences from the dialects in the neighbouring Netherlands. As a Rhenish city, Aachen is one of the main centres of carnival celebrations in Germany, along with Cologne and Mainz. The culinary specialty for which the city is best known is Aachener Printen, a type of gingerbread. History Early history Flint quarries on the Lousberg, Schneeberg, and Königshügel, first used during Neolithic times (3000–2500 BC), attest to the long occupation of the site of Aachen, as do recent finds under the modern city's Elisengarten pointing to a former settlement from the same period. Bronze Age (around 1600 BC) settlement is evidenced by the remains of barrows (burial mounds) found, for example, on the Klausberg. During the Iron Age, the area was settled by Celtic peoples who were perhaps drawn by the marshy Aachen basin's hot sulphur springs where they worshipped Grannus, god of light and healing. Later, the 25-hectare Roman spa resort town of Aquae Granni was, according to legend, founded by Grenus, under Hadrian, around 124 AD. Instead, the fictitious founder refers to the Celtic god, and it seems it was the Roman 6th Legion at the start of the 1st century AD that first channelled the hot springs into a spa at Büchel, adding at the end of the same century the Münstertherme spa, two water pipelines, and a probable sanctuary dedicated to Grannus. A kind of forum, surrounded by colonnades, connected the two spa complexes. There was also an extensive residential area. The Romans built bathhouses near Burtscheid. A temple precinct called Vernenum was built near the modern Kornelimünster/Walheim. Today, remains have been found of three bathhouses, including two fountains in the Elisenbrunnen and the Burtscheid bathhouse. Roman civil administration in Aachen eventually broke down as the baths and other public buildings (along with most of the villae rusticae of the surrounding countryside) were destroyed around AD 375 at the start of the migration period. The last Roman coin finds are from the time of Emperor Gratian (AD 375–383). Rome withdrew its troops from the area, but the town remained populated. By 470, the town came to be ruled by the Ripuarian Franks and subordinated to their capital, Cologne. Etymology The name Aachen is a modern descendant, like southern German , , meaning "river" or "stream", from Old High German , meaning "water" or "stream", which directly translates (and etymologically corresponds) to Latin , referring to the springs. The location has been inhabited by humans since the Neolithic era, about 5,000 years ago, attracted to its warm mineral springs. Latin figures in Aachen's Roman name , which meant "waters of Grannus", referring to the Celtic god of healing who was worshipped at the springs. This word became in Walloon and in French, and subsequently after Charlemagne had his palatine chapel built there in the late 8th century and then made the city his empire's capital. As a spa city, Aachen has the right to name itself Bad Aachen, but chooses not to, so it remains on the top of alphabetical lists. Aachen's name in French and German evolved in parallel. The city is known by a variety of different names in other languages: Dialect Aachen is at the western end of the Benrath line that divides High German to the south from the rest of the West Germanic speech area to the north. Aachen's local dialect is called Öcher Platt and belongs to Ripuarian. Middle Ages After Roman times, Pepin the Short had a castle residence built in the town, due to the proximity of the hot springs and also for strategic reasons as it is located between the Rhineland and northern France. Einhard mentions that in 765–766 Pepin spent both Christmas and Easter at Aquis villa () ("and [he] celebrated the birth of the Lord [Christmas] in the town Aquis, and similarly Easter"), which must have been sufficiently equipped to support the royal household for several months. In the year of his coronation as king of the Franks, 768, Charlemagne came to spend Christmas at Aachen for the first time. He remained there in a mansion which he may have extended, although there is no source attesting to any significant building activity at Aachen in his time, apart from the building of the Palatine Chapel (since 1930, cathedral) and the Palace. Charlemagne spent most winters in Aachen between 792 and his death in 814. Aachen became the focus of his court and the political centre of his empire. After his death, the king was buried in the church which he had built; his original tomb has been lost, while his alleged remains are preserved in the Karlsschrein, the shrine where he was reburied after being declared a saint; his saintliness, however, was never officially acknowledged by the Roman Curia as such. In 936, Otto I was crowned king of East Francia in the collegiate church built by Charlemagne. During the reign of Otto II, the nobles revolted and the West Franks under Lothair raided Aachen in 978. Aachen was attacked again by Odo of Champagne, who attacked the imperial palace while Conrad II was absent. Odo relinquished it quickly and was killed soon afterwards. The palace and town of Aachen had fortifying walls built by order of Emperor Frederick Barbarossa between 1172 and 1176. Over the next 500 years, most kings of Germany destined to reign over the Holy Roman Empire were crowned in Aachen. The original audience hall built by Charlemagne was torn down and replaced by the current city hall in 1330. The last king to be crowned here was Ferdinand I in 1531. During the Middle Ages, Aachen remained a city of regional importance, due to its proximity to Flanders; it achieved a modest position in the trade in woollen cloths, favoured by imperial privilege. The city remained a free imperial city, subject to the emperor only, but was politically far too weak to influence the policies of any of its neighbours. The only dominion it had was over Burtscheid, a neighbouring territory ruled by a Benedictine abbess. It was forced to accept that all of its traffic must pass through the "Aachener Reich". Even in the late 18th century the Abbess of Burtscheid was prevented from building a road linking her territory to the neighbouring estates of the duke of Jülich; the city of Aachen even deployed its handful of soldiers to chase away the road-diggers. As an imperial city, Aachen held certain political privileges that allowed it to remain independent of the troubles of Europe for many years. It remained a direct vassal of the Holy Roman Empire throughout most of the Middle Ages. It was also the site of many important church councils, including the Council of 837 and the Council of 1166, a council convened by the antipope Paschal III. Manuscript production Aachen has proved an important site for the production of historical manuscripts. Under Charlemagne's purview, both the Ada Gospels and the Coronation Gospels may have been produced in Aachen. In addition, quantities of the other texts in the court library were also produced locally. During the reign of Louis the Pious (814–840), substantial quantities of ancient texts were produced at Aachen, including legal manuscripts such as the leges scriptorium group, patristic texts including the five manuscripts of the Bamberg Pliny Group. Finally, under Lothair I (840–855), texts of outstanding quality were still being produced. This however marked the end of the period of manuscript production at Aachen. 16th–18th centuries In 1598, following the invasion of Spanish troops from the Netherlands, Rudolf deposed all Protestant office holders in Aachen and even went as far as expelling them from the city. From the early 16th century, Aachen started to lose its power and influence. First the coronations of emperors were moved from Aachen to Frankfurt. This was followed by the religious wars and the great fire of 1656. After the destruction of most of the city in 1656, the rebuilding was mostly in the Baroque style. The decline of Aachen culminated in 1794, when the French, led by General Charles Dumouriez, occupied Aachen. In 1542, the Dutch humanist and physician Francis Fabricius published his study of the health benefits of the hot springs in Aachen. By the middle of the 17th century, the city had developed a considerable reputation as a spa, although this was in part because Aachen was then – and remained well into the 19th century – a place of high-level prostitution. Traces of this hidden agenda of the city's history are found in the 18th-century guidebooks to Aachen as well as to the other spas. The main indication for visiting patients, ironically, was syphilis; only by the end of the 19th century had rheumatism become the most important object of cures at Aachen and Burtscheid. Aachen was chosen as the site of several important congresses and peace treaties: the first congress of Aachen (often referred to as the Congress of Aix-la-Chapelle in English) on 2 May 1668, leading to the First Treaty of Aachen in the same year which ended the War of Devolution. The second congress ended with the second treaty in 1748, ending the War of the Austrian Succession. In 1789, there was a constitutional crisis in the Aachen government, and in 1794 Aachen lost its status as a free imperial city. 19th century On 9 February 1801, the Peace of Lunéville removed the ownership of Aachen and the entire "left bank" of the Rhine from Germany (the Holy Roman Empire) and granted it to France. In 1815, control of the town was passed to the Kingdom of Prussia through an agreement reached by the Congress of Vienna. The third congress took place in 1818, to decide the fate of occupied Napoleonic France. By the middle of the 19th century, industrialisation had swept away most of the city's medieval rules of production and commerce, although the entirely corrupt remains of the city's medieval constitution were kept in place (compare the famous remarks of Georg Forster in his Ansichten vom Niederrhein) until 1801, when Aachen became the "chef-lieu du département de la Roer" in Napoleon's First French Empire. In 1815, after the Napoleonic Wars, the Kingdom of Prussia took over within the new German Confederation. The city was one of its most socially and politically backward centres until the end of the 19th century. Administered within the Rhine Province, by 1880 the population was 80,000. Starting in 1838, the railway from Cologne to Belgium passed through Aachen. The city suffered extreme overcrowding and deplorable sanitary conditions until 1875, when the medieval fortifications were finally abandoned as a limit to building and new, better housing was built in the east of the city, where sanitary drainage was easiest. In December 1880, the Aachen tramway network was opened, and in 1895 it was electrified. In the 19th century and up to the 1930s, the city was important in the production of railway locomotives and carriages, iron, pins, needles, buttons, tobacco, woollen goods, and silk goods. 20th century World War II After World War I, Aachen was occupied by the Allies until 1930, along with the rest of German territory west of the Rhine. Aachen was one of the locations involved in the ill-fated Rhenish Republic. On 21 October 1923, an armed mob took over the city hall. Similar actions took place in Mönchen-Gladbach, Duisburg, and Krefeld. This republic lasted only about a year. Aachen was heavily damaged during World War II. According to Jörg Friedrich in The Fire (2008), two Allied air raids on 11 April and 24 May 1944 "radically destroyed" the city. The first killed 1,525, including 212 children, and bombed six hospitals. During the second, 442 aircraft hit two railway stations, killed 207, and left 15,000 homeless. The raids also destroyed Aachen-Eilendorf and Aachen-Burtscheid. The city and its fortified surroundings were laid siege to from 12 September to 21 October 1944 by the US 1st Infantry Division with the 3rd Armored Division assisting from the south. Around 13 October the US 2nd Armored Division played their part, coming from the north and getting as close as Würselen, while the 30th Infantry Division played a crucial role in completing the encirclement of Aachen on 16 October 1944. With reinforcements from the US 28th Infantry Division the Battle of Aachen continued involving direct assaults through the heavily defended city, which finally forced the German garrison to surrender on 21 October 1944. Aachen was the first German city to be captured by the Western Allies, and its residents welcomed the soldiers as liberators. What remained of the city was destroyed—in some areas completely—during the fighting, mostly by American artillery fire and demolitions carried out by the Waffen-SS defenders. Damaged buildings included the medieval churches of St. Foillan, St. Paul and St. Nicholas, and the Rathaus (city hall), although Aachen Cathedral was largely unscathed. Only 4,000 inhabitants remained in the city; the rest had followed evacuation orders. Its first Allied-appointed mayor, Franz Oppenhoff, was assassinated by an SS commando unit. History of Aachen Jews During the Roman period, Aachen was the site of a flourishing Jewish community. Later, during the Carolingian empire, a Jewish community lived near the royal palace. In 797, Isaac, a Jewish merchant, accompanied two ambassadors of Charlemagne to the court of Harun al-Rashid. He returned to Aachen in July 802, bearing an elephant called Abul-Abbas as a gift for the emperor. During the 13th century, many Jews converted to Christianity, as shown in the records of the Aachen Minster (today's Cathedral). In 1486, the Jews of Aachen offered gifts to Maximilian I during his coronation ceremony. In 1629, the Aachen Jewish community was expelled from the city. In 1667, six Jews were allowed to return. Most of the Aachen Jews settled in the nearby town of Burtscheid. On 16 May 1815, the Jewish community of the city offered an homage in its synagogue to the Prussian king, Friedrich Wilhelm III. A Jewish cemetery was acquired in 1822. 1,345 Jews lived in the city in 1933. The synagogue was destroyed during Kristallnacht in 1938. In 1939, after emigration and arrests, 782 Jews remained in the city. After World War II, only 62 Jews lived there. In 2003, 1,434 Jews were living in Aachen. In Jewish texts, the city of Aachen was called Aish or Ash (אש). 21st century The city of Aachen has developed into a technology hub as a by-product of hosting one of the leading universities of technology in Germany with the RWTH Aachen (Rheinisch-Westfälische Technische Hochschule), known especially for mechanical engineering, automotive and manufacturing technology as well as for its research and academic hospital Klinikum Aachen, one of the largest medical facilities in Europe. Geography Aachen is located in the middle of the Meuse–Rhine Euroregion, close to the border tripoint of Germany, the Netherlands, and Belgium. The town of Vaals in the Netherlands lies nearby at about from Aachen's city centre, while the Dutch city of Heerlen and Eupen, the capital of the German-speaking Community of Belgium, are both located about from Aachen city centre. Aachen lies near the head of the open valley of the Wurm (which today flows through the city in canalised form), part of the larger basin of the Meuse, and about north of the High Fens, which form the northern edge of the Eifel uplands of the Rhenish Massif. The maximum dimensions of the city's territory are from north to south, and from east to west. The city limits are long, of which border Belgium and the Netherlands. The highest point in Aachen, located in the far southeast of the city, lies at an elevation of above sea level. The lowest point, in the north, and on the border with the Netherlands, is at . Climate As the westernmost city in Germany (and close to the Low Countries), Aachen and the surrounding area belongs to a temperate climate zone (Cfb), with humid weather, mild winters, and warm summers. Because of its location north of the Eifel and the High Fens and its subsequent prevailing westerly weather patterns, rainfall in Aachen (on average 805 mm/year) is comparatively higher than, for example, in Bonn (with 669 mm/year). Another factor in the local weather forces of Aachen is the occurrence of Foehn winds on the southerly air currents, which results from the city's geographic location on the northern edge of the Eifel. Because the city is surrounded by hills, it suffers from inversion-related smog. Some areas of the city have become urban heat islands as a result of poor heat exchange, both because of the area's natural geography and from human activity. The city's numerous cold air corridors, which are slated to remain as free as possible from new construction, therefore play an important role in the urban climate of Aachen. The January average is , while the July average is . Precipitation is almost evenly spread throughout the year. Geology The geology of Aachen is very structurally heterogeneous. The oldest occurring rocks in the area surrounding the city originate from the Devonian period and include carboniferous sandstone, greywacke, claystone and limestone. These formations are part of the Rhenish Massif, north of the High Fens. In the Pennsylvanian subperiod of the Carboniferous geological period, these rock layers were narrowed and folded as a result of the Variscan orogeny. After this event, and over the course of the following 200 million years, this area has been continuously flattened. During the Cretaceous period, the ocean penetrated the continent from the direction of the North Sea up to the mountainous area near Aachen, bringing with it clay, sand, and chalk deposits. While the clay (which was the basis for a major pottery industry in nearby Raeren) is mostly found in the lower areas of Aachen, the hills of the Aachen Forest and the Lousberg were formed from upper Cretaceous sand and chalk deposits. More recent sedimentation is mainly located in the north and east of Aachen and was formed through tertiary and quaternary river and wind activities. Along the major thrust fault of the Variscan orogeny, there are over 30 thermal springs in Aachen and Burtscheid. Additionally, the subsurface of Aachen is traversed by numerous active faults that belong to the Rurgraben fault system, which has been responsible for numerous earthquakes in the past, including the 1756 Düren earthquake and the 1992 Roermond earthquake, which was the strongest earthquake ever recorded in the Netherlands. Demographics Aachen has 245,885 inhabitants (as of 31 December 2015), of whom 118,272 are female, and 127,613 are male. At the end of 2009, the foreign-born residents of Aachen made up 13.6 percent of the total population. A significant portion of foreign residents are students at the RWTH Aachen University. Boroughs The city is divided into seven administrative districts, or boroughs, each with its own district council, district leader, and district authority. The councils are elected locally by those who live within the district, and these districts are further subdivided into smaller sections for statistical purposes, with each sub-district named by a two-digit number. The districts of Aachen, including their constituent statistical districts, are: Aachen-Mitte: 10 Markt, 13 Theater, 14 Lindenplatz, 15 St. Jakob, 16 Westpark, 17 Hanbruch, 18 Hörn, 21 Ponttor, 22 Hansemannplatz, 23 Soers, 24 Jülicher Straße, 25 Kalkofen, 31 Kaiserplatz, 32 Adalbertsteinweg, 33 Panneschopp, 34 Rothe Erde, 35 Trierer Straße, 36 Frankenberg, 37 Forst, 41 Beverau, 42 Burtscheid Kurgarten, 43 Burtscheid Abbey, 46 Burtscheid Steinebrück, 47 Marschiertor, 48 Hangeweiher Brand: 51 Brand Eilendorf: 52 Eilendorf Haaren: 53 Haaren (including Verlautenheide) Kornelimünster/Walheim: 61 Kornelimünster, 62 Oberforstbach, 63 Walheim Laurensberg: 64 Vaalserquartier, 65 Laurensberg Richterich: 88 Richterich Regardless of official statistical designations, there are 50 neighbourhoods and communities within Aachen, here arranged by district: Aachen-Mitte: Beverau, Bildchen, Burtscheid, Forst, Frankenberg, Grüne Eiche, Hörn, Lintert, Pontviertel, Preuswald, Ronheide, Rosviertel, Rothe Erde, Stadtmitte, Steinebrück, West Brand: Brand, Eich, Freund, Hitfeld, Niederforstbach Eilendorf: Eilendorf, Nirm Haaren: Haaren, Hüls, Verlautenheide Kornelimünster/Walheim: Friesenrath, Hahn, Kitzenhaus, Kornelimünster, Krauthausen, Lichtenbusch, Nütheim, Oberforstbach, Sief, Schleckheim, Schmithof, Walheim Laurensberg: Gut Kullen, Kronenberg, Laurensberg, Lemiers, Melaten, Orsbach, Seffent, Soers, Steppenberg, Vaalserquartier, Vetschau Richterich: Horbach, Huf, Richterich Neighbouring communities The following cities and communities border Aachen, clockwise from the northwest: Herzogenrath, Würselen, Eschweiler, Stolberg and Roetgen (which are all in the district of Aachen); Raeren, Kelmis and Plombières (Liège Province in Belgium) as well as Vaals, Gulpen-Wittem, Simpelveld, Heerlen and Kerkrade (all in Limburg Province in the Netherlands). Politics Mayor The current Mayor of Aachen is Sibylle Keupen, an independent endorsed by Alliance 90/The Greens, since 2020. The most recent mayoral election was held on 13 September 2020, with a runoff held on 27 September, and the results were as follows: ! rowspan=2 colspan=2| Candidate ! rowspan=2| Party ! colspan=2| First round ! colspan=2| Second round |- ! Votes ! % ! Votes ! % |- | bgcolor=| | align=left| Sibylle Keupen | align=left| Independent (Green) | 39,662 | 38.9 | 53,685 | 67.4 |- | bgcolor=| | align=left| Harald Baal | align=left| Christian Democratic Union | 25,253 | 24.8 | 26,003 | 32.6 |- | bgcolor=| | align=left| Mathias Dopatka | align=left| Social Democratic Party | 23,031 | 22.6 |- | bgcolor=| | align=left| Markus Mohr | align=left| Alternative for Germany | 3,387 | 3.3 |- | bgcolor=| | align=left| Wilhelm Helg | align=left| Free Democratic Party | 3,122 | 3.1 |- | bgcolor=| | align=left| Leo Deumens | align=left| The Left | 2,397 | 2.4 |- | bgcolor=| | align=left| Hubert vom Venn | align=left| Die PARTEI | 2,112 | 2.1 |- | bgcolor=| | align=left| Jörg Polzin | align=left| Independent | 938 | 0.9 |- | | align=left| Ralf Haupts | align=left| Independent Voters' Association Aachen | 932 | 0.9 |- | bgcolor=| | align=left| Matthias Achilles | align=left| Pirate Party Germany | 848 | 0.8 |- | bgcolor=| | align=left| Adonis Böving | align=left| Independent | 317 | 0.3 |- ! colspan=3| Valid votes ! 101,999 ! 99.2 ! 79,688 ! 99.3 |- ! colspan=3| Invalid votes ! 819 ! 0.8 ! 532 ! 0.7 |- ! colspan=3| Total ! 102,818 ! 100.0 ! 80,220 ! 100.0 |- ! colspan=3| Electorate/voter turnout ! 192,502 ! 53.4 ! 192,435 ! 41.7 |- | colspan=7| Source: State Returning Officer |} City council The Aachen city council governs the city alongside the Mayor. The most recent city council election was held on 13 September 2020, and the results were as follows: ! colspan=2| Party ! Votes ! % ! +/- ! Seats ! +/- |- | bgcolor=| | align=left| Alliance 90/The Greens (Grüne) | 34,712 | 34.1 | 17.5 | 20 | 7 |- | bgcolor=| | align=left| Christian Democratic Union (CDU) | 25,268 | 24.8 | 11.5 | 14 | 14 |- | bgcolor=| | align=left| Social Democratic Party (SPD) | 18,676 | 18.3 | 7.7 | 11 | 9 |- | bgcolor=| | align=left| Free Democratic Party (FDP) | 5,042 | 4.9 | 0.5 | 3 | ±0 |- | bgcolor=| | align=left| The Left (Die Linke) | 4,694 | 4.6 | 1.5 | 3 | 2 |- | bgcolor=| | align=left| Alternative for Germany (AfD) | 3,816 | 3.7 | 1.2 | 2 | ±0 |- | bgcolor=| | align=left| Volt Germany (Volt) | 3,784 | 3.7 | New | 2 | New |- | bgcolor=| | align=left| Die PARTEI (PARTEI) | 2,295 | 2.3 | 1.8 | 1 | 1 |- | | align=left| Independent Voters' Association Aachen (UWG) | 1,632 | 1.6 | 0.2 | 1 | ±0 |- | bgcolor=| | align=left| Pirate Party Germany (Piraten) | 1,226 | 1.2 | 2.2 | 1 | 2 |- | colspan=7 bgcolor=lightgrey| |- | bgcolor=| | align=left| Ecological Democratic Party (ÖDP) | 673 | 0.7 | New | 0 | New |- | | align=left| Voter Group | 45 | 0.0 | New | 0 | New |- ! colspan=2| Valid votes ! 101,863 ! 99.1 ! ! ! |- ! colspan=2| Invalid votes ! 918 ! 0.9 ! ! ! |- ! colspan=2| Total ! 102,781 ! 100.0 ! ! 58 ! 18 |- ! colspan=2| Electorate/voter turnout ! 192,502 ! 53.4 ! 0.7 ! ! |- | colspan=7| Source: State Returning Officer |} Main sights Cathedral Aachen Cathedral was erected on the orders of Charlemagne. Construction began c. AD 796, and it was, on completion c. 798, the largest cathedral north of the Alps. It was modelled after the Basilica of San Vitale, in Ravenna, Italy, and was built by Odo of Metz. Charlemagne also desired for the chapel to compete with the Lateran Palace, both in quality and authority. It was originally built in the Carolingian style, including marble covered walls, and mosaic inlay on the dome. On his death, Charlemagne's remains were interred in the cathedral and can be seen there to this day. The cathedral was extended several times in later ages, turning it into a curious and unique mixture of building styles. The throne and gallery portion date from the Ottonian, with portions of the original opus sectile floor still visible. The 13th century saw gables being added to the roof, and after the fire of 1656, the dome was rebuilt. Finally, a choir was added around the start of the 15th century. After Frederick Barbarossa canonised Charlemagne in 1165 the chapel became a destination for pilgrims. For 600 years, from 936 to 1531, Aachen Cathedral was the church of coronation for 30 German kings and 12 queens. The church built by Charlemagne is still the main attraction of the city. In addition to holding the remains of its founder, it became the burial place of his successor Otto III. In the upper chamber of the gallery, Charlemagne's marble throne is housed. Aachen Cathedral has been designated as a UNESCO World Heritage Site. Most of the marble and columns used in the construction of the cathedral were brought from Rome and Ravenna, including the sarcophagus in which Charlemagne was eventually laid to rest. A bronze bear from Gaul was placed inside, along with an equestrian statue from Ravenna, believed to be Theodric, in contrast to a wolf and a statue of Marcus Aurelius in the Capitoline. Bronze pieces such as the doors and railings, some of which have survived to present day, were cast in a local foundry. Finally, there is uncertainty surrounding the bronze pine cone in the chapel, and where it was created. Wherever it was made, it was also a parallel to a piece in Rome, this in Old St. Peter's Basilica. Cathedral Treasury Aachen Cathedral Treasury has housed, throughout its history, a collection of liturgical objects. The origin of this church treasure is in dispute as some say Charlemagne himself endowed his chapel with the original collection, while the rest were collected over time. Others say all of the objects were collected over time, from such places as Jerusalem and Constantinople. The location of this treasury has moved over time and was unknown until the 15th century when it was located in the Matthiaskapelle (St. Matthew's Chapel) until 1873, when it was moved to the Karlskapelle (Charles' Chapel). From there it was moved to the Hungarian Chapel in 1881 and in 1931 to its present location next to the Allerseelenkapelle (Poor Souls' Chapel). Only six of the original Carolingian objects have remained, and of those only three are left in Aachen: the Aachen Gospels, a diptych of Christ, and an early Byzantine silk. The Coronation Gospels and a reliquary burse of St. Stephen were moved to Vienna in 1798 and the Talisman of Charlemagne was given as a gift in 1804 to Josephine Bonaparte and subsequently to Rheims Cathedral. 210 documented pieces have been added to the treasury since its inception, typically to receive in return legitimisation of linkage to the heritage of Charlemagne. The Lothar Cross, the Gospels of Otto III and multiple additional Byzantine silks were donated by Otto III. Part of the Pala d'Oro and a covering for the Aachen Gospels were made of gold donated by Henry II. Frederick Barbarossa donated the candelabrum that adorns the dome and also once "crowned" the Shrine of Charlemagne, which was placed underneath in 1215. Charles IV donated a pair of reliquaries. Louis XI gave, in 1475, the crown of Margaret of York, and, in 1481, another arm reliquary of Charlemagne. Maximilian I and Charles V both gave numerous works of art by Hans von Reutlingen. Continuing the tradition, objects continued to be donated until the present, each indicative of the period of its gifting, with the last documented gift being a chalice from 1960 made by Ewald Mataré. Rathaus The Aachen Rathaus, (English: Aachen City Hall or Aachen Town Hall) dated from 1330, lies between two central squares, the Markt (marketplace) and the Katschhof (between city hall and cathedral). The coronation hall is on the first floor of the building. Inside one can find five frescoes by the Aachen artist Alfred Rethel which show legendary scenes from the life of Charlemagne, as well as Charlemagne's signature. Also, precious replicas of the Imperial Regalia are kept here. Since 2009, the city hall has been a station on the Route Charlemagne, a tour programme by which historical sights of Aachen are presented to visitors. At the city hall, a museum exhibition explains the history and art of the building and gives a sense of the historical coronation banquets that took place there. A portrait of Napoleon from 1807 by Louis-André-Gabriel Bouchet and one of his wife Joséphine from 1805 by Robert Lefèvre are viewable as part of the tour. As before, the city hall is the seat of the mayor of Aachen and of the city council, and annually the Charlemagne Prize is awarded there. Other sights The Grashaus, a late medieval house at the Fischmarkt, is one of the oldest non-religious buildings in central Aachen. It hosted the city archive, and before that, the Grashaus was the city hall until the present building took over this function. The Elisenbrunnen is one of the most famous sights of Aachen. It is a neo-classical hall covering one of the city's famous fountains. It is just a minute away from the cathedral. Just a few steps in a south-easterly direction lies the 19th-century theatre. Also of note are two remaining city gates, the Ponttor (Pont gate), northwest of the cathedral, and the Marschiertor (marching gate), close to the central railway station. There are also a few parts of both medieval city walls left, most of them integrated into more recent buildings, but some others still visible. There are even five towers left, some of which are used for housing. St. Michael's Church, Aachen was built as a church of the Aachen Jesuit Collegium in 1628. It is attributed to the Rhine mannerism, and a sample of a local Renaissance architecture. The rich façade remained unfinished until 1891, when the architect Peter Friedrich Peters added to it. The church is a Greek Orthodox church today, but the building is used also for concerts because of its good acoustics. The synagogue in Aachen, which was destroyed on the Night of Broken Glass (Kristallnacht), 9 November 1938, was reinaugurated on 18 May 1995. One of the contributors to the reconstructions of the synagogue was Jürgen Linden, the Lord Mayor of Aachen from 1989 to 2009. There are numerous other notable churches and monasteries, a few remarkable 17th- and 18th-century buildings in the particular Baroque style typical of the region, a synagogue, a collection of statues and monuments, park areas, cemeteries, among others. Among the museums in the town are the Suermondt-Ludwig Museum, which has a fine sculpture collection and the Aachen Museum of the International Press, which is dedicated to newspapers from the 16th century to the present. The area's industrial history is reflected in dozens of 19th- and early 20th-century manufacturing sites in the city. Economy Aachen is the administrative centre for the coal-mining industries in neighbouring places to the northeast. Products manufactured in Aachen include electrical goods, fine woolen textiles, foodstuffs (chocolate and candy), glass, machinery, rubber products, furniture, metal products. Also in and around Aachen chemicals, plastics, cosmetics, and needles and pins are produced. Though once a major player in Aachen's economy, today glassware and textile production make up only 10% of total manufacturing jobs in the city. There have been a number of spin-offs from the university's IT technology department. Electric vehicle manufacturing In June 2010, Achim Kampker, together with Günther Schuh, founded a small company to develop electric powered light utility vehicles; in August 2014, it was renamed StreetScooter GmbH. This started as a privately organised research initiative at the RWTH Aachen University, before becoming the independent company in Aachen. Kampker was also the founder and chairman of the European Network for Affordable and Sustainable Electromobility. In May 2014, the company announced that the city of Aachen, the city council Aachen and the savings bank Aachen had ordered electric vehicles from the company. In late 2014, approximately 70 employees were manufacturing 200 vehicles annually in the premises of the Waggonfabrik Talbot, the former Talbot/Bombardier plant in Aachen. In December 2014 DHL Group purchased the StreetScooter company from Günther, operating it as a wholly owned subsidiary. In 2015, Günther founded a new electric vehicle company, e.GO Mobile, which started producing the e.GO Life electric passenger car and other vehicles in April 2019. By April 2016, StreetScooter announced that it would produce 2000 of its electric vans, branded the Work, in Aachen by the end of the year, and would be scaling up to manufacture approximately 10,000 Works annually, starting in 2017, also in Aachen. At the time, this target would make it the largest electric light utility vehicle manufacturer in Europe, surpassing Renault's smaller Kangoo Z.E.. Culture In 1372, Aachen became the first coin-minting city in the world to regularly place an Anno Domini date on a general circulation coin, a groschen. The Scotch Club in Aachen was the first discothèque in Germany, opened from 19 October 1959 until 1992. Klaus Quirini as DJ Heinrich was the first DJ ever. The thriving Aachen black metal scene is among the most notable in Germany, with such bands as Nagelfar, The Ruins of Beverast, Graupel and Verdunkeln. The local speciality of Aachen is an originally hard type of sweet bread, baked in large flat loaves, called Aachener Printen. Unlike Lebkuchen, a German form of gingerbread sweetened with honey, Printen use a syrup made from sugar. Today, a soft version is sold under the same name which follows an entirely different recipe. Asteroid 274835 Aachen, discovered by amateur astronomer Erwin Schwab in 2009, was named after the city. The official was published by the Minor Planet Center on 8 November 2019 (). Kammerchor Carmina Mundi, a professional chamber choir Education RWTH Aachen University, established as Polytechnicum in 1870, is one of Germany's Universities of Excellence with strong emphasis on technological research, especially for electrical and mechanical engineering, computer sciences, physics, and chemistry. The university clinic attached to the RWTH, the Klinikum Aachen, is the biggest single-building hospital in Europe. Over time, a host of software and computer industries have developed around the university. It also maintains a botanical garden (the Botanischer Garten Aachen). FH Aachen, Aachen University of Applied Sciences (AcUAS) was founded in 1971. The AcUAS offers a classic engineering education in professions such as mechatronics, construction engineering, mechanical engineering or electrical engineering. German and international students are educated in more than 20 international or foreign-oriented programmes and can acquire German as well as international degrees (Bachelor/Master) or Doppelabschlüsse (double degrees). Foreign students account for more than 21% of the student body. The Katholische Hochschule Nordrhein-Westfalen – Abteilung Aachen (Catholic University of Applied Sciences Northrhine-Westphalia – Aachen department) offers its some 750 students a variety of degree programmes: social work, childhood education, nursing, and co-operative management. It also has the only programme of study in Germany especially designed for mothers. The (Cologne University of Music) is one of the world's foremost performing arts schools and one of the largest music institutions for higher education in Europe with one of its three campuses in Aachen. The Aachen campus substantially contributes to the Opera/Musical Theatre master's programme by collaborating with the Theater Aachen and the recently established musical theatre chair through the Rheinische Opernakademie. The German army's Technical School (Ausbildungszentrum Technik Landsysteme) is in Aachen. Sports The annual CHIO (short for the French term Concours Hippique International Officiel) is the biggest equestrian meeting of the world and among horsemen is considered to be as prestigious for equitation as the tournament of Wimbledon for tennis. Aachen hosted the 2006 FEI World Equestrian Games. The local football team Alemannia Aachen had a short run in Germany's first division, after its promotion in 2006. However, the team could not sustain its status and is now back in the fourth division. The stadium "Tivoli", opened in 1928, served as the venue for the team's home games and was well known for its incomparable atmosphere throughout the whole of the second division. Before the old stadium's demolition in 2011, it was used by amateurs, whilst the Bundesliga Club held its games in the new stadium "Neuer Tivoli" – meaning New Tivoli—a couple of metres down the road. The building work for the stadium which has a capacity of 32,960, began in May 2008 and was completed by the beginning of 2009. The Ladies in Black women's volleyball team (part of the "PTSV Aachen" sports club since 2013) has played in the first German volleyball league (DVL) since 2008. In June 2022, the local basketball club BG Aachen e.V. was promoted to the 1st regional league. Transport Rail Aachen's railway station, the Hauptbahnhof (Central Station), was constructed in 1841 for the Cologne–Aachen railway line. In 1905, it was moved closer to the city centre. It serves main lines to Cologne, Mönchengladbach and Liège as well as branch lines to Heerlen, Alsdorf, Stolberg and Eschweiler. ICE high speed trains from Brussels via Cologne to Frankfurt am Main and Thalys trains from Paris to Cologne also stop at Aachen Central Station. Four RE lines and two RB lines connect Aachen with the Ruhrgebiet, Mönchengladbach, Spa (Belgium), Düsseldorf and the Siegerland. The Euregiobahn, a regional railway system, reaches several minor cities in the Aachen region. There are four smaller stations in Aachen: Aachen West, Aachen Schanz, Aachen-Rothe Erde and Eilendorf. Slower trains stop at these. Aachen West has gained in importance with the expansion of RWTH Aachen University. Intercity bus stations There are two stations for intercity bus services in Aachen: Aachen West station, in the north-west of the city, and Aachen Wilmersdorfer Straße, in the north-east. Public transport The first horse tram line in Aachen opened in December 1880. After electrification in 1895, it attained a maximum length of in 1915, thus becoming the fourth-longest tram network in Germany. Many tram lines extended to the surrounding towns of Herzogenrath, Stolberg, Alsdorf as well as the Belgian and Dutch communes of Vaals, Kelmis (then Altenberg) and Eupen. The Aachen tram system was linked with the Belgian national interurban tram system. Like many tram systems in Western Europe, the Aachen tram suffered from poorly-maintained infrastructure and was so deemed unnecessary and disrupting for car drivers by local politics. On 28 September 1974, the last line 15 (Vaals–Brand) operated for one last day and was then replaced by buses. A proposal to reinstate a tram/light rail system under the name Campusbahn was dropped after a referendum. Today, the ASEAG (Aachener Straßenbahn und Energieversorgungs-AG, literally "Aachen tram and power supply company") operates a bus network with 68 bus routes. Because of the location at the border, many bus routes extend to Belgium and the Netherlands. Lines 14 to Eupen, Belgium and 44 to Heerlen, Netherlands are jointly operated with Transport en Commun and Veolia Transport Nederland, respectively. ASEAG is one of the main participants in the Aachener Verkehrsverbund (AVV), a tariff association in the region. Along with ASEAG, city bus routes of Aachen are served by private contractors such as Sadar, Taeter, Schlömer, or DB Regio Bus. Line 350, which runs from Maastricht, also enters Aachen. Roads Aachen is connected to the Autobahn A4 (west-east), A44 (north-south) and A544 (a smaller motorway from the A4 to the Europaplatz near the city centre). There are plans to eliminate traffic jams at the Aachen road interchange. Airport Maastricht Aachen Airport is the main airport of Aachen and Maastricht. It is located around northwest of Aachen. There is a shuttle-service between Aachen and the airport. Recreational aviation is served by the (formerly military) Aachen Merzbrück Airfield. Charlemagne Prize Since 1950, a committee of Aachen citizens annually awards the Charlemagne Prize () to personalities of outstanding service to the unification of Europe. It is traditionally awarded on Ascension Day at the City Hall. In 2016, the Charlemagne Award was awarded to Pope Francis. The International Charlemagne Prize of Aachen was awarded in the year 2000 to US president Bill Clinton, for his special personal contribution to co-operation with the states of Europe, for the preservation of peace, freedom, democracy and human rights in Europe, and for his support of the enlargement of the European Union. In 2004, Pope John Paul II's efforts to unite Europe were honoured with an "Extraordinary Charlemagne Medal", which was awarded for the only time ever. Literature Aix is the destination in Robert Browning's poem "How They Brought the Good News from Ghent to Aix", which was published in Dramatic Romances and Lyrics, 1845. The poem is a first-person narrative told, in breathless galloping meter, by one of three riders; an urgent midnight errand to deliver "the news which alone could save Aix from her fate". Notable people Twin towns – sister cities Aachen is twinned with: Montebourg, France (1960) Reims, France (1967) Halifax, England (1979) Toledo, Spain (1985) Ningbo, China (1986) Naumburg, Germany (1988) Arlington County, United States (1993) Kostroma, Russia (2005, suspended since March 2022) Sarıyer, Istanbul, Turkey (2013) Cape Town, South Africa (2017) See also Aachen (district) Aachen Prison Aachen tram Aachener Aachener Chronik Aachener Bachverein List of mayors of Aachen Council of Aachen Treaty of Aix-la-Chapelle (disambiguation) Maastricht Aachen Airport Computer museum Aachen Notes References Sources Further reading Rice, Eric, Music and Ritual at Charlemagne's Marienkirche in Aachen. Kassel: Merseburger, 2009. External links Aachen (district) Belgium–Germany border crossings Catholic pilgrimage sites Cities in North Rhine-Westphalia 1st century Free imperial cities Jewish German history Matter of France Populated places established in the 1st century Rhineland Roman towns and cities in Germany 765 Spa towns in Germany
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https://en.wikipedia.org/wiki/Aspirin
Aspirin
Aspirin, also known as acetylsalicylic acid (ASA), is a nonsteroidal anti-inflammatory drug (NSAID) used to reduce pain, fever, and/or inflammation, and as an antithrombotic. Specific inflammatory conditions which aspirin is used to treat include Kawasaki disease, pericarditis, and rheumatic fever. Aspirin is also used long-term to help prevent further heart attacks, ischaemic strokes, and blood clots in people at high risk. For pain or fever, effects typically begin within 30 minutes. Aspirin works similarly to other NSAIDs but also suppresses the normal functioning of platelets. One common adverse effect is an upset stomach. More significant side effects include stomach ulcers, stomach bleeding, and worsening asthma. Bleeding risk is greater among those who are older, drink alcohol, take other NSAIDs, or are on other blood thinners. Aspirin is not recommended in the last part of pregnancy. It is not generally recommended in children with infections because of the risk of Reye syndrome. High doses may result in ringing in the ears. A precursor to aspirin found in the bark of the willow tree (genus Salix) has been used for its health effects for at least 2,400 years. In 1853, chemist Charles Frédéric Gerhardt treated the medicine sodium salicylate with acetyl chloride to produce acetylsalicylic acid for the first time. Over the next 50 years, other chemists established the chemical structure and devised more efficient production methods. Aspirin is available without medical prescription as a proprietary or generic medication in most jurisdictions. It is one of the most widely used medications globally, with an estimated (50 to 120 billion pills) consumed each year, and is on the World Health Organization's List of Essential Medicines. In 2020, it was the 36th most commonly prescribed medication in the United States, with more than 17million prescriptions. Brand vs. generic name In 1897, scientists at the Bayer company began studying acetylsalicylic acid as a less-irritating replacement medication for common salicylate medicines. By 1899, Bayer had named it "Aspirin" and sold it around the world. Aspirin's popularity grew over the first half of the 20th century, leading to competition between many brands and formulations. The word Aspirin was Bayer's brand name; however, their rights to the trademark were lost or sold in many countries. The name is ultimately a blend of the prefix a(cetyl) + spir Spiraea, the meadowsweet plant genus from which the acetylsalicylic acid was originally derived at Bayer + -in, the common chemical suffix. Chemical properties Aspirin decomposes rapidly in solutions of ammonium acetate or the acetates, carbonates, citrates, or hydroxides of the alkali metals. It is stable in dry air, but gradually hydrolyses in contact with moisture to acetic and salicylic acids. In solution with alkalis, the hydrolysis proceeds rapidly and the clear solutions formed may consist entirely of acetate and salicylate. Like flour mills, factories producing aspirin tablets must control the amount of the powder that becomes airborne inside the building, because the powder-air mixture can be explosive. The National Institute for Occupational Safety and Health (NIOSH) has set a recommended exposure limit in the United States of 5mg/m3 (time-weighted average). In 1989, the Occupational Safety and Health Administration (OSHA) set a legal permissible exposure limit for aspirin of 5mg/m3, but this was vacated by the AFL-CIO v. OSHA decision in 1993. Synthesis The synthesis of aspirin is classified as an esterification reaction. Salicylic acid is treated with acetic anhydride, an acid derivative, causing a chemical reaction that turns salicylic acid's hydroxyl group into an ester group (R-OH → R-OCOCH3). This process yields aspirin and acetic acid, which is considered a byproduct of this reaction. Small amounts of sulfuric acid (and occasionally phosphoric acid) are almost always used as a catalyst. This method is commonly demonstrated in undergraduate teaching labs. Reaction between acetic acid and salicylic acid can also form aspirin but this esterification reaction is reversible and the presence of water can lead to hydrolysis of the aspirin. So, an anhydrous reagent is preferred. Reaction mechanism Formulations containing high concentrations of aspirin often smell like vinegar because aspirin can decompose through hydrolysis in moist conditions, yielding salicylic and acetic acids. Physical properties Aspirin, an acetyl derivative of salicylic acid, is a white, crystalline, weakly acidic substance, which melts at , and decomposes around . Its acid dissociation constant (pKa) is 3.5 at . Polymorphism Polymorphism, or the ability of a substance to form more than one crystal structure, is important in the development of pharmaceutical ingredients. Many drugs receive regulatory approval for only a single crystal form or polymorph. There was only one proven polymorph Form I of aspirin, though the existence of another polymorph was debated since the 1960s, and one report from 1981 reported that when crystallized in the presence of aspirin anhydride, the diffractogram of aspirin has weak additional peaks. Though at the time it was dismissed as mere impurity, it was, in retrospect, Form II aspirin. Form II was reported in 2005, found after attempted co-crystallization of aspirin and levetiracetam from hot acetonitrile. In form I, pairs of aspirin molecules form centrosymmetric dimers through the acetyl groups with the (acidic) methyl proton to carbonyl hydrogen bonds. In form II, each aspirin molecule forms the same hydrogen bonds, but with two neighbouring molecules instead of one. With respect to the hydrogen bonds formed by the carboxylic acid groups, both polymorphs form identical dimer structures. The aspirin polymorphs contain identical 2-dimensional sections and are therefore more precisely described as polytypes. Pure Form II aspirin could be prepared by seeding the batch with aspirin anhydrate in 15% weight. Mechanism of action Discovery of the mechanism In 1971, British pharmacologist John Robert Vane, then employed by the Royal College of Surgeons in London, showed aspirin suppressed the production of prostaglandins and thromboxanes. For this discovery he was awarded the 1982 Nobel Prize in Physiology or Medicine, jointly with Sune Bergström and Bengt Ingemar Samuelsson. Prostaglandins and thromboxanes Aspirin's ability to suppress the production of prostaglandins and thromboxanes is due to its irreversible inactivation of the cyclooxygenase (COX; officially known as prostaglandin-endoperoxide synthase, PTGS) enzyme required for prostaglandin and thromboxane synthesis. Aspirin acts as an acetylating agent where an acetyl group is covalently attached to a serine residue in the active site of the PTGS enzyme (Suicide inhibition). This makes aspirin different from other NSAIDs (such as diclofenac and ibuprofen), which are reversible inhibitors. Low-dose aspirin use irreversibly blocks the formation of thromboxane A2 in platelets, producing an inhibitory effect on platelet aggregation during the lifetime of the affected platelet (8–9 days). This antithrombotic property makes aspirin useful for reducing the incidence of heart attacks in people who have had a heart attack, unstable angina, ischemic stroke or transient ischemic attack. 40mg of aspirin a day is able to inhibit a large proportion of maximum thromboxane A2 release provoked acutely, with the prostaglandin I2 synthesis being little affected; however, higher doses of aspirin are required to attain further inhibition. Prostaglandins, local hormones produced in the body, have diverse effects, including the transmission of pain information to the brain, modulation of the hypothalamic thermostat, and inflammation. Thromboxanes are responsible for the aggregation of platelets that form blood clots. Heart attacks are caused primarily by blood clots, and low doses of aspirin are seen as an effective medical intervention to prevent a second acute myocardial infarction. COX-1 and COX-2 inhibition At least two different types of cyclooxygenases, COX-1 and COX-2, are acted on by aspirin. Aspirin irreversibly inhibits COX-1 and modifies the enzymatic activity of COX-2. COX-2 normally produces prostanoids, most of which are proinflammatory. Aspirin-modified PTGS2 (prostaglandin-endoperoxide synthase 2) produces lipoxins, most of which are anti-inflammatory. Newer NSAID drugs, COX-2 inhibitors (coxibs), have been developed to inhibit only PTGS2, with the intent to reduce the incidence of gastrointestinal side effects. Several COX-2 inhibitors, such as rofecoxib (Vioxx), have been withdrawn from the market, after evidence emerged that PTGS2 inhibitors increase the risk of heart attack and stroke. Endothelial cells lining the microvasculature in the body are proposed to express PTGS2, and, by selectively inhibiting PTGS2, prostaglandin production (specifically, PGI2; prostacyclin) is downregulated with respect to thromboxane levels, as PTGS1 in platelets is unaffected. Thus, the protective anticoagulative effect of PGI2 is removed, increasing the risk of thrombus and associated heart attacks and other circulatory problems. Since platelets have no DNA, they are unable to synthesize new PTGS once aspirin has irreversibly inhibited the enzyme, an important difference as compared with reversible inhibitors. Furthermore, aspirin, while inhibiting the ability of COX-2 to form pro-inflammatory products such as the prostaglandins, converts this enzyme's activity from a prostaglandin-forming cyclooxygenase to a lipoxygenase-like enzyme: aspirin-treated COX-2 metabolizes a variety of polyunsaturated fatty acids to hydroperoxy products which are then further metabolized to specialized proresolving mediators such as the aspirin-triggered lipoxins, aspirin-triggered resolvins, and aspirin-triggered maresins. These mediators possess potent anti-inflammatory activity. It is proposed that this aspirin-triggered transition of COX-2 from cyclooxygenase to lipoxygenase activity and the consequential formation of specialized proresolving mediators contributes to the anti-inflammatory effects of aspirin. Additional mechanisms Aspirin has been shown to have at least three additional modes of action. It uncouples oxidative phosphorylation in cartilaginous (and hepatic) mitochondria, by diffusing from the inner membrane space as a proton carrier back into the mitochondrial matrix, where it ionizes once again to release protons. Aspirin buffers and transports the protons. When high doses are given, it may actually cause fever, owing to the heat released from the electron transport chain, as opposed to the antipyretic action of aspirin seen with lower doses. In addition, aspirin induces the formation of NO-radicals in the body, which have been shown in mice to have an independent mechanism of reducing inflammation. This reduced leukocyte adhesion is an important step in the immune response to infection; however, evidence is insufficient to show aspirin helps to fight infection. More recent data also suggest salicylic acid and its derivatives modulate signalling through NF-κB. NF-κB, a transcription factor complex, plays a central role in many biological processes, including inflammation. Aspirin is readily broken down in the body to salicylic acid, which itself has anti-inflammatory, antipyretic, and analgesic effects. In 2012, salicylic acid was found to activate AMP-activated protein kinase, which has been suggested as a possible explanation for some of the effects of both salicylic acid and aspirin. The acetyl portion of the aspirin molecule has its own targets. Acetylation of cellular proteins is a well-established phenomenon in the regulation of protein function at the post-translational level. Aspirin is able to acetylate several other targets in addition to COX isoenzymes. These acetylation reactions may explain many hitherto unexplained effects of aspirin. Formulations Aspirin is produced in many formulations, with some differences in effect. In particular, aspirin can cause gastrointestinal bleeding, and formulations are sought which deliver the benefits of aspirin while mitigating harmful bleeding. Formulations may be combined (e.g., buffered + vitamin C). Tablets, typically of about 75–100 mg and 300–320 mg of immediate-release aspirin (IR-ASA). Dispersible tablets. Enteric-coated tablets. Buffered formulations containing aspirin with one of many buffering agents. Formulations of aspirin with vitamin C (ASA-VitC) A phospholipid-aspirin complex liquid formulation, PL-ASA. the phospholipid coating was being trialled to determine if it caused less gastrointestinal damage. Pharmacokinetics Acetylsalicylic acid is a weak acid, and very little of it is ionized in the stomach after oral administration. Acetylsalicylic acid is quickly absorbed through the cell membrane in the acidic conditions of the stomach. The increased pH and larger surface area of the small intestine causes aspirin to be absorbed more slowly there, as more of it is ionized. Owing to the formation of concretions, aspirin is absorbed much more slowly during overdose, and plasma concentrations can continue to rise for up to 24 hours after ingestion. About 50–80% of salicylate in the blood is bound to human serum albumin, while the rest remains in the active, ionized state; protein binding is concentration-dependent. Saturation of binding sites leads to more free salicylate and increased toxicity. The volume of distribution is 0.1–0.2 L/kg. Acidosis increases the volume of distribution because of enhancement of tissue penetration of salicylates. As much as 80% of therapeutic doses of salicylic acid is metabolized in the liver. Conjugation with glycine forms salicyluric acid, and with glucuronic acid to form two different glucuronide esters. The conjugate with the acetyl group intact is referred to as the acyl glucuronide; the deacetylated conjugate is the phenolic glucuronide. These metabolic pathways have only a limited capacity. Small amounts of salicylic acid are also hydroxylated to gentisic acid. With large salicylate doses, the kinetics switch from first-order to zero-order, as metabolic pathways become saturated and renal excretion becomes increasingly important. Salicylates are excreted mainly by the kidneys as salicyluric acid (75%), free salicylic acid (10%), salicylic phenol (10%), and acyl glucuronides (5%), gentisic acid (< 1%), and 2,3-dihydroxybenzoic acid. When small doses (less than 250mg in an adult) are ingested, all pathways proceed by first-order kinetics, with an elimination half-life of about 2.0 h to 4.5 h. When higher doses of salicylate are ingested (more than 4 g), the half-life becomes much longer (15 h to 30 h), because the biotransformation pathways concerned with the formation of salicyluric acid and salicyl phenolic glucuronide become saturated. Renal excretion of salicylic acid becomes increasingly important as the metabolic pathways become saturated, because it is extremely sensitive to changes in urinary pH. A 10- to 20-fold increase in renal clearance occurs when urine pH is increased from 5 to 8. The use of urinary alkalinization exploits this particular aspect of salicylate elimination. It was found that short-term aspirin use in therapeutic doses might precipitate reversible acute kidney injury when the patient was ill with glomerulonephritis or cirrhosis. Aspirin for some patients with chronic kidney disease and some children with congestive heart failure was contraindicated. History Medicines made from willow and other salicylate-rich plants appear in clay tablets from ancient Sumer as well as the Ebers Papyrus from ancient Egypt. Hippocrates referred to the use of salicylic tea to reduce fevers around 400 BC, and willow bark preparations were part of the pharmacopoeia of Western medicine in classical antiquity and the Middle Ages. Willow bark extract became recognized for its specific effects on fever, pain, and inflammation in the mid-eighteenth century. By the nineteenth century, pharmacists were experimenting with and prescribing a variety of chemicals related to salicylic acid, the active component of willow extract. In 1853, chemist Charles Frédéric Gerhardt treated sodium salicylate with acetyl chloride to produce acetylsalicylic acid for the first time; in the second half of the 19th century, other academic chemists established the compound's chemical structure and devised more efficient methods of synthesis. In 1897, scientists at the drug and dye firm Bayer began investigating acetylsalicylic acid as a less-irritating replacement for standard common salicylate medicines, and identified a new way to synthesize it. By 1899, Bayer had dubbed this drug Aspirin and was selling it globally. The word Aspirin was Bayer's brand name, rather than the generic name of the drug; however, Bayer's rights to the trademark were lost or sold in many countries. Aspirin's popularity grew over the first half of the 20th century leading to fierce competition with the proliferation of aspirin brands and products. Aspirin's popularity declined after the development of acetaminophen/paracetamol in 1956 and ibuprofen in 1962. In the 1960s and 1970s, John Vane and others discovered the basic mechanism of aspirin's effects, while clinical trials and other studies from the 1960s to the 1980s established aspirin's efficacy as an anti-clotting agent that reduces the risk of clotting diseases. The initial large studies on the use of low-dose aspirin to prevent heart attacks that were published in the 1970s and 1980s helped spur reform in clinical research ethics and guidelines for human subject research and US federal law, and are often cited as examples of clinical trials that included only men, but from which people drew general conclusions that did not hold true for women. Aspirin sales revived considerably in the last decades of the 20th century, and remain strong in the 21st century with widespread use as a preventive treatment for heart attacks and strokes. Trademark Bayer lost its trademark for Aspirin in the United States and some other countries in actions taken between 1918 and 1921 because it had failed to use the name for its own product correctly and had for years allowed the use of "Aspirin" by other manufacturers without defending the intellectual property rights. Today, aspirin is a generic trademark in many countries. Aspirin, with a capital "A", remains a registered trademark of Bayer in Germany, Canada, Mexico, and in over 80 other countries, for acetylsalicylic acid in all markets, but using different packaging and physical aspects for each. Compendial status United States Pharmacopeia British Pharmacopoeia Medical use Aspirin is used in the treatment of a number of conditions, including fever, pain, rheumatic fever, and inflammatory conditions, such as rheumatoid arthritis, pericarditis, and Kawasaki disease. Lower doses of aspirin have also been shown to reduce the risk of death from a heart attack, or the risk of stroke in people who are at high risk or who have cardiovascular disease, but not in elderly people who are otherwise healthy. There is evidence that aspirin is effective at preventing colorectal cancer, though the mechanisms of this effect are unclear. In the United States, the selective initiation of low-dose aspirin, based on an individualised assessment, has been deemed reasonable for the primary prevention of cardiovascular disease in people aged between 40 and 59 who have a 10% or greater risk of developing cardiovascular disease over the next 10 years and are not at an increased risk of bleeding. Pain Aspirin is an effective analgesic for acute pain, although it is generally considered inferior to ibuprofen because aspirin is more likely to cause gastrointestinal bleeding. Aspirin is generally ineffective for those pains caused by muscle cramps, bloating, gastric distension, or acute skin irritation. As with other NSAIDs, combinations of aspirin and caffeine provide slightly greater pain relief than aspirin alone. Effervescent formulations of aspirin relieve pain faster than aspirin in tablets, which makes them useful for the treatment of migraines. Topical aspirin may be effective for treating some types of neuropathic pain. Aspirin, either by itself or in a combined formulation, effectively treats certain types of a headache, but its efficacy may be questionable for others. Secondary headaches, meaning those caused by another disorder or trauma, should be promptly treated by a medical provider. Among primary headaches, the International Classification of Headache Disorders distinguishes between tension headache (the most common), migraine, and cluster headache. Aspirin or other over-the-counter analgesics are widely recognized as effective for the treatment of tension headaches. Aspirin, especially as a component of an aspirin/paracetamol/caffeine combination, is considered a first-line therapy in the treatment of migraine, and comparable to lower doses of sumatriptan. It is most effective at stopping migraines when they are first beginning. Fever Like its ability to control pain, aspirin's ability to control fever is due to its action on the prostaglandin system through its irreversible inhibition of COX. Although aspirin's use as an antipyretic in adults is well established, many medical societies and regulatory agencies, including the American Academy of Family Physicians, the American Academy of Pediatrics, and the Food and Drug Administration, strongly advise against using aspirin for the treatment of fever in children because of the risk of Reye's syndrome, a rare but often fatal illness associated with the use of aspirin or other salicylates in children during episodes of viral or bacterial infection. Because of the risk of Reye's syndrome in children, in 1986, the US Food and Drug Administration (FDA) required labeling on all aspirin-containing medications advising against its use in children and teenagers. Inflammation Aspirin is used as an anti-inflammatory agent for both acute and long-term inflammation, as well as for the treatment of inflammatory diseases, such as rheumatoid arthritis. Heart attacks and strokes Aspirin is an important part of the treatment of those who have had a heart attack. It is generally not recommended for routine use by people with no other health problems, including those over the age of 70. The 2009 Antithrombotic Trialists' Collaboration published in Lancet evaluated the efficacy and safety of low dose aspirin in secondary prevention. In those with prior ischaemic stroke or acute myocardial infarction, daily low dose aspirin was associated with a 19% relative risk reduction of serious cardiovascular events (non-fatal myocardial infarction, non-fatal stroke, or vascular death). This did come at the expense of a 0.19% absolute risk increase in gastrointestinal bleeding; however, the benefits outweigh the hazard risk in this case. Data from previous trials have suggested that weight-based dosing of aspirin has greater benefits in primary prevention of cardiovascular outcomes. However, more recent trials were not able to replicate similar outcomes using low dose aspirin in low body weight (<70 kg) in specific subset of population studied i.e. elderly and diabetic population, and more evidence is required to study the effect of high dose aspirin in high body weight (≥70 kg). After percutaneous coronary interventions (PCIs), such as the placement of a coronary artery stent, a U.S. Agency for Healthcare Research and Quality guideline recommends that aspirin be taken indefinitely. Frequently, aspirin is combined with an ADP receptor inhibitor, such as clopidogrel, prasugrel, or ticagrelor to prevent blood clots. This is called dual antiplatelet therapy (DAPT). Duration of DAPT was advised in the United States and European Union guidelines after the CURE and PRODIGY studies . In 2020, the systematic review and network meta-analysis from Khan et al. showed promising benefits of short-term (< 6 months) DAPT followed by P2Y12 inhibitors in selected patients, as well as the benefits of extended-term (> 12 months) DAPT in high risk patients. In conclusion, the optimal duration of DAPT after PCIs should be personalized after outweighing each patient's risks of ischemic events and risks of bleeding events with consideration of multiple patient-related and procedure-related factors. Moreover, aspirin should be continued indefinitely after DAPT is complete. The status of the use of aspirin for the primary prevention in cardiovascular disease is conflicting and inconsistent, with recent changes from previously recommending it widely decades ago, and that some referenced newer trials in clinical guidelines show less of benefit of adding aspirin alongside other anti-hypertensive and cholesterol lowering therapies. The ASCEND study demonstrated that in high-bleeding risk diabetics with no prior cardiovascular disease, there is no overall clinical benefit (12% decrease in risk of ischaemic events v/s 29% increase in GI bleeding) of low dose aspirin in preventing the serious vascular events over a period of 7.4 years. Similarly, the results of the ARRIVE study also showed no benefit of same dose of aspirin in reducing the time to first cardiovascular outcome in patients with moderate risk of cardiovascular disease over a period of five years. Aspirin has also been suggested as a component of a polypill for prevention of cardiovascular disease. Complicating the use of aspirin for prevention is the phenomenon of aspirin resistance. For people who are resistant, aspirin's efficacy is reduced. Some authors have suggested testing regimens to identify people who are resistant to aspirin. As of , the United States Preventive Services Task Force (USPSTF) determined that there was a "small net benefit" for patients aged 40–59 with a 10% or greater 10-year cardiovascular disease (CVD) risk, and "no net benefit" for patients aged over 60. Determining the net benefit was based on balancing the risk reduction of taking aspirin for heart attacks and ischaemic strokes, with the increased risk of gastrointestinal bleeding, intracranial bleeding, and hemorrhagic strokes. Their recommendations state that age changes the risk of the medicine, with the magnitude of the benefit of aspirin coming from starting at a younger age, while the risk of bleeding, while small, increases with age, particular for adults over 60, and can be compounded by other risk factors such as diabetes and a history of gastrointestinal bleeding. As a result, the USPSTF suggests that "people ages 40 to 59 who are at higher risk for CVD should decide with their clinician whether to start taking aspirin; people 60 or older should not start taking aspirin to prevent a first heart attack or stroke." Primary prevention guidelines from made by the American College of Cardiology and the American Heart Association state they might consider aspirin for patients aged 40–69 with a higher risk of atherosclerotic CVD, without an increased bleeding risk, while stating they would not recommend aspirin for patients aged over 70 or adults of any age with an increased bleeding risk. They state a CVD risk estimation and a risk discussion should be done before starting on aspirin, while stating aspirin should be used "infrequently in the routine primary prevention of (atherosclerotic CVD) because of lack of net benefit". As of , the European Society of Cardiology made similar recommendations; considering aspirin specifically to patients aged less than 70 at high or very high CVD risk, without any clear contraindications, on a case-by-case basis considering both ischemic risk and bleeding risk. Cancer prevention Aspirin may reduce the overall risk of both getting cancer and dying from cancer. There is substantial evidence for lowering the risk of colorectal cancer (CRC), but aspirin must be taken for at least 10–20 years to see this benefit. It may also slightly reduce the risk of endometrial cancer and prostate cancer. Some conclude the benefits are greater than the risks due to bleeding in those at average risk. Others are unclear if the benefits are greater than the risk. Given this uncertainty, the 2007 United States Preventive Services Task Force (USPSTF) guidelines on this topic recommended against the use of aspirin for prevention of CRC in people with average risk. Nine years later however, the USPSTF issued a grade B recommendation for the use of low-dose aspirin (75 to 100mg/day) "for the primary prevention of CVD [cardiovascular disease] and CRC in adults 50 to 59 years of age who have a 10% or greater 10-year CVD risk, are not at increased risk for bleeding, have a life expectancy of at least 10 years, and are willing to take low-dose aspirin daily for at least 10 years". A meta-analysis through 2019 said that there was an association between taking aspirin and lower risk of cancer of the colorectum, esophagus, and stomach. In 2021, the U.S. Preventive services Task Force raised questions about the use of aspirin in cancer prevention. It notes the results of the 2018 ASPREE (Aspirin in Reducing Events in the Elderly) Trial, in which the risk of cancer-related death was higher in the aspirin-treated group than in the placebo group. Psychiatry Bipolar disorder Aspirin, along with several other agents with anti-inflammatory properties, has been repurposed as an add-on treatment for depressive episodes in subjects with bipolar disorder in light of the possible role of inflammation in the pathogenesis of severe mental disorders. A 2022 systematic review concluded that aspirin exposure reduced the risk of depression in a pooled cohort of three studies (HR 0.624, 95% CI: 0.0503, 1.198, P=0.033). However, further high-quality, longer-duration, double-blind randomized controlled trials (RCTs) are needed to determine whether aspirin is an effective add-on treatment for bipolar depression. Thus, notwithstanding the biological rationale, the clinical perspectives of aspirin and anti-inflammatory agents in the treatment of bipolar depression remain uncertain. Dementia Although cohort and longitudinal studies have shown low-dose aspirin has a greater likelihood of reducing the incidence of dementia, numerous randomized controlled trials have not validated this. Schizophrenia Some researchers have speculated the anti-inflammatory effects of aspirin may be beneficial for schizophrenia. Small trials have been conducted but evidence remains lacking. Other uses Aspirin is a first-line treatment for the fever and joint-pain symptoms of acute rheumatic fever. The therapy often lasts for one to two weeks, and is rarely indicated for longer periods. After fever and pain have subsided, the aspirin is no longer necessary, since it does not decrease the incidence of heart complications and residual rheumatic heart disease. Naproxen has been shown to be as effective as aspirin and less toxic, but due to the limited clinical experience, naproxen is recommended only as a second-line treatment. Along with rheumatic fever, Kawasaki disease remains one of the few indications for aspirin use in children in spite of a lack of high quality evidence for its effectiveness. Low-dose aspirin supplementation has moderate benefits when used for prevention of pre-eclampsia. This benefit is greater when started in early pregnancy. Aspirin has also demonstrated anti-tumoral effects, via inhibition of the PTTG1 gene, which is often overexpressed in tumors. Resistance For some people, aspirin does not have as strong an effect on platelets as for others, an effect known as aspirin-resistance or insensitivity. One study has suggested women are more likely to be resistant than men, and a different, aggregate study of 2,930 people found 28% were resistant. A study in 100 Italian people found, of the apparent 31% aspirin-resistant subjects, only 5% were truly resistant, and the others were noncompliant. Another study of 400 healthy volunteers found no subjects who were truly resistant, but some had "pseudoresistance, reflecting delayed and reduced drug absorption". Meta-analysis and systematic reviews have concluded that laboratory confirmed aspirin resistance confers increased rates of poorer outcomes in cardiovascular and neurovascular diseases. Although the majority of research conducted has surrounded cardiovascular and neurovascular, there is emerging research into the risk of aspirin resistance after orthopaedic surgery where aspirin is used for venous thromboembolism prophylaxis. Aspirin resistance in orthopaedic surgery, specifically after total hip and knee arthroplasties, is of interest as risk factors for aspirin resistance are also risk factors for venous thromboembolisms and osteoarthritis; the sequalae of requiring a total hip or knee arthroplasty. Some of these risk factors include obesity, advancing age, diabetes mellitus, dyslipidaemia and inflammatory diseases. Dosages Adult aspirin tablets are produced in standardised sizes, which vary slightly from country to country, for example 300mg in Britain and 325mg in the United States. Smaller doses are based on these standards, e.g., 75mg and 81mg tablets. The 81 mg tablets are commonly called "baby aspirin" or "baby-strength", because they were originallybut no longerintended to be administered to infants and children. No medical significance occurs due to the slight difference in dosage between the 75mg and the 81mg tablets. The dose required for benefit appears to depend on a person's weight. For those weighing less than , low dose is effective for preventing cardiovascular disease; for patients above this weight, higher doses are required. In general, for adults, doses are taken four times a day for fever or arthritis, with doses near the maximal daily dose used historically for the treatment of rheumatic fever. For the prevention of myocardial infarction (MI) in someone with documented or suspected coronary artery disease, much lower doses are taken once daily. March 2009 recommendations from the USPSTF on the use of aspirin for the primary prevention of coronary heart disease encourage men aged 45–79 and women aged 55–79 to use aspirin when the potential benefit of a reduction in MI for men or stroke for women outweighs the potential harm of an increase in gastrointestinal hemorrhage. The WHI study of postmenopausal women found that aspirin resulted in a 25% lower risk of death from cardiovascular disease and a 14% lower risk of death from any cause, though there was no significant difference between 81mg and 325mg aspirin doses. The 2021 ADAPTABLE study also showed no significant difference in cardiovascular events or major bleeding between 81mg and 325mg doses of aspirin in patients (both men and women) with established cardiovascular disease. Low-dose aspirin use was also associated with a trend toward lower risk of cardiovascular events, and lower aspirin doses (75 or 81mg/day) may optimize efficacy and safety for people requiring aspirin for long-term prevention. In children with Kawasaki disease, aspirin is taken at dosages based on body weight, initially four times a day for up to two weeks and then at a lower dose once daily for a further six to eight weeks. Adverse effects In October 2020, the US Food and Drug Administration (FDA) required the drug label to be updated for all nonsteroidal anti-inflammatory medications to describe the risk of kidney problems in unborn babies that result in low amniotic fluid. They recommend avoiding NSAIDs in pregnant women at 20 weeks or later in pregnancy. One exception to the recommendation is the use of low-dose 81mg aspirin at any point in pregnancy under the direction of a health care professional. Contraindications Aspirin should not be taken by people who are allergic to ibuprofen or naproxen, or who have salicylate intolerance or a more generalized drug intolerance to NSAIDs, and caution should be exercised in those with asthma or NSAID-precipitated bronchospasm. Owing to its effect on the stomach lining, manufacturers recommend people with peptic ulcers, mild diabetes, or gastritis seek medical advice before using aspirin. Even if none of these conditions is present, the risk of stomach bleeding is still increased when aspirin is taken with alcohol or warfarin. People with hemophilia or other bleeding tendencies should not take aspirin or other salicylates. Aspirin is known to cause hemolytic anemia in people who have the genetic disease glucose-6-phosphate dehydrogenase deficiency, particularly in large doses and depending on the severity of the disease. Use of aspirin during dengue fever is not recommended owing to increased bleeding tendency. Aspirin taken at doses of ≤325 mg and ≤100 mg per day for ≥2 days can increase the odds of suffering a gout attack by 81% and 91% respectively. This effect may potentially be worsened by high purine diets, diuretics, and kidney disease, but is eliminated by the urate lowering drug allopurinol. Daily low dose aspirin does not appear to worsen kidney function. Aspirin may reduce cardiovascular risk in those without established cardiovascular disease in people with moderate CKD, without significantly increasing the risk of bleeding. Aspirin should not be given to children or adolescents under the age of 16 to control cold or influenza symptoms, as this has been linked with Reye's syndrome. Gastrointestinal Aspirin use has been shown to increase the risk of gastrointestinal bleeding. Although some enteric-coated formulations of aspirin are advertised as being "gentle to the stomach", in one study, enteric coating did not seem to reduce this risk; the Mayo Clinic agree with this, and report that coated aspirin may also not be as effective at reducing blood clot risk. Although enteric coated aspirin is said to be not as effective as plain aspirin in reducing blood clot risk, however, with the current available results from clinical studies, there is still insufficient data to support this statement. Larger studies are required to provide more accurate results and conclusions. Combining aspirin with other NSAIDs has been shown to further increase the risk of gastrointestinal bleeding. Using aspirin in combination with clopidogrel or warfarin also increases the risk of upper gastrointestinal bleeding. Blockade of COX-1 by aspirin apparently results in the upregulation of COX-2 as part of a gastric defense. Several trials suggest that the simultaneous use of a COX-2 inhibitor with aspirin may increase the risk of gastrointestinal injury. However, currently available evidence has been unable to prove that this effect is consistently repeatable in everyday clinical practice. More dedicated research is required to provide greater clarity on the subject. Therefore, caution should be exercised if combining aspirin with any "natural" supplements with COX-2-inhibiting properties, such as garlic extracts, curcumin, bilberry, pine bark, ginkgo, fish oil, resveratrol, genistein, quercetin, resorcinol, and others. "Buffering" is an additional method that is used with the intention of mitigating gastrointestinal bleeding. Buffering agents are intended to work by preventing the aspirin from concentrating in the walls of the stomach, although the benefits of buffered aspirin are disputed. Almost any buffering agent used in antacids can be used; Bufferin, for example, uses magnesium oxide. Other preparations use calcium carbonate. Gas-forming agents in effervescent tablet and powder formulations can also double as a buffering agent, one example being sodium bicarbonate, used in Alka-Seltzer. Taking vitamin C with aspirin has been investigated as a method of protecting the stomach lining. In trials vitamin C-releasing aspirin (ASA-VitC) or a buffered aspirin formulation containing vitamin C was found to cause less stomach damage than aspirin alone. Retinal vein occlusion It is a widespread habit among eye specialists (ophthalmologists) to prescribe aspirin as an add-on medication for patients with retinal vein occlusion (RVO), such as central retinal vein occlusion (CRVO) and branch retinal vein occlusion (BRVO). The reason of this widespread use is the evidence of its proven effectiveness in major systemic venous thrombotic disorders, and it has been assumed that may be similarly beneficial in various types of retinal vein occlusion. However, a large-scale investigation based on data of nearly 700 patients showed "that aspirin or other antiplatelet aggregating agents or anticoagulants adversely influence the visual outcome in patients with CRVO and hemi-CRVO, without any evidence of protective or beneficial effect". Several expert groups, including the Royal College of Ophthalmologists, recommended against the use of antithrombotic drugs (incl. aspirin) for patients with RVO. Central effects Large doses of salicylate, a metabolite of aspirin, cause temporary tinnitus (ringing in the ears) based on experiments in rats, via the action on arachidonic acid and NMDA receptors cascade. Reye's syndrome Reye's syndrome, a rare but severe illness characterized by acute encephalopathy and fatty liver, can occur when children or adolescents are given aspirin for a fever or other illness or infection. From 1981 to 1997, 1207 cases of Reye's syndrome in people younger than 18 were reported to the US Centers for Disease Control and Prevention (CDC). Of these, 93% reported being ill in the three weeks preceding the onset of Reye's syndrome, most commonly with a respiratory infection, chickenpox, or diarrhea. Salicylates were detectable in 81.9% of children for whom test results were reported. After the association between Reye's syndrome and aspirin was reported, and safety measures to prevent it (including a Surgeon General's warning, and changes to the labeling of aspirin-containing drugs) were implemented, aspirin taken by children declined considerably in the United States, as did the number of reported cases of Reye's syndrome; a similar decline was found in the United Kingdom after warnings against pediatric aspirin use were issued. The US Food and Drug Administration recommends aspirin (or aspirin-containing products) should not be given to anyone under the age of 12 who has a fever, and the UK National Health Service recommends children who are under 16 years of age should not take aspirin, unless it is on the advice of a doctor. Skin For a small number of people, taking aspirin can result in symptoms including hives, swelling, and headache. Aspirin can exacerbate symptoms among those with chronic hives, or create acute symptoms of hives. These responses can be due to allergic reactions to aspirin, or more often due to its effect of inhibiting the COX-1 enzyme. Skin reactions may also tie to systemic contraindications, seen with NSAID-precipitated bronchospasm, or those with atopy. Aspirin and other NSAIDs, such as ibuprofen, may delay the healing of skin wounds. Earlier findings from two small, low-quality trials suggested a benefit with aspirin (alongside compression therapy) on venous leg ulcer healing time and leg ulcer size, however larger, more recent studies of higher quality have been unable to corroborate these outcomes. As such, further research is required to clarify the role of aspirin in this context. Other adverse effects Aspirin can induce swelling of skin tissues in some people. In one study, angioedema appeared one to six hours after ingesting aspirin in some of the people. However, when the aspirin was taken alone, it did not cause angioedema in these people; the aspirin had been taken in combination with another NSAID-induced drug when angioedema appeared. Aspirin causes an increased risk of cerebral microbleeds having the appearance on MRI scans of 5 to 10mm or smaller, hypointense (dark holes) patches. A study of a group with a mean dosage of aspirin of 270mg per day estimated an average absolute risk increase in intracerebral hemorrhage (ICH) of 12 events per 10,000 persons. In comparison, the estimated absolute risk reduction in myocardial infarction was 137 events per 10,000 persons, and a reduction of 39 events per 10,000 persons in ischemic stroke. In cases where ICH already has occurred, aspirin use results in higher mortality, with a dose of about 250mg per day resulting in a relative risk of death within three months after the ICH around 2.5 (95% confidence interval 1.3 to 4.6). Aspirin and other NSAIDs can cause abnormally high blood levels of potassium by inducing a hyporeninemic hypoaldosteronic state via inhibition of prostaglandin synthesis; however, these agents do not typically cause hyperkalemia by themselves in the setting of normal renal function and euvolemic state. Use of low-dose aspirin before a surgical procedure has been associated with an increased risk of bleeding events in some patients, however, ceasing aspirin prior to surgery has also been associated with an increase in major adverse cardiac events. An analysis of multiple studies found a three-fold increase in adverse events such as myocardial infarction in patients who ceased aspirin prior to surgery. The analysis found that the risk is dependent on the type of surgery being performed and the patient indication for aspirin use. On 9 July 2015, the US Food and Drug Administration (FDA) toughened warnings of increased heart attack and stroke risk associated with nonsteroidal anti-inflammatory drugs (NSAID). Aspirin is an NSAID but is not affected by the new warnings. Overdose Aspirin overdose can be acute or chronic. In acute poisoning, a single large dose is taken; in chronic poisoning, higher than normal doses are taken over a period of time. Acute overdose has a mortality rate of 2%. Chronic overdose is more commonly lethal, with a mortality rate of 25%; chronic overdose may be especially severe in children. Toxicity is managed with a number of potential treatments, including activated charcoal, intravenous dextrose and normal saline, sodium bicarbonate, and dialysis. The diagnosis of poisoning usually involves measurement of plasma salicylate, the active metabolite of aspirin, by automated spectrophotometric methods. Plasma salicylate levels in general range from 30 to 100mg/L after usual therapeutic doses, 50–300mg/L in people taking high doses and 700–1400mg/L following acute overdose. Salicylate is also produced as a result of exposure to bismuth subsalicylate, methyl salicylate, and sodium salicylate. Interactions Aspirin is known to interact with other drugs. For example, acetazolamide and ammonium chloride are known to enhance the intoxicating effect of salicylates, and alcohol also increases the gastrointestinal bleeding associated with these types of drugs. Aspirin is known to displace a number of drugs from protein-binding sites in the blood, including the antidiabetic drugs tolbutamide and chlorpropamide, warfarin, methotrexate, phenytoin, probenecid, valproic acid (as well as interfering with beta oxidation, an important part of valproate metabolism), and other NSAIDs. Corticosteroids may also reduce the concentration of aspirin. Other NSAIDs, such as ibuprofen and naproxen, may reduce the antiplatelet effect of aspirin. Although limited evidence suggests this may not result in a reduced cardioprotective effect of aspirin. Analgesic doses of aspirin decrease sodium loss induced by spironolactone in the urine, however this does not reduce the antihypertensive effects of spironolactone. Furthermore, antiplatelet doses of aspirin are deemed too small to produce an interaction with spironolactone. Aspirin is known to compete with penicillin G for renal tubular secretion. Aspirin may also inhibit the absorption of vitamin C. Research The ISIS-2 trial demonstrated that aspirin at doses of 160mg daily for one month, decreased the mortality by 21% of participants with a suspected myocardial infarction in the first five weeks. A single daily dose of 324mg of aspirin for 12 weeks has a highly protective effect against acute myocardial infarction and death in men with unstable angina. Bipolar disorder Aspirin has been repurposed as an add-on treatment for depressive episodes in subjects with bipolar disorder. However, meta-analytic evidence is based on very few studies and does not suggest any efficacy of aspirin in the treatment of bipolar depression. Thus, notwithstanding the biological rationale, the clinical perspectives of aspirin and anti-inflammatory agents in the treatment of bipolar depression remain uncertain. Infectious diseases Several studies investigated the anti-infective properties of aspirin for bacterial, viral and parasitic infections. Aspirin was demonstrated to limit platelet activation induced by Staphylococcus aureus and Enterococcus faecalis and to reduce streptococcal adhesion to heart valves. In patients with tuberculous meningitis, the addition of aspirin reduced the risk of new cerebral infarction [RR = 0.52 (0.29-0.92)]. A role of aspirin on bacterial and fungal biofilm is also being supported by growing evidence. Cancer prevention Evidence from observational studies were conflicting on the effect of aspirin in breast cancer prevention, a randomized controlled trial showed that aspirin had no significant effect in reducing breast cancer thus further studies are needed to clarify aspirin effect in cancer prevention. In gardening There are a many anecdotal reportings that aspirin can improve plant's growth and resistance though most research involved salicylic acid instead of aspirin. Veterinary medicine Aspirin is sometimes used in veterinary medicine as an anticoagulant or to relieve pain associated with musculoskeletal inflammation or osteoarthritis. Aspirin should only be given to animals under the direct supervision of a veterinarian, as adverse effects—including gastrointestinal issues—are common. An aspirin overdose in any species may result in salicylate poisoning, characterized by hemorrhaging, seizures, coma, and even death. Dogs are better able to tolerate aspirin than cats are. Cats metabolize aspirin slowly because they lack the glucuronide conjugates that aid in the excretion of aspirin, making it potentially toxic if dosing is not spaced out properly. No clinical signs of toxicosis occurred when cats were given 25mg/kg of aspirin every 48 hours for 4 weeks, but the recommended dose for relief of pain and fever and for treating blood clotting diseases in cats is 10mg/kg every 48 hours to allow for metabolization. See also Fluoroaspirin References Further reading External links 1897 in Germany 1897 in science Acetate esters Acetylsalicylic acids Antiplatelet drugs Bayer brands Brands that became generic Chemical substances for emergency medicine Commercialization of traditional medicines Covalent inhibitors Equine medications German inventions Hepatotoxins Nonsteroidal anti-inflammatory drugs Salicylic acids Salicylyl esters World Health Organization essential medicines Wikipedia medicine articles ready to translate
1527
https://en.wikipedia.org/wiki/Ahmed%20I
Ahmed I
Ahmed I ( ; ; 18 April 1590 – 22 November 1617) was the sultan of the Ottoman Empire from 1603 to 1617. Ahmed's reign is noteworthy for marking the first breach in the Ottoman tradition of royal fratricide; henceforth, Ottoman rulers would no longer systematically execute their brothers upon accession to the throne. He is also well known for his construction of the Blue Mosque, one of the most famous mosques in Turkey. Early life Ahmed was probably born in 18 April 1590 at the Manisa Palace, Manisa, when his father Mehmed was still a prince and the governor of the Sanjak of Manisa. His mother was Handan Sultan. After his grandfather Murad III's death in 1595, his father came to Constantinople and ascended the throne as Sultan Mehmed III. Mehmed ordered the execution of his nineteen half brothers. Ahmed's elder brother Şehzade Mahmud was also executed by his father Mehmed on 7 June 1603, just before Mehmed's own death on 22 December 1603. Mahmud was buried along with his mother in a separate mausoleum built by Ahmed in Şehzade Mosque, Constantinople. Reign Ahmed ascended the throne after his father's death in 1603, at the age of thirteen, when his powerful grandmother Safiye Sultan was still alive. With his accession to the throne, the power struggle in the harem flared up; Between his mother Handan Sultan and his grandmother Safiye Sultan, who in the previous reign had absolute power within the walls (behind the throne), in the end, with the support of Ahmed, the fight ended in favor of his mother. A far lost uncle of Ahmed, Yahya, resented his accession to the throne and spent his life scheming to become Sultan. Ahmed broke with the traditional fratricide following previous enthronements and did not order the execution of his brother Mustafa. Instead, Mustafa was sent to live at the old palace at Bayezit along with their grandmother, Safiye Sultan. This was most likely due to Ahmed's young age - he had not yet demonstrated his ability to sire children, and Mustafa was then the only other candidate for the Ottoman throne. His brother's execution would have endangered the dynasty, and thus he was spared. His mother tried to interfere in his affairs and influence his decision, especially she wanted to control his communication and movements. In the earlier part of his reign, Ahmed I showed decision and vigor, which were belied by his subsequent conduct. The wars in Hungary and Persia, which attended his accession, terminated unfavourably for the empire. Its prestige was further tarnished in the Treaty of Zsitvatorok, signed in 1606, whereby the annual tribute paid by Austria was abolished. Following the crushing defeat in the Ottoman–Safavid War (1603–18) against the neighbouring rivals Safavid Empire, led by Shah Abbas the Great, Georgia, Azerbaijan and other vast territories in the Caucasus were ceded back to Persia per the Treaty of Nasuh Pasha in 1612, territories that had been temporarily conquered in the Ottoman–Safavid War (1578–90). The new borders were drawn per the same line as confirmed in the Peace of Amasya of 1555. Relations with Morocco During his reign the ruler of Morocco was Mulay Zidan whose father and predecessor Ahmad al-Mansur had paid a tribute of vassalage as a vassal of the Ottomans until his death. The Saadi civil wars had interrupted this tribute of vassalage, but Mulay Zidan proposed to submit to it in order to protect himself from Algiers, and so he resumed paying the tribute to the Ottomans. Ottoman-Safavid War: 1604–06 The Ottoman–Safavid War had begun shortly before the death of Ahmed's father Mehmed III. Upon ascending the throne, Ahmed I appointed Cigalazade Yusuf Sinan Pasha as the commander of the eastern army. The army marched from Constantinople on 15 June 1604, which was too late, and by the time it had arrived on the eastern front on 8 November 1604, the Safavid army had captured Yerevan and entered the Kars Eyalet, and could only be stopped in Akhaltsikhe. Despite the conditions being favourable, Sinan Pasha decided to stay for the winter in Van, but then marched to Erzurum to stop an incoming Safavid attack. This caused unrest within the army and the year was practically wasted for the Ottomans. In 1605, Sinan Pasha marched to take Tabriz, but the army was undermined by Köse Sefer Pasha, the Beylerbey of Erzurum, marching independently from Sinan Pasha and consequently being taken prisoner by the Safavids. The Ottoman army was routed at Urmia and had to flee firstly to Van and then to Diyarbekir. Here, Sinan Pasha sparked a rebellion by executing the Beylerbey of Aleppo, Canbulatoğlu Hüseyin Pasha, who had come to provide help, upon the pretext that he had arrived too late. He soon died himself and the Safavid army was able to capture Ganja, Shirvan and Shamakhi in Azerbaijan. War with the Habsburgs: 1604–06 The Long Turkish War between the Ottomans and the Habsburg monarchy had been going on for over a decade by the time Ahmed ascended the throne. Grand Vizier Malkoç Ali Pasha marched to the western front from Constantinople on 3 June 1604 and arrived in Belgrade, but died there, so Sokolluzade Lala Mehmed Pasha was appointed as the Grand Vizier and the commander of the western army. Under Mehmed Pasha, the western army recaptured Pest and Vác, but failed to capture Esztergom as the siege was lifted due to unfavourable weather and the objections of the soldiers. Meanwhile, the Prince of Transylvania, Stephen Bocskay, who struggled for the region's independence and had formerly supported the Habsburgs, sent a messenger to the Porte asking for help. Upon the promise of help, his forces also joined the Ottoman forces in Belgrade. With this help, the Ottoman army besieged Esztergom and captured it on 4 November 1605. Bocskai, with Ottoman help, captured Nové Zámky (Uyvar) and forces under Tiryaki Hasan Pasha took Veszprém and Palota. Sarhoş İbrahim Pasha, the Beylerbey of Nagykanizsa (Kanije), attacked the Austrian region of Istria. However, with Jelali revolts in Anatolia more dangerous than ever and a defeat in the eastern front, Mehmed Pasha was called to Constantinople. Mehmed Pasha suddenly died there, whilst preparing to leave for the east. Kuyucu Murad Pasha then negotiated the Peace of Zsitvatorok, which abolished the tribute of 30,000 ducats paid by Austria and addressed the Habsburg emperor as the equal of the Ottoman sultan. The Jelali revolts were a strong factor in the Ottomans' acceptance of the terms. This signaled the end of Ottoman growth in Europe. Jelali revolts Resentment over the war with the Habsburgs and heavy taxation, along with the weakness of the Ottoman military response, combined to make the reign of Ahmed I the zenith of the Jelali revolts. Tavil Ahmed launched a revolt soon after the coronation of Ahmed I and defeated Nasuh Pasha and the Beylerbey of Anatolia, Kecdehan Ali Pasha. In 1605, Tavil Ahmed was offered the position of the Beylerbey of Shahrizor to stop his rebellion, but soon afterwards he went on to capture Harput. His son, Mehmed, obtained the governorship of Baghdad with a fake firman and defeated the forces of Nasuh Pasha sent to defeat him. Meanwhile, Canbulatoğlu Ali Pasha united his forces with the Druze Sheikh Ma'noğlu Fahreddin to defeat the Amir of Tripoli Seyfoğlu Yusuf. He went on to take control of the Adana area, forming an army and issuing coins. His forces routed the army of the newly appointed Beylerbey of Aleppo, Hüseyin Pasha. Grand Vizier Boşnak Dervish Mehmed Pasha was executed for the weakness he showed against the Jelalis. He was replaced by Kuyucu Murad Pasha, who marched to Syria with his forces to defeat the 30,000-strong rebel army with great difficulty, albeit with a decisive result, on 24 October 1607. Meanwhile, he pretended to forgive the rebels in Anatolia and appointed the rebel Kalenderoğlu, who was active in Manisa and Bursa, as the sanjakbey of Ankara. Baghdad was recaptured in 1607 as well. Canbulatoğlu Ali Pasha fled to Constantinople and asked for forgiveness from Ahmed I, who appointed him to Timișoara and later Belgrade, but then executed him due to his misrule there. Meanwhile, Kalenderoğlu was not allowed in the city by the people of Ankara and rebelled again, only to be crushed by Murad Pasha's forces. Kalenderoğlu ended up fleeing to Persia. Murad Pasha then suppressed some smaller revolts in Central Anatolia and suppressed other Jelali chiefs by inviting them to join the army. Due to the widespread violence of the Jelali revolts, a great number of people had fled their villages and a lot of villages were destroyed. Some military chiefs had claimed these abandoned villages as their property. This deprived the Porte of tax income and on 30 September 1609, Ahmed I issued a letter guaranteeing the rights of the villagers. He then worked on the resettlement of abandoned villages. Ottoman-Safavid War: Peace and continuation The new Grand Vizier, Nasuh Pasha, did not want to fight with the Safavids. The Safavid Shah also sent a letter saying that he was willing to sign a peace treaty, with which he would have to send 200 loads of silk every year to Constantinople. On 20 November 1612, the Treaty of Nasuh Pasha was signed, which ceded all the lands the Ottoman Empire had gained in the war of 1578–90 back to Persia and reinstated the 1555 boundaries. However, the peace ended in 1615 when the Shah did not send the 200 loads of silk. On 22 May 1615, Grand Vizier Öküz Mehmed Pasha was assigned to organize an attack on Persia. Mehmed Pasha delayed the attack till the next year, until when the Safavids made their preparations and attacked Ganja. In April 1616, Mehmed Pasha left Aleppo with a large army and marched to Yerevan, where he failed to take the city and withdrew to Erzurum. He was removed from his post and replaced by Damat Halil Pasha. Halil Pasha went for the winter to Diyarbekir, while the Khan of Crimea, Canibek Giray, attacked the areas of Ganja, Nakhichevan and Julfa. Capitulations and trade treaties Ahmed I renewed trade treaties with England, France and Venice. In July 1612, the first ever trade treaty with the Dutch Republic was signed. He expanded the capitulations given to France, specifying that merchants from Spain, Ragusa, Genoa, Ancona and Florence could trade under the French flag. Architect and service to Islam Sultan Ahmed constructed the Sultan Ahmed Mosque, the magnum opus of the Ottoman architecture, across from the Hagia Sophia. The sultan attended the breaking of the ground with a golden pickaxe to begin the construction of the mosque complex. An incident nearly broke out after the sultan discovered that the Blue Mosque contained the same number of minarets as the grand mosque of Mecca. Ahmed became furious at this fault and became remorseful until the Shaykh-ul-Islam recommended that he should erect another minaret at the grand mosque of Mecca and the matter was solved. Ahmed became delightedly involved in the eleventh comprehensive renovations of the Kaaba, which had just been damaged by flooding. He sent craftsmen from Constantinople, and the golden rain gutter that kept rain from collecting on the roof of the Ka’ba was successfully renewed. It was again during the era of Sultan Ahmed that an iron web was placed inside the Zamzam Well in Mecca. The placement of this web about three feet below the water level was a response to lunatics who jumped into the well, imagining a promise of a heroic death. In Medina, the city of the Islamic prophet Muhammad, a new pulpit made of white marble and shipped from Istanbul arrived in the mosque of Muhammad and substituted the old, worn-out pulpit. It is also known that Sultan Ahmed erected two more mosques in Uskudar on the Asian side of Istanbul; however, neither of them has survived. The sultan had a crest carved with the footprint of Muhammad that he would wear on Fridays and festive days and illustrated one of the most significant examples of affection to Muhammad in Ottoman history. Engraved inside the crest was a poem he composed: Character Sultan Ahmed was known for his skills in fencing, poetry, horseback riding, and fluency in several languages. Ahmed was a poet who wrote a number of political and lyrical works under the name Bahti. Ahmed patronized scholars, calligraphers, and pious men. Hence, he commissioned a book entitled The Quintessence of Histories to be worked upon by calligraphers. He also attempted to enforce conformance to Islamic laws and traditions, restoring the old regulations that prohibited alcohol, and he attempted to enforce attendance at Friday prayers and paying alms to the poor in the proper way. Death Ahmed I died of typhus and gastric bleeding on 22 November 1617 at the Topkapı Palace, Istanbul. He was buried in Ahmed I Mausoleum, Sultan Ahmed Mosque. He was succeeded by his younger half-brother Mustafa as Sultan Mustafa I. Later three of Ahmed's sons ascended to the throne: Osman II (r. 1618–22), Murad IV (r. 1623–40) and Ibrahim (r. 1640–48). Family Consorts Ahmed had two known consorts, plus several unknown concubines, mothers of the other princes and princesses. The known consorts are: Mahpeyker Kösem Sultan. His favorite, Haseki Sultan and probably legal wife, mother of many of his children. Hatice Mahfiruz Hatun. Also called Mahfiruze Hatun, she was his first concubine and mother of his firstborn Osman II. Sons Ahmed I had at least thirteen sons: Osman II (3 November 1604, Constantinople, Topkapı Palace – murdered by janissaries, 20 May 1622, Constantinople, Topkapı Palace, buried in Ahmed I Mausoleum, Sultan Ahmed Mosque) - with Mahfiruz Hatun. 16th Sultan of the Ottoman Empire; Şehzade Mehmed (11 March 1605, Constantinople, Topkapı Palace – murdered by Osman II, 12 January 1621, Istanbul, Topkapı Palace, buried in Ahmed I Mausoleum, Sultan Ahmed Mosque) - with Kösem Sultan; Şehzade Orhan (1609, Constantinople – 1612, Constantinople, buried in Ahmed I Mausoleum, Sultan Ahmed Mosque) – maybe with Kösem Sultan. Şehzade Cihangir (1609, Constantinople – 1609, Constantinople, buried in Ahmed I Mausoleum, Sultan Ahmed Mosque). Şehzade Selim (27 June 1611, Constantinople – 27 July 1611, Constantinople, buried in Ahmed I Mausoleum, Sultan Ahmed Mosque) - maybe with Kösem Sultan. Murad IV (27 July 1612, Constantinople – 8 February 1640, Constantinople, Topkapı Palace, buried in Ahmed I Mausoleum, Sultan Ahmed Mosque) - with Kösem Sultan. 17th Sultan of the Ottoman Empire; Şehzade Hasan (25 November 1612, Constantinople – 1615, Constantinople, buried in Ahmed I Mausoleum, Sultan Ahmed Mosque). Şehzade Bayezid (December 1612, Constantinople – murdered by Murad IV, 27 July 1635, Constantinople, Topkapı Palace, buried in Ahmed I Mausoleum, Sultan Ahmed Mosque); Şehzade Selim (1613?, Constantinople – murdered by Murad IV, 27 July 1635, Constantinople, Topkapı Palace, buried in Ahmed I Mausoleum, Sultan Ahmed Mosque) - maybe with Kösem Sultan; Şehzade Süleyman (1613?/1615?, Constantinople – murdered by Murad IV, 27 July 1635, Constantinople, Topkapı Palace, buried in Ahmed I Mausoleum, Sultan Ahmed Mosque) - maybe with Kösem Sultan; Şehzade Hüseyin (14 November 1614, Constantinople – 1617, Constantinople, Topkapı Palace, buried in Mehmed III Mausoleum, Hagia Sophia Mosque); Şehzade Kasım (1614, Constantinople – murdered by Murad IV, 17 February 1638, Constantinople, Topkapı Palace, buried in Murad III Mausoleum, Hagia Sophia Mosque) - with Kösem Sultan; Ibrahim I (5 November 1615, Constantinople – 18 August 1648, Constantinople, Topkapı Palace, murdered by janissaries and buried in Ibrahim I Mausoleum, Hagia Sophia Mosque) - with Kösem Sultan. 18th Sultan of the Ottoman Empire. Daughters Ahmed I had at least ten daughters: Ayşe Sultan (1605 or 1608, Constantinople – 1657, Constantinople, buried in Ahmed I Mausoleum, Sultan Ahmed Mosque) - with Kösem Sultan, Fatma Sultan (1606, Constantinople – 1667, Constantinople, buried in Ahmed I Mausoleum, Sultan Ahmed Mosque) - with Kösem Sultan; Gevherhan Sultan (1605 or 1608, Constantinople – 1660, Constantinople, buried in Ahmed I Mausoleum, Sultan Ahmed Mosque) - with Kösem Sultan, Hatice Sultan (Constantinople, 1608 – Constantinople, 1610, buried in Ahmed I Mausoleum, Sultan Ahmed Mosque) Hanzade Sultan (1609, Constantinople – 21 September 1650, Constantinople, buried in Ibrahim I Mausoleum, Hagia Sophia Mosque) - with Kösem Sultan; Esma Sultan (Constantinople, 1612 – Constantinople, 1612, buried in Ahmed I Mausoleum, Sultan Ahmed Mosque) Zahide Sultan (Constantinople, 1613 – Constantinople, 1620, buried in Ahmed I Mausoleum, Sultan Ahmed Mosque) Burnaz Atike Sultan ( 1614/1616?, Constantinople – 1674, Constantinople, buried in Ibrahim I Mausoleum, Hagia Sophia Mosque) - maybe with Kösem Sultan; Zeynep Sultan (Constantinople, 1617 – Constantinople, 1619, buried in Ahmed I Mausoleum, Sultan Ahmed Mosque) Abide Sultan (Constantinople, 1618 – Constantinople, 1648). Called also Übeyde Sultan, married in 1642 to Koca Musa Pasha. Legacy Today, Ahmed I is remembered mainly for the construction of the Sultan Ahmed Mosque (also known as the Blue Mosque), one of the masterpieces of Islamic architecture. The area in Fatih around the Mosque is today called Sultanahmet. He died at Topkapı Palace in Constantinople and is buried in a mausoleum right outside the walls of the famous mosque. In popular culture In the 2015 TV series Muhteşem Yüzyıl: Kösem, Ahmed I is portrayed by Turkish actor Ekin Koç. See also Transformation of the Ottoman Empire Abbas I's Kakhetian and Kartlian campaigns References External links [aged 27] 1590 births 1617 deaths Deaths from typhus Modern child monarchs Ottoman people of the Ottoman–Persian Wars Infectious disease deaths in the Ottoman Empire 17th-century Ottoman sultans Turks from the Ottoman Empire Greeks from the Ottoman Empire People from the Ottoman Empire of Greek descent
1529
https://en.wikipedia.org/wiki/Ahmed%20III
Ahmed III
Ahmed III (, Aḥmed-i sālis; 30 December 16731 July 1736) was sultan of the Ottoman Empire and a son of sultan Mehmed IV (r. 1648–1687). His mother was Gülnuş Sultan, originally named Evmania Voria, who was an ethnic Greek. He was born at Hacıoğlu Pazarcık, in Dobruja. He succeeded to the throne in 1703 on the abdication of his brother Mustafa II (1695–1703). Nevşehirli Damat İbrahim Pasha and the Sultan's daughter, Fatma Sultan (wife of the former) directed the government from 1718 to 1730, a period referred to as the Tulip Era. During the initial days of Ahmed III's reign, significant efforts were made to appease the janissaries. However, Ahmed's effectiveness in dealing with the janissaries who had elevated him to the sultanate was limited. Grand Vizier Çorlulu Ali Pasha, whom Ahmed appointed, provided valuable assistance in administrative affairs and implemented new measures for the treasury. He supported Ahmed in his struggles against rival factions and provided stability to the government. Ahmed was an avid reader, skilled in calligraphy and knowledgeable on history and poetry. Early life and education Sultan Ahmed was born on 30 December 1673. His father was Sultan Mehmed IV, and his mother was Gülnuş Sultan, originally named Evmenia. His birth occurred in Hacıoğlupazarı, where Mehmed stayed to hunt on his return from Poland in 1673, while Gülnuş was pregnant at that time. In 1675, He and his brother, Prince Mustafa (future Mustafa II) were circumcised. During the same ceremony their sisters Hatice Sultan and Fatma Sultan were married to Musahip Mustafa Pasha and Kara Mustafa Pasha respectively. The celebrations lasted 20 days. He grew up in the Edirne Palace. His schooling began during one of the sporadic visits of the court to Istanbul, following a courtly ceremony called bad-i basmala, which took place on 9 August 1679 in the Istavroz Palace. He was brought up in the imperial harem in Edirne with a traditional princely education, studying the Qur’an, the hadiths (traditions of Prophet Muhammad), and the fundamentals of Islamic sciences, history, poetry and music under the supervision of private tutors. One of his tutors was chief mufti Feyzullah Efendi. Ahmed was apparently curious and intellectual in nature, spending most of his time reading and practising calligraphy. The poems that he wrote manifest his profound knowledge of poetry, history, Islamic theology and philosophy. He was also interested in calligraphy, which he had studied with the leading court calligraphers, primarily with Hafız Osman Efendi (died 1698), who influenced his art immensely, and, therefore, practiced it because of the influence of his elder brother, the future Sultan Mustafa II, who also became a notable calligrapher. During his princehood in Edirne, Ahmed made friends with a bright officer-scribe, Ibrahim, from the city of Nevşehir, who was to become one of the outstanding Grand Viziers of his future reign. From 1687, following the deposition of his father, he lived in isolation for sixteen years in the palaces of Edirne and Istanbul. During this period he dedicated himself to calligraphy and intellectual activities. Reign Accession The Edirne succession occurred between 19 August to 23 August. Under Mustafa, Istanbul had been out of control for a long time. As arrests and executions mounted, theft and robbery incidents became common. The people were dissatisfied with the poor governing of the Empire. Mustafa was deposed by the Janissaries and Ahmed, who succeeded him to the throne on 22 August 1703. The first Friday salute was held in Bayezid Mosque. Fındıklılı Mehmed Ağa welcomed the new sultan at the Harem gate on the Hasoda side, entered the arm, brought him to the Cardigan-i Saadet Department and placed them on the throne, and were among the first to pay tribute to him. As part of the fief system, Ahmed reorganized the land law in 1705. Bringing order to land ownership reduced the crime wave and brought peace to the troubled Empire. Due to his ardent support of the new laws, Ahmed was given the title 'law-giver', a title given to only three sultans earlier, Bayezid II (r. 1481–1512), Selim I (r. 1512–1520) and Suleyman the Magnificent (r. 1520–1566). In the first three years of his reign, Ahmed appointed four separate Grand Viziers. However, the government only gained some stability after the appointment of Çorlulu Ali Pasha in May 1706. Russo-Turkish War of 1710–1711 Ahmed III cultivated good relations with France, doubtless in view of Russia's menacing attitude. He afforded refuge in Ottoman territory to Charles XII of Sweden (1682–1718) after the Swedish defeat at the hands of Peter I of Russia (1672–1725) in the Battle of Poltava of 1709. In 1710 Charles XII convinced Sultan Ahmed III to declare war against Russia, and the Ottoman forces under Baltacı Mehmet Pasha won a major victory at the Battle of Prut. In the aftermath, Russia returned Azov back to the Ottomans, agreed to demolish the fortress of Taganrog and others in the area, and to stop interfering in the affairs of the Polish–Lithuanian Commonwealth. Forced against his will into war with Russia, Ahmed III came nearer than any Ottoman sovereign before or since to breaking the power of his northern rival, whose armies his grand vizier Nevşehirli Damat İbrahim Pasha succeeded in completely surrounding at the Pruth River Campaign in 1711. The subsequent Ottoman victories against Russia enabled the Ottoman Empire to advance to Moscow, had the Sultan wished. However, this was halted as a report reached Istanbul that the Safavids were invading the Ottoman Empire, causing a period of panic, turning the Sultan's attention away from Russia. Wars with Venice and Austria On 9 December 1714, war was declared on Venice, an army under Silahdar Damat Ali Pasha's command managed to recover the whole Morea (Peloponnese) from Venice through coordinated operations of the army and navy. This success alarmed Austria and in April 1716, Emperor Charles VI provoked the Porte into a declaration of war. The unsuccessful battle, also commanded by Silahdar Ali Pasha, ended with the Treaty of Passarowitz, signed on 21 July 1718, according to which Belgrade, Banat, and Wallachia were ceded to Austria. This failure was a disappointment for Ahmed as the treaty led to Istanbul's economy suffering from increased inflation. Nevşehirli Damat Ibrahim Pasha who was the second leading figure of the empire after Ahmed had joined the Morea campaign in 1715, and was appointed as the city of Nish's minister of finance the following year. This post helped him realize the downturn of the state's finances, which led him to avoid war as much as possible during his vizierate. Ibrahim Pasha's policy of peace suited Ahmed well since he had no wish to lead any military campaigns, in addition to the fact that his interest in art and culture made him reluctant to leave his Istanbul. Character of Ahmed's rule While shooting competitions were held in Okmeydanı, Istanbul with the idea of increasing the morale of the soldiers and the people, a new warship was launched in Tersane-i Amir. He tried three grand viziers at short intervals. Instead of Hasan Pasha, he appointed Kalaylikoz Ahmed Pasha on 24 September 1704, and Baltacı Mehmed Pasha on 25 December 1704. In 1707, a conspiracy led by Eyüplü Ali Ağa was unearthed to bring the sultan off the throne. What resulted were that necks were ordered to be cut in front of the Bab-I-Hümayun. Ahmed III left the finances of the Ottoman Empire in a flourishing condition, which had remarkably been obtained without excessive taxation or extortionate procedures. He was a cultivated patron of literature and art, and it was in his time that the first printing press was authorized to use either the Arabic or Turkish languages; it was set up in Istanbul, and operated by Ibrahim Muteferrika (while the printing press had been introduced to Constantinople in 1480, all published works before 1729 were in Greek, Armenian, or Hebrew). It was in his reign that an important change in the government of the Danubian Principalities was introduced: previously, the Porte had appointed Hospodars, usually native Moldavian and Wallachian boyars, to administer those provinces; after the Russian campaign of 1711, during which Peter the Great found an ally in Moldavia Prince Dimitrie Cantemir, the Porte began overtly deputizing Phanariote Greeks in that region, and extended the system to Wallachia after Prince Stefan Cantacuzino established links with Prince Eugene of Savoy. The Phanariotes constituted a kind of Dhimmi nobility, which supplied the Porte with functionaries in many important departments of the state. Foreign relations The ambassadors of Safavid Iran and the Archduchy of Austria were well received when they came from 1706 to 1707. In the year 1712, the Mughal Emperor Jahandar Shah, a grandson of Aurangzeb, sent gifts to the Ottoman Sultan Ahmed III and referred to himself as the Ottoman Sultan's devoted admirer. The Mughal Emperor Farrukhsiyar, another grandson of Aurangzeb, is also known to have sent a letter to the Ottomans but this time it was received by the Grand Vizier Nevşehirli Damad Ibrahim Pasha. The letter provided a graphic description of the efforts of the Mughal commander Syed Hassan Ali Khan Barha fighting against the Rajput and Maratha rebellion. Deposition Sultan Ahmed III had become unpopular by reason of the excessive pomp and costly luxury in which he and his principal officers indulged; on 20 September 1730, a mutinous riot of seventeen Janissaries, led by the Albanian Patrona Halil, was aided by the citizens as well as the military until it swelled into an insurrection, this consequently led the Sultan to give up his throne. Ahmed voluntarily led his nephew Mahmud I (1730–1754) to the seat of sovereignty and paid allegiance to him as Sultan of the Empire. He then retired to the Kafes previously occupied by Mahmud and died at Topkapı Palace after six years of confinement. Architecture Ahmed III commissioned the building of water claps, fountains, park waterfalls and three libraries, one inside the Topkapı Palace, with the famous lines "Ahmed was a master in the writings on plates" which have survived. The “Basmala” at the Topkapi Palace apartment door with its plates in the Üsküdar Yeni Mosque are among them. A library was built by Ahmed in 1724–1725 situated next to the tomb entrance of Turhan Sultan, the structure has stone-brick alternate meshed walls, is square-shaped and covered with a flattened dome with an octagonal rim, which is provided with pendentives. There are original pen works left in the pendentives and dome of the library. Disasters In 1714, an Egyptian galleon near the Gümrük (Eminönü) Pier caught fire and burned, which resulted in the deaths of 200 people. While Nevşehirli Damat Ibrahim Pasha continued his preparations for his return to Istanbul, a fire broke out in the city. The districts of Unkapanı, Azapkapı, Zeyrek, Fatih, Saraçhane, Horhor, Etmeydanı, Molla Gürani, Altımermer, Ayazma Gate, Kantarcılar, Vefa, Vez Neciler, Old Rooms, Acemioğlanlar Barracks, Çukur Çeşme, Langa, Davudpaşa were burned from the fire. A large three-minute earthquake occurred on 14 May 1719. While the city walls of Istanbul were destroyed in the earthquake, 4,000 people died in Izmit and Yalova was destroyed. Reconstruction work followed after the quake ended in Istanbul. The most meaningful element to reflect the cultural aspect or weight of these works today is the Topkapı Palace Enderun Library, which was built in that year. A rich foundation was established for this institution, which is also known as the Sultan Ahmed-i Salis Library, which has a face-to-face with its architectural and valuable manuscripts. Family Ahmed III is known to be the Sultan with the largest family (and harem) of the Ottoman dynasty. The hostess of his harem was Dilhayat Kalfa, known to be one of the greatest Turkish composeress of the early modern period. Consorts Ahmed III had at least twenty-one consorts: Emetullah Kadın. Baş Kadin (first consort) and her first concubine, she was the mother of the firstborn, Fatma Sultan, the Ahmed's favorite daughter. She was Ahmed's most beloved consort, who dedicated a mosque, a school and a fountain to her. Very devoted and active in charity, she died in 1740 in the Old Palace. Emine Mihrişah Kadın. She was the mother of four sons including Mustafa III, 26th Sultan of the Ottoman Empire, but she premorted at her son's rise and therefore was never Valide sultan. She died in April 1732. Her son built the Ayazma Mosque in her honor in Üsküdar. Rabia Şermi Kadın. She was the mother of Abdülhamid I, 27th Sultan of the Ottoman Empire, but she premorted at the rise of her son and therefore was never Valide Sultan. In 1728, a fountain was dedicated to her in Üsküdar. She died in 1732. Her son built the Beylerbeyi Mosque in her honor. Ayşe Mihri Behri Kadın. Before she became a consort, she was treasurer of the harem. Hatem Kadın. Mother of twins, she died in 1772 and was buried in Eyüp cemetery. Emine Musli Kadın. Also called Muslıhe Kadın, Muslu Kadin or Musalli Kadın. She mother of two daughters, she died in 1750 and was buried with them in the Yeni Cami. Rukiye Kadın. Mother of a daughter and a son, she built a fountain near the Yeni Cami. She died after 1738 and was buried with her daughter in the Yeni Cami. Fatma Hümaşah Kadın. She died in 1732 and was buried by the Yeni Cami. Gülneş Kadın. Also called Gülnuş Kadın. She is listed in a document naming her consorts exiled to Old Palace after the deposition of Ahmed III whose jewels were confiscated. She died after 1730. Hürrem Kadın. Listed in a document that names the consorts exiled to Old Palace after the deposition of Ahmed III whose jewels were confiscated. She died after 1730. Meyli Kadın. Listed in a document that names the consorts exiled to Old Palace after the deposition of Ahmed III whose jewels were confiscated. She died after 1730. Hatice Kadın. She died in 1722 and was buried in the Yeni Cami. Nazife Kadın. Listed in a document that names the consorts exiled to Old Palace after the deposition of Ahmed III whose jewels were confiscated. She died after 1730, perphaps the 29 December 1764. Nejat Kadın. Listed in a document that names the consorts exiled to Old Palace after the deposition of Ahmed III whose jewels were confiscated. She died after 1730. Sadık Kadın. Also called Sadıka Kadin. Listed in a document that names the consorts exiled to Old Palace after the deposition of Ahmed III whose jewels were confiscated. She died after 1730. Hüsnüşah Kadın. She died in 1733 and was buried in the Yeni Cami. Şahin Kadın. She died in 1732 and was buried in the Yeni Cami. Ümmügülsüm Kadın. She died in 1768 and was buried in the Yeni Cami. Zeyneb Kadın. Mother of a daughter, she died in 1757 and was buried by the Yeni Cami. Hanife Kadın. Mother of a daughter, she died in 1750 and was buried in the Yeni Cami. Şayeste Hanim. BaşIkbal. She died in 1722 and was buried by the Yeni Cami. Sons Ahmed III had at least twenty-one sons, all buried, apart from the two who became Sultans, in the Yeni Cami: Şehzade Mehmed (24 November 1705 - 30 July 1706). Şehzade Isa (23 February 1706 - 14 May 1706). Şehzade Ali (18 June 1706 - 12 September 1706). Şehzade Selim (29 August 1706 - 15 April 1708). Şehzade Murad (17 November 1707 - 1707). Şehzade Murad (25 January 1708 - 1 April 1708). Şehzade Abdülmecid (12 December 1709 - 18 March 1710). Twin of Şehzade Abdülmelek. Şehzade Abdülmelek (12 December 1709 - 7 March 1711). Twin of Şehzade Abdülmecid. Şehzade Süleyman (25 August 1710 - 11 October 1732) - with Mihrişah Kadin. He died in the Kafes after two years of imprisonment. Şehzade Mehmed (8 October 1712 - 15 July 1713). Şehzade Selim (21 March 1715 - February 1718) - with Hatem Kadın. Twin of Saliha Sultan. Şehzade Mehmed (2 January 1717 - 2 January 1756) - with Rukiye Kadın. He died in the Kafes after twenty-six years of imprisonment. Mustafa III (28 January 1717 - 21 January 1774) - with Mihrişah Kadin. 26th Sultan of the Ottoman Empire after twenty-seven years of imprisonment in the Kafes. Şehzade Bayezid (4 October 1718 - 24 January 1771) - with Mihrişah Kadin. He died in the Kafes after forty-one years of imprisonment. Şehzade Abdüllah (18 December 1719 - 19 December 1719). Şehzade Ibrahim (12 September 1720 - 16 March 1721). Şehzade Numan (22 February 1723 - 29 December 1764). He died in the Kafes after thirthy-four years of imprisonment. Abdülhamid I (20 March 1725 - 7 April 1789) - with Rabia Şermi Kadın. 27th Sultan of the Ottoman Empire after forty-four years of imprisonment in the Kafes. Şehzade Seyfeddin (3 February 1728 - 1732) - with Mihrişah Kadin. He died in the Kafes after two years of imprisonment. Şehzade Mahmud (? - 22 December 1756). He died in the Kafes after twenty-six years of imprisonment. Şehzade Hasan (? - ?). He probably died in the Kafes. Daughters Ahmed III had at least thirty-six daughters: Fatma Sultan (22 September 1704 - May 1733) - with Emetullah Kadın. She was her father's favorite daughter. She married twice and had two sons and two daughters. She and her second husband were the real power during the Tulip Era. She fell from grace after the Patrona Halil revolt and was confined to Çırağan Palace, where she died three years later. Hatice Sultan (21 January 1701 - 29 August 1707). Buried in the mausoleum Turhan Sultan in the Yeni Cami. Ayşe Sultan (? - 1706). Buried in the Yeni Cami. Mihrimah Sultan (17 June 1706 - ?). She died as a child and was buried in the Yeni Cami. Rukiye Sultan (3 March 1707 - 29 August 1707). She was buried in the Yeni Cami. Ümmügülsüm Sultan (11 February 1708 - 28 November 1732). Twin of Zeynep Sultan. She married once and had four sons and a daughter. Zeynep Sultan (11 February 1708 - 5 November 1708). Twin sister of Ümmügülsüm Sultan. She was buried in the Yeni Cami. Zeynep Sultan (5 January 1710 - July 1710). She was buried in the Yeni Cami. Hatice Sultan (8 February 1710 - 1710, before September). She was buried in the Turhan Sultan mausoleum in Yeni Cami. Hatice Sultan (27 September 1710 - 1738) - with Rukiye Kadın. She married twice and had a son. Emine Sultan (1711 - 1720). She was buried in the Yeni Cami. Atike Sultan (29 February 1712 - 2 April 1737). She got married once and she had a son. Rukiye Sultan (7 March 1713 - October 1715). Buried in the Turhan Sultan mausoleum in Yeni Cami. Zeynep Asima Sultan (8 April 1714 - March 25, 1774). She married twice and she had a son. Saliha Sultan (21 March 1715 - 11 October 1778) - with Hatem Kadın. Twin of Şehzade Selim. She was married five times and had a son and four daughters. Ayşe Sultan (10 October 1715 - 9 July 1775) - with Musli Kadın. Nicknamed Küçük Ayşe (meaning Ayşe the youngest) to distinguish her from her cousin Ayşe the eldest, daughter of Mustafa II. She married three times and had a daughter. Ferdane Sultan (? - 1718). She died as a child and she was buried in the Yeni Cami. Reyhane Sultan (1718 - 1729). Also called Reyhan Sultan or Rihane Sultan. She was buried in the Yeni Cami. Ümmüseleme Sultan (? - 1719). Also called Ümmüselma Sultan. She died as a child and was buried in the Yeni Cami. Rabia Sultan (19 November 1719 - before 1727). She was buried in the Yeni Cami. Emetullah Sultan (1719 - 1723) Also called Ümmetullah Sultan. She was buried in the Yeni Cami. Rukiye Sultan (? - 1720). She died as a child and was buried in the Yeni Cami. Beyhan Sultan (? - 1720). She died as a child and was buried in the Yeni Cami. Emetullah Sultan (17 September 1723 - 28 January 1724). She was buried in the Yeni Cami. Emine Sultan (late 1723/early 1724 - 1732). She was buried in the Yeni Cami. Nazife Sultan (May 1723/1725 - before 1730 or 29 December 1764). Exceptionally, she never married, most likely because she was chronically ill or had physical and/or mental problems. She lived in seclusion in the Old Palace all her life. However, according to other historians, she actually died a child and the Nazife who died in the Old Palace in 1764 was instead one of Ahmed III's consorts with the same name, Nazife Kadin. Ümmüselene Sultan (12 October 1724 - 5 December 1732). She was buried in the Yeni Cami. Naile Sultan (15 December 1725 - October 1727). She was buried in the Yeni Cami. Esma Sultan (14 March 1726 - 13 August 1778) - with Hanife Kadın or Zeyneb Kadın. Nicknamed Büyük Esma (meaning Esma the eldest) to distinguish her from her niece Esma the younger, daughter of Abdülhamid I. She married three times and had a daughter. Sabiha Sultan (19 December 1726 - 17 December 1726). She was buried in the Yeni Cami. Rabia Sultan (28 October 1727 - 4 April 1728). Also called Rebia Sultan. She was buried in the Yeni Cami. Zübeyde Sultan (28 March 1728 - 4 June 1756) - with Musli Kadın. She married twice. Ümmi Sultan (? - 1729). Called also Ümmügülsüm Sultan. She was buried in the Yeni Cami. Ümmühabibe Sultan (? - 1730). She was buried in the Yeni Cami. Akile Sultan (? - 1737). She was buried in the Yeni Cami. Ümmi Sultan (1730 - 1742). Called also Ümmügülsüm Sultan. She was buried in the Yeni Cami. Death Ahmed lived in Kafes of the Topkapi Palace for six years following his deposition, where he fell ill and died on 1 July 1736. He was buried in his grandmother's tomb in Turhan Sultan Mausoleum in New Mosque, at Eminönü in Istanbul. In fiction In Voltaire's Candide, the eponymous main character meets the deposed Ahmed III on a ship from Venice to Constantinople. The Sultan is in the company of five other deposed European monarchs, and he tells Candide, who initially doubts his credentials: I am not jesting, my name is Achmet III. For several years I was Sultan; I dethroned my brother; my nephew dethroned me; they cut off the heads of my viziers; I am ending my days in the old seraglio; my nephew, Sultan Mahmoud, sometimes allows me to travel for my health, and I have come to spend the Carnival at Venice." This episode was taken up by the modern Turkish writer Nedim Gürsel as the setting of his 2001 novel Le voyage de Candide à Istanbul. In fact, there is no evidence of the deposed Sultan being allowed to make such foreign travels, nor did Voltaire (or Gürsel) assert that it had any actual historical foundation. See also Fountain of Ahmed III Fountain of Ahmed III (Üsküdar) Ibrahim Muteferrika References Sources This article incorporates text from the History of Ottoman Turks (1878) External links Turkish male poets 1673 births 1736 deaths 18th-century Ottoman sultans Ottoman sultans born to Greek mothers Dethroned monarchs
1530
https://en.wikipedia.org/wiki/Ainu%20people
Ainu people
The Ainu are an ethnic group of related indigenous people native to Northern Japan, as well as the land surrounding the Sea of Okhotsk, including Hokkaido Island, Northeast Honshu Island, Sakhalin Island, the Kuril Islands, the Kamchatka Peninsula, and the Khabarovsk Krai; they have occupied these areas since before the arrival of the modern Japanese and Russians. These regions are often referred to as in historical Japanese texts. Official estimates place the total Ainu population of Japan at 25,000. Unofficial estimates place the total population at 200,000 or higher, as the near-total assimilation of the Ainu into Japanese society has resulted in many individuals of Ainu descent having no knowledge of their ancestry. The Ainu are one of the only major ethnic minorities in the Japanese islands with a distinct and highly unique culture and way of life. They were subject to forced assimilation, colonization, and ethnic and cultural genocide by the larger Japanese populace since at least the 18th century. Japanese assimilation policies in the 19th century around the Meiji Restoration included forcing Ainu peoples off their land; this, in turn, forced them to give up traditional ways of life such as subsistence hunting and fishing. Ainu people were not allowed to practice their religion, and they were pushed into Japanese-language schools where speaking the Ainu language was strictly forbidden. In 1966, there were about 300 native Ainu speakers; in 2008, however, there were only about 100. Names This people's most widely known ethnonym, "Ainu" (; ; ) means "human" in the Ainu language, particularly as opposed to , divine beings. Ainu also identify themselves as "Utari" ("comrade" or "people"). Official documents use both names. History Pre-modern The Ainu are the native people of Hokkaido, Sakhalin, and the Kurils. Early Ainu-speaking groups (mostly hunters and fishermen) also migrated into the Kamchatka Peninsula and into Honshu, where their descendants are today known as the Matagi hunters, who still use a large amount of Ainu vocabulary in their dialect. Ainu toponyms people also live in several places throughout northern Honshu, mostly along the western coast and in the Tōhoku region. This serves as further evidence for Ainu-speaking hunters and fishermen migrating down from Northern Hokkaido into Honshu. There is also evidence that Ainu speakers lived in the Amur region through Ainu loanwords found in the Uilta and Ulch people languages. Research suggests that Ainu culture originated from a merger of the Okhotsk and Satsumon cultures. According to researchers Lee and Hasegawa, Ainu-speakers descend from the Okhotsk people, who rapidly expanded from northern Hokkaido into the Kurils and Honshu. These early inhabitants did not speak the Japanese language; some were conquered by the Japanese early in the 9th century. In 1264, the Ainu invaded the land of the Nivkh people. The Ainu also started an expedition into the Amur region, which was then controlled by the Yuan dynasty, resulting in reprisals by the Mongols who invaded Sakhalin. Active contact between the Wa-jin (the ethnically Japanese, also known as Yamato-jin) and the Ainu of Ezogashima (now known as Hokkaidō) began in the 13th century. The Ainu formed a society of hunter-gatherers, surviving mainly by hunting and fishing. They followed a religion which was based on natural phenomena. During the Muromachi period (1336–1573), many Ainu were subject to Japanese rule. Disputes between the Japanese and Ainu developed into large-scale violence, known as Koshamain's Revolt, in 1456. Takeda Nobuhiro, the ancestor of the Matsumae clan, killed the Ainu leader Koshamain. In the 15th century, Manchuria in northern China came under Ming rule. As part of the Nurgan Regional Military Commission, the Ainu and Nivkh peoples of Sakhalin were subjugated and became tributaries to the Ming dynasty. Women in Sakhalin intermarried with Han Chinese Ming officials when the Ming took tribute from Sakhalin and the Amur river region. Due to Ming rule in Manchuria, Chinese cultural and religious influence such as Chinese New Year, the "Chinese god", and motifs such as dragons, spirals, and scrolls, spread among the Ainu, Nivkh, and Amur natives such as the Udeghes, Ulchis, and Nanais. These groups also adopted material goods and practices such as agriculture, husbandry, heating, iron cooking pots, silk, and cotton. During the Edo period (1601–1868), the Ainu, who controlled northern Hokkaido, became increasingly involved in trade with the Japanese, who controlled the southern portion of the island. The Tokugawa bakufu (feudal government) granted the Matsumae clan exclusive rights to trade with the Ainu in the northern part of the island. Later, the Matsumae began to lease out trading rights to Japanese merchants, and contact between Japanese and Ainu became more extensive. Throughout this period, Ainu groups competed with each other to import goods from the Japanese, and epidemic diseases such as smallpox reduced the population. Although the increased contact created by the trade between the Japanese and the Ainu contributed to greater mutual understanding, it also sometimes led to conflict, which occasionally intensified into violent Ainu revolts. The most important Ainu rebellion against Japanese authority was Shakushain's Revolt from 1669–1672. Another large-scale revolt by Ainu against Japanese rule was the Menashi-Kunashir Battle in 1789. However, throughout this period and thereafter, the Ainu-Japanese relationship continued to be marked more by trade and commercial interactions than by conflicts. From 1799 to 1806, the Tokugawa shogunate took direct control of southern Hokkaido. During this period, Ainu women were separated from their husbands and either subjected to rape or forcibly married to Japanese men. Meanwhile, Ainu men were deported to merchant subcontractors for five- and ten-year terms of service. Policies of family separation and assimilation, combined with the impact of smallpox, caused the Ainu population to drop significantly in the early 19th century. In the 18th century, there were 80,000 Ainu, but by 1868, there were only about 15,000 Ainu in Hokkaido, 2,000 in Sakhalin, and around 100 in the Kuril islands. Despite their growing influence in the area in the early 19th century as a result of these policies, the Tokugawa shogunate was unable to gain a monopoly on Ainu trade with those on the Asian mainland, even by the year 1853. Santan traders, a group comprised mostly of the Ulchi, Nanai, and Oroch peoples of the Amur River, commonly interacted with the Ainu people independent of the Japanese government, especially in the north part of Hokkaido. In addition to their trading ventures, Santan traders sometimes kidnapped or purchased Ainu women from Rishiri to become their wives. This further escalated Japan's presence in the area, as the Tokugawa shogunate believed a monopoly on Santan trade would better protect the Ainu people. Contrary to popular belief, it is now thought that the Ainu were not the first settlers of the island of Hokkaido. Archeological evidence suggests that ancient Japanese Jomon people inhabited Hokkaido early on, and the Ainu people may have only appeared after the 13th century. They likely migrated from more northern islands and what is now Far East Russia. Japanese annexation of Hokkaido In 1869, the imperial government established the Hokkaidō Development Commission as part of the Meiji Restoration. Researcher Katarina Sjöberg quotes Baba's 1890 account of the Japanese government's reasoning: ... The development of Japan's large northern island had several objectives: First, it was seen as a means to defend Japan from a rapidly developing and expansionist Russia. Second ... it offered a solution to the unemployment for the former samurai class ... Finally, development promised to yield the needed natural resources for a growing capitalist economy. As a result of the Treaty of Saint Petersburg (1875), the Kuril Islandsalong with their Ainu inhabitantscame under Japanese administration. In 1899, the Japanese government passed an act labelling the Ainu as "former aborigines", with the idea that they would assimilate. This resulted in the Japanese government taking the land where the Ainu people lived and placing it from then on under Japanese control. Also at this time, the Ainu were granted automatic Japanese citizenship, effectively denying them the status of an indigenous group. The Ainu went from being a relatively isolated group of people to having their land, language, religion and customs assimilated into those of the Japanese. Their land was distributed to the Yamato Japanese settlers to create and maintain farms in the model of Western industrial agriculture. It was known as "colonization" (拓殖) at the time, but later by the euphemism, "opening up undeveloped land" (). Additionally, factories like flour mills and beer breweries, along with mining practices, resulted in the creation of infrastructure such as roads and railway lines during a development period that lasted until 1904. During this time, the Ainu were ordered to cease religious practices such as animal sacrifice and the custom of tattooing. The same act applied to the native Ainu on Sakhalin after its annexation as the Karafuto Prefecture. Assimilation after annexation The Ainu have historically suffered from economic and social discrimination, as both the Japanese government and mainstream population regarded them as dirty and primitive barbarians. The majority of Ainu were forced to be petty laborers during the Meiji Restoration, which saw the introduction of Hokkaido into the Japanese Empire and the privatization of traditional Ainu lands. During the 19th and 20th centuries, the Japanese government denied the rights of the Ainu to their traditional cultural practices such as hunting, gathering, and speaking their native language. The legal denial of Ainu cultural practices mostly stemmed from the 1899 Hokkaido Former Aborigines Protection Act. This law and its associated policies were designed to fully integrate the Ainu into Japanese society while erasing Ainu culture and identity. The Ainu's position as manual laborers and their forced integration into larger Japanese society have led to discriminatory practices by the Japanese government that can still be felt today. Intermarriage between Japanese and Ainu was actively promoted by the Ainu to lessen the chances of discrimination against their offspring. As a result, many Ainu today are indistinguishable from their Japanese neighbors, but some Ainu-Japanese are interested in traditional Ainu culture. For example, Oki, born as a child of an Ainu father and a Japanese mother, became a musician who plays the traditional Ainu instrument . There are also many small towns in the southeastern or Hidaka region of Hokkaido where ethnic Ainu live, such as in Nibutani (). From the early 1870s, Christian missionary work was conducted amongst the Ainu. The Anglican Communion missionaries included the Rt Rev Philip Fyson, Bishop of Hokkaido, and the Rev John Batchelor. Batchelor wrote extensively in English about the beliefs and daily life of the Ainu in Yezo (or Ezo), and his publications are a source of photographs of the Japanese and Ainu close to the missions. Standard of living The discrimination and negative stereotypes assigned to the Ainu have manifested in lower levels of education, income, and participation in the economy as compared to their ethnically Japanese counterparts. The Ainu community in Hokkaido in 1993 received welfare payments at a 2.3 times higher ratethan that of Hokkaido as a whole. They also had an 8.9% lower enrollment rate from junior high school to high school and a 15.7% lower enrollment into college from high school. Due to this noticeable and growing gap, the Japanese government has been lobbied by activists to research the Ainu's standard of living nationwide. The Japanese government will provide ¥7 million (US$63,000), beginning in 2015, to conduct surveys nationwide on this matter. The Ainu and ethnic homogeneity in Japan The existence of the Ainu has challenged the notion of ethnic homogeneity in post-WWII Japan. After the demise of the multi-ethnic Empire of Japan in 1945, successive governments forged a single Japanese identity by advocating monoculturalism and denying the existence of more than one ethnic group in Japan. Following the United Nations Declaration on the Rights of Indigenous Peoples in 2007, Hokkaido politicians pressured the government to recognize Ainu rights. Prime Minister Fukuda Yasuo answered a parliamentary question on May 20, 2008 by stating,It is a historical fact that the Ainu are the precursors in the northern Japanese archipelago, in particular Hokkaido. The government acknowledges the Ainu to be an ethnic minority as it has maintained a unique cultural identity and having a unique language and religion.On June 6, 2008, the National Diet of Japan passed a non-binding, bipartisan resolution calling upon the government to recognize the Ainu as indigenous people. In 2019, eleven years after this resolution, the Diet finally passed an act recognizing the Ainu as an indigenous people of Japan. Despite this recognition of the Ainu as an ethnically distinct group, political figures in Japan continue to define ethnic homogeneity as key to overall Japanese national identity. For example, politician Tarō Asō notably claimed in 2020, “No other country but this one has lasted for as long as 2,000 years with one language, one ethnic group and one dynasty”. Origins The Ainu have often been thought to descend from the diverse Jōmon people who lived in northern Japan from the Jōmon period ( 14,000 to 300 BCE). One of their , or legends, tells that, "[T]he Ainu lived in this place a hundred thousand years before the Children of the Sun came". Recent research suggests that the historical Ainu culture originated from a merger of the Okhotsk culture with the Satsumon culture, thought to have derived from the diverse Jōmon-period cultures of the Japanese archipelago. The historical Ainu economy was based on farming, as well as on hunting, fishing, and gathering. According to researchers Lee and Hasegawa of Waseda University, the direct ancestors of the later Ainu people formed during the late Jōmon period from the combination of the local but diverse population of Hokkaido, long before the arrival of contemporary Yamato Japanese people. Lee and Hasegawa suggest that the Ainu language expanded from northern Hokkaido and may have originated from a relatively more recent Northeast Asian/Okhotsk population, who established themselves in northern Hokkaido and had a significant impact on the formation of Hokkaido's Jōmon culture. Linguist and historian Joran Smale similarly found that the Ainu language likely originated from the ancient Okhotsk people, which had strong cultural influence on the "Epi-Jōmon" of southern Hokkaido and northern Honshu, but that the Ainu people themselves formed from the combination of both ancient groups. Additionally, he notes that the historical distribution of Ainu dialects and their specific vocabulary correspond to the distribution of the maritime Okhotsk culture. A 2021 study confirmed that the Hokkaido Jōmon population formed from "Terminal Upper-Paleolithic people" (TUP people) indigenous to Northern Eurasia and from proper Jōmon people, who arrived from Honshu about 15,000 BCE. The Ainu, in turn, originated from the Hokkaido Epi-Jōmon and from the Okhotsk people in Hokkaido. Another study in 2021 analyzed the indigenous populations of northern Japan and the Russian Far East. They concluded that Siberia and northern Japan were populated by two distinct waves: Confusion with Emishi The claim that the ancient Emishi were Ainu has been largely disproved by current research, although it is still under dispute. The term "Emishi" in the Nara period (710-794) referred to people who lived in the Tohoku region and whose lifestyle and culture differed markedly from that of the Yamato people; it was originally a highly cultural and political concept with no racial distinction. From the mid-Heian period onward, Emishi who did not fall under the governance of the Yamato Kingship were singled out as northern Emishi. They began to be referred to as "Ezo" (Emishi). The first written reference to "Ezo," which is thought to be Ainu, can be found in Suwa Daimyōjin Ekotoba, which was written in 1356. Indeed, Ainu have lived in Sakhalin, the Kuril Islands, Hokkaido, and the northern Tohoku region since the 13th century. Thus, "Ezo = Ainu" is a concept that was accepted in the medieval and early modern periods, and it is not accurate to apply it to ancient Emishi as well. Caucasoid Theory Source: The Ainu Caucasian theory was proposed by Siebold, a physician and naturalist at the Dutch trading post in Nagasaki in the 19th century; he claimed that the Ainu were Caucasian (Caucasoid) and that the Ainu were a long-lost white people. Early European Ainu researchers considered the Ainu to be Caucasian because they were an ancient culture and based their lives on a lifestyle that could be compared to the Paleolithic period in Europe, i.e., gathering plants and hunting animals in the mountains and sea, and because their facial moats were deeper than those of the mainland Japanese. This theory was popular until the 1950s. Followers of the theory include French ethnologist Georges Montandon and P.Wilhelm Koppers of the Viennese school of historical ethnography. Genetics Paternal lineages Genetic testing has shown that the Ainu belong mainly to Y-DNA haplogroup D-M55 (D1a2) and C-M217. Y-DNA haplogroup D-M55 is found throughout the Japanese archipelago, but with very high frequencies among the Ainu of Hokkaido in the far north, and to a lesser extent among the Ryukyuans in the Ryukyu Islands of the far south. Recently it was confirmed that the Japanese branch of haplogroup D-M55 is distinct and isolated from other D-branches by more than 53,000 years. Several studies (Shinoda 2008) suggest that haplogroup D originated somewhere in Central Asia. According to Hammer et al., the ancestral haplogroup D originated between Tibet and the Altai mountains. They suggest that there were multiple migration waves into Eastern Eurasia. A 2004 study suggests that fourteen out of sixteen Ainu (or 87.5%) belong to YAP+ lineages (Y-haplogroups D-M55* and D-M125), with 13/16 (81.3%) belonging to D-M55 and 1/16 (6.25%) belonging to D-M125 (the latter is much more typical of mainland Japanese males than Ainu). The presence of haplogroup C-M217 in the Ainu suggests a degree of genetic admixture with the Nivkhs. Two out of a sample of sixteen Ainu men (or 12.5%) belong to C-M217*, which is the most common Y chromosome haplogroup among the indigenous populations of Siberia and Mongolia. Hammer et al. (2006) found that one in a sample of four (25%) Ainu men belonged to haplogroup C-M217. Maternal lineages An analysis of a sample of 51 modern Ainu showed their mtDNA lineages consist mainly of haplogroup Y ( = 21.6% according to Tanaka et al. (2004), or = 19.6% according to Adachi et al. (2009), who cite Tajima et al. (2004)), haplogroup D ( = 17.6%, particularly D4 (xD1)), haplogroup M7a ( = 15.7%), and haplogroup G1 ( = 15.7%). Other mtDNA haplogroups detected in this sample include A (), M7b2 (), N9b (), B4f (), F1b (), and M9a (). Most of the remaining individuals in this sample have been classified definitively only as belonging to macro-haplogroup M. According to Sato et al. (2009), who studied the mtDNA of the same sample of modern Ainu (=51), the major haplogroups of the Ainu are N9 ( = 27.5%, including Y and N9 (xY)), D ( = 23.5%, including D (xD5) and D5), M7 ( = 19.6%), and G ( = 19.6%, including G1 and G2); the minor haplogroups are A (), B (), F (), and M (xM7, M8, CZ, D, G) (). Studies published in 2004 and 2007 found the combined frequency of M7a and N9b observed in Jōmons, which are believed by some to be Jōmon maternal contributions, to be 28% in Okinawans ( M7a1, M7a (xM7a1), N9b), 17.6% in Ainu ( M7a (xM7a1), N9b), and from 10% ( M7a (xM7a1), M7a1, N9b) to 17% ( M7a1, M7a (xM7a1)) in mainstream Japanese. In addition, haplogroups D4, D5, M7b, M9a, M10, G, A, B, and F have been found in Jōmon people as well. These mtDNA haplogroups were found in various Jōmon samples and in some modern Japanese people. A study by Kanazawa-Kiriyama et al. (2013) about mitochondrial haplogroups found that the Ainu people (including samples from Hokkaido and Tōhoku) have a high frequency of N9b, which is also found among Udege people of eastern Siberia and is more common among Europeans than Eastern Asians. The N9b haplogroup is also notably absent from geographically close Kantō Jōmon period samples, which have a higher frequency of M7a7, commonly found among East and Southeast Asians. According to the authors, these results add to the internal-diversity observed among the Jōmon period population and show that a significant percentage of the Jōmon period people had ancestry from a Northeast Asian source population; this is suggested to be the source of the proto-Ainu language and culture, which is not detected in samples from Kantō. A study by Adachi et al. 2018 concluded, Our results suggest that the Ainu were formed from the Hokkaido Jomon people, but subsequently underwent considerable admixture with adjacent populations. The present study strongly recommends revision of the widely accepted dual-structure model for the population history of the Japanese, in which the Ainu are assumed to be the direct descendants of the Jomon people. Autosomal DNA A 2004 reevaluation of cranial traits suggests that the Ainu resemble the Okhotsk more than they do the Jōmon, though there are large variations. This agrees with the hypothesis of Ainu as a merger of Okhotsk and Satsumon populations, referenced earlier. Similarly, more recent studies link the Ainu to the local Hokkaido Jōmon period samples, such as the 3,800 year old Rebun sample. Genetic analyses of HLA I and HLA II genes as well as HLA-A, B, and DRB1 gene frequencies link the Ainu to indigenous peoples of the Americas. The genetics of a variety of Asian groups show Ainu and Native Americans can both be traced back to Paleolithic groups in Siberia. Hideo Matsumoto (2009) suggested, based on immunoglobulin analyses, that the Ainu (and Jōmon) have a Siberian origin. Compared with other East Asian populations, the Ainu have the highest amount of Siberian immunoglobulin components, higher than mainland Japanese people. A 2012 genetic study revealed that the closest known genetic relatives of the Ainu are the Ryukyuan people, followed by the Yamato people and Nivkh. A genetic analysis in 2016 showed that although the Ainu have some genetic relations to Yamato Japanese people and Eastern Siberians (especially Itelmens and Chukchis), they are not directly related to any modern ethnic group. Further, the study detected genetic contributions from the Ainu to populations around the Sea of Okhotsk, but no genetic influence on the Ainu themselves. According to the study, the Ainu-like genetic contribution in the Ulch people is about 17.8% or 13.5%, and about 27.2% in the Nivkhs. The study also disproved the idea of a relation to Andamanese or Tibetans. Instead, it presented evidence of gene flow between the Ainu and "lowland East Asian farmer populations" (represented in the study by the Ami and Atayal in Taiwan and the Dai and Lahu in Mainland East Asia). A genetic study in 2016 of historical Ainu samples from southern Sakhalin (8) and northern Hokkaido (4) found that the samples were closely related to the ancient Okhotsk people followed by Ainu samples from southern Hokkaido, pointing to some substructure among the ancient Ainu population. Recent autosomal evidence suggests that the Ainu derive a majority of their ancestry from the local Jōmon period people of Hokkaido. A 2019 study by Gakuhari et al., analyzing ancient Jōmon remains, found about 79.3% Hokkaido Jōmon ancestry in the Ainu. Another 2019 study, by Kanazawa-Kiriyama et al., found about 66% Hokkaido Jōmon ancestry. A genetic study in 2021, by Sato et al., found that the Ainu probably derived about ~49% of their ancestry from the local Hokkaido Jōmon, ~22% from the Okhotsk (represented by Chukotko-Kamchatkan peoples), and ~29% from the Yamato Japanese. Population genomic data from various Jōmon period samples show that their main ancestry component split from other East Asian people at about 15,000 BCE. Following their migration into the Japanese archipelago, they became largely isolated from outside geneflow. However, geneflow from Ancient North Eurasians towards the Jōmon period population was detected along a North to South cline, with a peak among Hokkaido Jōmon. Physical description Physical differences can be observed between various Ainu subgroups and clans. According to anthropologist Emiko Ohnuki-Tierney, …features considered to distinguish the Ainu from other populations in the area, especially the Japanese, are the tendency to dolichocephaly (long-headedness), a well developed glabella, a deeply depressed nose root, widely projecting cheekbones, a comparatively massive mandible (lower jaw), and an edge to edge bite,as well as more body and facial hair. Many Ainu men have abundant wavy hair and often wear long beards. The book Ainu Life and Legends by author Kyōsuke Kindaichi (published by the Japanese Tourist Board in 1942) contains a physical description of Ainu: Many have wavy hair, but some straight black hair. Very few of them have wavy brownish hair. Their skins are generally reported to be light brown. But this is due to the fact that they labor on the sea and in briny winds all day. Old people who have long desisted from their outdoor work are often found to be as white as western men. The Ainu have broad faces, beetling eyebrows, and sometimes large sunken eyes, which are generally horizontal and of the so-called European type. Eyes of the Mongolian type are rare but occasionally found among them. A comparative study by Brace et al. (2001) argues for a closer morphological relation of the Ainu with prehistoric and living European groups, compared with other East Asian groups. The authors concluded that some of their ancestors may have descended from a population, dubbed "Eurasians" by the authors, that moved into northern Eurasia and eastwards in the Late Pleistocene, significantly predating the expansion of the modern core population of East Asia from Mainland Southeast Asia. Overall anthropometric characteristics and cranial features group the Ainu people most closely together with Native Americans, especially Eskimos, followed by other East Asians, rather than with Europeans. A study by Kura et al. (2014) based on cranial and genetic characteristics suggests a mostly Northern Asian ("Arctic") origin for Ainu people. Thus, despite the Ainu sharing certain morphological similarities with Caucasoid populations, the Ainu are essentially of North Asiatic origin. Genetic evidence support a closer relation to Paleo-Siberian Arctic populations, such as the Chukchi people. A study by Omoto has shown that the Ainu are more closely related to other East Asian groups (previously mentioned as "Mongoloid") than to Western Eurasian groups (formerly termed "Caucasian"), on the basis of fingerprints and dental morphology. A study by Jinam et al. (2015), using genome-wide SNP data comparison, found that some Ainu carry two specific gene alleles associated with facial features commonly found among Europeans but generally absent among Japanese people and other East Asians. Military service Russo-Japanese War Ainu men were first recruited into the Japanese military in 1898. Sixty-four Ainu served in the Russo-Japanese War (1904–1905), eight of whom died in battle or from illness contracted during military service. Two received the Order of the Golden Kite, granted for bravery, leadership or command in battle. Second World War During World War II, Australian troops engaged in the hard-fought Kokoda Track campaign (July–November 1942) in New Guinea were surprised by the physique and fighting prowess of the first Japanese troops they encountered. One medical officer recounted, Language In 2008, the news block WorldWatch gave an estimate of fewer than 100 remaining speakers of the Ainu language. In 1993, linguist Alexander Vovin placed the number at fewer than 15 speakers, characterising the language as "almost extinct". Because so few present-day speakers are left, study of the Ainu language is limited and is based largely on historical research. Historically, the status of the Ainu language was rather high and was used by early Russian and Japanese administrative officials to communicate with each other and with the Ainu people. Despite the small number of native speakers of Ainu, there is an active movement to revitalize the language, mainly in Hokkaido but also elsewhere, such as in Kanto. Ainu oral literature has been documented both in hopes of safeguarding it for future generations and for using it as a teaching tool for language learners. As of 2011, there were an increasing number of second-language learners, especially in Hokkaido. The resurgence of Ainu culture and language is in large part due to the pioneering efforts of the late Ainu folklorist, activist, and former Diet member Shigeru Kayano, himself a native speaker. He first opened an Ainu language school in 1987 funded by Ainu Kyokai. Although some researchers have attempted to show that the Ainu and Japanese languages are related, modern scholars have rejected the idea that the relationship goes beyond contact, such as the mutual borrowing of words. No attempt to show a relationship with Ainu to any other language has gained wide acceptance, and linguists currently classify Ainu as a language isolate. Most Ainu people speak either Japanese or Russian. The Ainu language has no indigenous system of writing and has historically been transliterated using Japanese kana or Russian Cyrillic. , it was typically written either in katakana or in the Latin alphabet. Many of the Ainu dialects, especially those from different extremities of Hokkaido, are not mutually intelligible. However, all Ainu speakers understand the classic Ainu language of the Yukar, a form of Ainu epic. Without a writing system, the Ainu were masters of narration, with the Yukar and other forms of narration such as Uepeker (Uwepeker) tales being committed to memory and related at gatherings which often lasted many hours or even days. Concepts expressed with prepositions in English, such as to, from, by, in, and at, appear as postpositional forms in Ainu. Whereas prepositions come before the word they modify, postpositions come after it. A single sentence in Ainu can comprise many added or agglutinated sounds or affixes that represent nouns or ideas. Culture Traditional Ainu culture is quite different from Japanese culture. According to Tanaka Sakurako from the University of British Columbia, the Ainu culture can be included into a wider "northern circumpacific region", referring to various indigenous cultures of Northeast Asia and "beyond the Bering Strait" in North America. Never shaving after a certain age, the men have full beards and moustaches. Men and women alike cut their hair level with the shoulders at the sides of the head, trimmed semi-circularly behind. The women tattoo () their mouths, and sometimes their forearms. The mouth tattoos start at a young age with a small spot on the upper lip, gradually increasing with size. The soot deposited on a pot hung over a fire of birch bark is used for colour. Traditional Ainu dress consists of a robe spun from the inner bark of the elm tree, called attusi or attush. Various styles are made, which consist generally of a simple short robe with straight sleeves, folded around the body and tied with a band about the waist. The sleeves end at the wrist or forearm, and the length generally is to the calves. Women also wear an undergarment of Japanese cloth. In winter, the skins of animals are worn, with leggings of deerskin and, in Sakhalin, boots made from the skin of dogs or salmon. Ainu culture considers earrings, traditionally made from grapevines, to be gender neutral. Women also wear a beaded necklace called a tamasay. Modern craftswomen weave and embroider traditional garments that command very high prices. Traditional Ainu cuisine consists of the meat of bear, fox, wolf, badger, ox, and horse, as well as fish, fowl, millet, vegetables, herbs, and roots. They traditionally never eat raw fish or meat, always boiling or roasting it. Their traditional habitations are reed-thatched huts, the largest about square, without partitions and having a fireplace in the center. There is no chimney, only a hole at the angle of the roof. One window sits on the eastern side, along with two doors. The house of the village head is used as a public meeting place when one is needed. Another kind of traditional Ainu house is called chise. Instead of using furniture, Ainu traditionally would sit on the floor, which would be covered with two layers of mats, one of rush, the other of water flag (Iris pseudacorus), a water plant with long sword-shaped leaves. For beds, planks are spread, and mats are hung around them on poles, employing skins for coverlets. Men use chopsticks when eating, and women use wooden spoons. Ainu cuisine is not commonly eaten outside Ainu communities. Only a few restaurants in Japan serve traditional Ainu dishes, mainly in Tokyo and Hokkaido. The functions of judgeship were not entrusted to chiefs. Rather, an indefinite number of a community's members sat in judgment upon its criminals. Capital punishment did not exist, nor did the community resort to imprisonment. Beating was considered a sufficient and final penalty. However, in the case of murder, the nose and ears of the culprit were cut off, or the tendons of his feet severed. Hunting The Ainu traditionally hunt from late autumn to early summer. The reasons for this are in part because in late autumn, plant gathering, salmon fishing, and other activities of securing food come to an end, and hunters readily find game in fields and mountains in which plants withered. A village typically possesses a hunting ground of its own, or several villages use a joint hunting territory, called an iwor. Heavy penalties were imposed on any outsiders trespassing on such hunting grounds or joint hunting territory. The Ainu traditionally hunt Ussuri brown bears, Asian black bears, Ezo deer (a subspecies of sika deer), hares, red foxes, Japanese raccoon dogs, and other animals. Ezo deer are a particularly important food resource for the Ainu, as are salmon. They also hunt sea eagles, such as white-tailed sea eagles, along with ravens and other birds. The Ainu hunted eagles for their tail feathers, which they used in trade with the Japanese. The Ainu hunted with arrows and spears with poison-coated points. They obtained the poison, called surku, from the roots and stalks of aconites. The recipe for this poison was a household secret that differed from family to family. They enhanced the poison with mixtures of roots and stalks of dog's bane, boiled juice of Mekuragumo (a type of harvestman), Matsumomushi (Notonecta triguttata, a species of backswimmer), tobacco, and other ingredients. They also used stingray stingers or skin covering stingers. They traditionally hunt in groups with dogs. Before hunting, particularly for bear and similar animals, they may pray to the Kamuy-huci, the house guardian goddess, to convey their wishes for a large catch, and to the god of mountains for safe hunting. The Ainu traditionally hunt bears during the spring thaw. At that time, bears are weak because they haven't eaten during their long hibernation. Ainu hunters catch hibernating bears or bears that have just left hibernation dens. When they hunt bear in summer, they use a spring trap loaded with an arrow, called an amappo. The Ainu usually use arrows to hunt deer. Also, they drive deer into a river or sea and shoot them with arrows. For a large catch, a whole village would drive a herd of deer off a cliff and club them to death. Fishing Fishing is important to Ainu culture. They largely catch trout in summer and salmon in autumn, as well as ito (Japanese huchen), dace, and other fish. Spears called marek" were often used. Other methods were "tesh" fishing, "uray" fishing, and "rawomap" fishing. Many villages were built near rivers or along the coast. Each village or individual had a definite river fishing territory. Outsiders could not freely fish there and needed to ask the owner. Japanese lacquerware Japanese lacquerware was used in everyday life as tableware and often used in ceremonies (ritual utensils), such as the cups used to offer alcohol when praying to the kamui. Lacquerware was often treated as treasure, and it was also used as containers for storing other treasures. One of the characteristics of Ainu lacquerware is that it is almost entirely imported from the south of Honshu. Some pieces may have been lacquered in Matsumae in southern Hokkaido, but since the technique of lacquering is from Honshu, lacquerware can be considered an introduced item among Ainu folk implements. There are examples of spatulas and other objects used by the Ainu people for ceremonial purposes that remain in clusters of the same size, and some are specifically produced for trading with the Ainu. Ornaments Traditionally, Ainu men wear a crown called a sapanpe for important ceremonies. Sapanpe are made from wood fibre with bundles of partially shaved wood. The crown has wooden figures of animal gods and other ornaments on its centre. Men carry an emush (ceremonial sword) secured by an emush at strap to their shoulders. Ainu women traditionally wear matanpushi, embroidered headbands, and ninkari, metal earrings with balls. Matanpushi and ninkari were originally also worn by men. Furthermore, aprons called maidari now are a part of women's formal clothes. However, some old documents state that men wore maidari. Women sometimes wear a bracelet called a tekunkani. Women may wear a necklace called a rektunpe, a long, narrow strip of cloth with metal plaques. They may also wear a necklace that reaches the breast called a tamasay or shitoki, usually made from glass balls. Some glass balls came from trade with the Asian continent. The Ainu also obtained glass balls secretly made by the Matsumae clan. Housing A village is called a kotan in the Ainu language. Kotan were traditionally located in river basins and along seashores where food was readily available, particularly in the basins of rivers through which salmon traveled upstream. In early modern times, the Ainu people were forced to labor at Japanese fishing grounds . Ainu kotan were also forced to relocate to near fishing grounds, so that the Japanese could secure a labor force. When the Japanese moved to other fishing grounds, Ainu kotan were forced to accompany them. As a result, the traditional kotan disappeared, and large villages of several dozen families were formed around the fishing grounds. Cise or cisey (houses) in a kotan are made of cogon grass, bamboo grass, bark, etc. The length lays east to west or parallel to a river. A cise is about seven by five meters, with an entrance at the west end that also serves as a storeroom. A cise has three windows, including the rorun-puyar, a window located on the side facing the entrance (i.e., on the east side), through which gods enter and leave and ceremonial tools are taken in and out. The Ainu regard this window as sacred and are told never to look in through it. A cise has a fireplace near the entrance. A husband and wife would traditionally sit on the fireplace's left side (called shiso). Children and guests would sit facing them on the fireplace's right side (called harkiso). The cise has a platform for valuables called iyoykir behind the shiso. Ainu place sintoko (hokai) and ikayop (quivers) there. Traditions The Ainu people have various types of marriage. A child is traditionally promised in marriage by arrangement between their parents and the parents of their betrothed, or by a go-between. When the betrothed reach a marriageable age, they are told who their spouse is to be. There are also traditional marriages based on mutual consent of both sexes. In some areas, when a daughter reaches a marriageable age, her parents allow her to live in a small room called a tunpu, annexed to the southern wall of the house. The parents choose her husband from the men who visit her. The age of marriage is 17 to 18 years of age for men and 15 to 16 years of age for women, who are traditionally tattooed. At these ages, both sexes are regarded as adults. When a man proposes to a woman in traditional fashion, he visits her house, and she hands him a full bowl of rice. He then eats half of the rice and returns the rest to her. If the woman eats the remaining rice, she accepts his proposal. If she does not and instead puts it beside her, she rejects his proposal. When a man and woman become engaged or learn that their engagement has been arranged, they exchange gifts. The man sends her a small engraved knife, a workbox, a spool, and other gifts. She sends him embroidered clothes, coverings for the back of the hand, leggings, and other handmade clothes. The worn-out fabric of old clothing is used for baby clothes, because soft cloth is good for their skin . Additionally, worn-out material was thought to protect babies from the gods of illness and demons, due to these entities's abhorrence of dirty things. Before a baby is breast-fed, they are given a decoction of the endodermis of an alder and the roots of butterburs to discharge impurities. Children are raised almost naked until about the ages of four to five. Even when they wear clothes, they do not wear belts and leave the front of their clothes open. Subsequently, they wear bark clothes without patterns, such as attush, until coming of age. Ainu babies traditionally are not given permanent names when they are born. Rather, they are called by various temporary names until the age of two or three. Newborn babies are named ayay ("a baby's crying"), shipo, poyshi ("small excrement"), and shion ("old excrement"). Their tentative names have a portion meaning "excrement" or "old things" to ward off the demon of ill-health. Some children are named based on their behaviour or habits; others are named after notable events or after parents' wishes for their future . When children are named, they are never given the same names as others. Men traditionally wear loincloths and have their hair dressed properly for the first time at age 15–16. Women are also considered adults at the age of 15–16. They traditionally wear underclothes called mour and have their hair dressed properly, with wound waistcloths called raunkut and ponkut around their bodies. When women reached age 12–13, the lips, hands, and arms were traditionally tattooed. When they reached age 15–16, their tattoos would be completed, indicating their qualification for marriage. Religion The Ainu are traditionally animists, believing that everything in nature has a (spirit or god) on the inside. The most important include , goddess of the hearth; , god of bears and mountains; and , god of the sea, fishing, and marine animals. is regarded as the creator of the world in the Ainu religion. Ainu craftsmen, and the Ainu as a whole, traditionally believed that "anything made with deep sincerity was imbued with spirit and also became a [kamuy]" They also held the belief that ancestors and the power of the family could be invoked through certain patterns in art to protect them from malignant influences. The Ainu religion has no priests by profession. Instead, the village chief performs whatever religious ceremonies are necessary. Ceremonies are confined to making libations of , saying prayers, and offering willow sticks with wooden shavings attached to them. These sticks are called (singular) and (plural). They are placed on an altar used to "send back" the spirits of killed animals. Ainu ceremonies for sending back bears are called . The Ainu people give thanks to the gods before eating and pray to the deity of fire in time of sickness. Traditional Ainu belief holds that their spirits are immortal, and that their spirits will be rewarded hereafter by ascending to (Land of the Gods). The Ainu are part of a larger collective of indigenous people who practice "arctolatry" or bear worship. The Ainu believe that the bear holds particular importance as 's chosen method of delivering the gift of the bear's hide and meat to humans. John Batchelor reported that the Ainu view the world as being a spherical ocean on which float many islands, a view based on the fact that the sun rises in the east and sets in the west. He wrote that they believe the world rests on the back of a large fish, which when it moves causes earthquakes. Ainu assimilated into mainstream Japanese society have adopted Buddhism and Shintō; some northern Ainu were converted as members of the Russian Orthodox Church. Regarding Ainu communities in () and other areas that fall within the Russian sphere of cultural influence, there have been a few churches constructed, and some Ainu are reported to have accepted the Christian faith. There have also been reports that the Russian Orthodox Church has performed some missionary projects in the Sakhalin Ainu community. However, there are only reports of a few conversions to Christianity. Converts have been scorned as (Russian Ainu) by other members of the Ainu community. Reports indicate that many Ainu have kept their faith in their traditional deities . According to a 2012 survey conducted by Hokkaidō University, a high percentage of Ainu are members of their household family religion, which is Buddhism (especially Buddhism). However, it is noted that similar to the Japanese religious consciousness, there is not a strong feeling of identification with a particular religion, with Buddhist and traditional beliefs both being part of their daily life culture. Rituals Ainu religion consists of a pantheistic animist structure, in which the world is founded on interactions between humans and Kamuy. Within all living beings, natural forces, and objects there is a Ramat (sacred life force) that is an extension of a greater Kamuy. Kamuy are gods or spirits that choose to visit the human world in temporary physical forms, both animate and inanimate, within the human world. Once the physical vessel dies or breaks, the Ramat returns to the Kamuy and leaves its physical form behind as a gift to the humans. If the humans treated the vessel and Kamuy with respect and gratitude, then the Kamuy would return out of delight for the human world. Due to this interaction, the Ainu lived with deep reverence for nature and all objects and phenomena in hopes that the Kamuy would return. The Ainu believed that the Kamuy granted objects, skills, and knowledge to utilize tools to humans, and thus deserve respect and worship. Daily practices included the moderation of hunting, gathering, and harvesting to not disturb the Kamuy. Often, the Ainu would make offerings of an Inau (sacred shaved stick), which usually consisted of whittled willow tree wood with decorative shavings still attached, and wine to the Kamuy. They also built sacred altars called Nusa (fence-like row of taller Inau decorated with bear skulls) separated from the main house and raised storehouses and often observed outdoor rituals. The Ainu people observed a ritual that would return Kamuy, a divine or spiritual being in Ainu mythology, to the spiritual realm. This Kamuy sending ritual was called Omante. A bear cub would be captured alive during hibernation and raised in the village as a child. Women would care for the cubs as if they were their children, sometimes even nursing them if needed. Once the bears reached maturity, they would hold another ritual every 5 to 10 years called Iomante (sometimes Iyomante). People from neighboring villages were invited to help celebrate this ritual, in which members of the village would send the bear back to the realm of spirits by gathering around it in a central area and using special ceremonial arrows to shoot it. Afterwards, they would eat the meat. However, in 1955 this ritual was outlawed as animal cruelty. In 2007, it became exempt due to its cultural significance to The Ainu people. The ritual has since been modified; it is now an annual festival. The festival begins at sundown with a torch parade. A play is then performed, and this is followed by music and dancing. Other rituals were performed for things such as food and illness. The Ainu had a ritual to welcome the salmon, praying for a big catch, and another to thank the salmon at the end of the season. There was also a ritual for warding off Kamuy that would bring epidemics, using strong-smelling herbs placed in doorways, windows, and gardens in order to turn away epidemic Kamuy. Similarly to many religions, the Ainu also gave prayers and offerings to their ancestors in the spirit world or afterlife. They would also pray to the fire Kamuy to deliver their offerings of broken snacks and fruit as well as tobacco(Ainu, Everyculture). Dancing in Rituals Traditional dances are performed at ceremonies and banquets. Dancing is a part of the newly organized cultural festivals, and it is even done privately in daily life. Ainu traditional dances often involve large circles of dancers, and sometimes there are onlookers that sing without musical instruments. In rituals these dances are intimate; they involve the calls and movements of animals and/or insects. Some, like the sword and bow dances, are rituals that were used to worship and give thanks for nature. This was to thank deities that they believed were in their surroundings. there was also a dance in Iomante that mimicked the movements of a living bear. However, some dances are improvised and meant just for entertainment. Overall Ainu traditional dancing reinforced their connection to nature, the religious world, and provided a link to other arctic cultures. Funerals Funerals included prayers & offerings to the fire kamuy, as well as verse laments expressing wishes for a smooth journey to the next world. The items that were to be buried with the dead were first broken or cracked to allow spirits to be released and travel to the afterlife together. Sometimes a burial would be followed by burning the residence of the dead. In the event of an unnatural death, there would be a speech raging against the gods. In the afterlife, recognized ancestral spirits moved through and influenced the world, though neglected spirits would return to the living world and cause misfortune. Prosperity of family in the afterlife would depend on prayers and offerings left by living descendants; this often led to Ainu parents teaching their children to look after them in the afterlife (Ainu, Everyculture). Institutions Most Hokkaidō Ainu, and some other Ainu, are members of an umbrella group called the Hokkaido Ainu Association. The organization changed its name to Hokkaidō Utari Association in 1961, due to the fact that the word Ainu was often used in a derogatory manner by the non-Ainu ethnic Japanese. It was changed back to the Hokkaido Ainu Association in 2009 after the passing of the new law regarding the Ainu. The organization was originally controlled by the government to speed Ainu assimilation and integration into the Japanese nation-state. It now is run exclusively by Ainu and operates mostly independently of the government. Other key institutions include The Foundation for Research and Promotion of Ainu Culture (FRPAC), established by the Japanese government after enactment of the Ainu Culture Law in 1997; the Hokkaidō University Center for Ainu and Indigenous Studies established in 2007; and various museums and cultural centers. Ainu people living in Tokyo have also developed a vibrant political and cultural community. Since late 2011, the Ainu have developed cultural exchange and cooperation with the Sámi people of northern Europe. Both the Sámi and the Ainu participate in the organization for Arctic indigenous peoples and the Sámi research office in Lapland (Finland). Currently, there are several Ainu museums and cultural parks. The most famous are: National Ainu Museum Kawamura Kaneto Ainu museum Ainu Kotan Ainu folklore museum Hokkaido Museum of Northern Peoples Ethnic rights Legal action On 27 March, 1997, the Sapporo District Court decided a landmark case that, for the first time in Japanese history, recognized the right of the Ainu people to enjoy their distinct culture and traditions. The case arose because of a 1978 government plan to build two dams in the Saru River watershed in southern Hokkaidō. The dams were part of a series of development projects under the Second National Development Plan that were intended to industrialize the north of Japan. The planned location for one of the dams was across the valley floor near Nibutani village, the home of a large community of Ainu people and an important center of Ainu culture and history. When the government commenced construction on the dam in the early 1980s, two Ainu landowners refused to agree to the expropriation of their property. These landowners were Kaizawa Tadashi and Kayano Shigeru—well-known and important leaders in the Ainu community. After Kaizawa and Kayano declined to sell their land, the Hokkaidō Development Bureau applied for and was subsequently granted a Project Authorization, which required the men to vacate their land. When their appeal of the Authorization was denied, Kayano and Kaizawa's son Koichi (Kaizawa died in 1992) filed suit against the Hokkaidō Development Bureau. The final decision denied the relief sought by the plaintiffs for pragmatic reasons (the dam was already in place), but the decision was nonetheless heralded as a landmark victory for the Ainu people. Nearly all of the plaintiffs' claims were recognized. Moreover, the decision marked the first time Japanese case law acknowledged the Ainu as an indigenous people and contemplated the responsibility of the Japanese nation to the indigenous people within its borders. The decision included broad fact-finding that underscored the long history of the oppression of the Ainu people by Japan's majority, referred to as wajin in the case and discussions about the case. The decision was issued on March 27, 1997. Because of the broad implications for Ainu rights, the plaintiffs decided not to appeal the decision, which became final two weeks later. After the decision was issued, on 8 May, 1997, the Diet passed the Ainu Culture Law and repealed the Ainu Protection Act—the 1899 law that had been the vehicle of Ainu oppression for almost one hundred years. While the Ainu Culture Law has been widely criticized for its shortcomings, the shift that it represents in Japan's view of the Ainu people is a testament to the importance of the Nibutani decision. In 2007, the 'Cultural Landscape along the Sarugawa River resulting from Ainu Tradition and Modern Settlement' was designated an Important Cultural Landscape of Japan. A later action seeking restoration of Ainu assets held in trust by the Japanese Government was dismissed in 2008. Governmental bodies on Ainu affairs There is no single government body to coordinate Ainu affairs. Rather, various advisory boards are set up by the Hokkaido government to advise on specific matters. One such committee operated in the late 1990s, and its work resulted in the . This panel was criticized for including no Ainu members. In 2006, another panel was established, which notably included an Ainu member for the first time. It completed its work in 2008 issuing a major report that included an extensive historical record and called for substantial government policy changes towards the Ainu. Formation of Ainu political party On 21 January, 2012, the was founded after a group of Ainu activists in Hokkaidō had announced the formation of a political party for the Ainu on 30 October, 2011. The Ainu Association of Hokkaidō reported that Kayano Shiro, the son of the former Ainu leader Kayano Shigeru, would head the party. Their aim is to contribute to the realization of a multicultural and multiethnic society in Japan, along with rights for the Ainu. Official promotion The "2019 Ainu act" simplified procedures for obtaining various permissions from authorities in regards to the traditional lifestyle of the Ainu and nurture the identity and cultures of the Ainu without defining the ethnic group by blood lineage. On 12 July, 2020, the National Ainu Museum was opened. It had originally been scheduled to open on 24 April, 2020, prior to the Tokyo Olympic and Paralympic Games scheduled in the same year, in Shiraoi, Hokkaidō. The park was planned to be a base for the protection and promotion of Ainu people, culture, and language. The museum promotes the culture and habits of the Ainu people who are the original inhabitants of Hokkaidō. Upopoy in Ainu language means "singing in a large group". The National Ainu Museum building has images and videos exhibiting the history and daily life of the Ainu. The Ainu cultural contribution is also recognised by a UNESCO listing, in consequence of a UNESCO decision to list non-physical cultural assets, including songs and dancing. In July 2023, it was reported that a group of Ainu from Hokkaido was suing the government to reclaim the right of salmon river fishing. This has been outlawed for a century, except for an exemption of a limited number of salmon for ceremonial purposes. The group claimed the Japanese government did not abide by the 2007 United Nations Declaration on the Rights of Indigenous People, which it had signed. Situation in Russia As a result of the Treaty of Saint Petersburg (1875), the Kuril Islands – along with their Ainu inhabitants – came under Japanese administration. A total of 83 North Kuril Ainu arrived in Petropavlovsk-Kamchatsky on September 18, 1877, after they decided to remain under Russian rule. They refused the offer by Russian officials to move to new reservations in the Commander Islands. An agreement was reached in 1881, and the Ainu decided to settle in the village of Yavin. In March 1881, the group left Petropavlovsk and started the journey towards Yavin on foot. Four months later they arrived at their new homes. Another village, Golygino, was founded later. Under Soviet rule, both the villages were forced to disband, and residents were moved to the Russian-dominated Zaporozhye rural settlement in Ust-Bolsheretsky Raion. As a result of intermarriage, the three ethnic groups assimilated to form the Kamchadal community. In 1953, K. Omelchenko, the minister for the protection of military and state secrets in the USSR, banned the press from publishing any more information on the Ainu living in the USSR. This order was revoked after two decades. , the North Kuril Ainu of Zaporozhye form the largest Ainu subgroup in Russia. The Nakamura clan (South Kuril Ainu on their paternal side), the smallest group, numbers just six people residing in Petropavlovsk. On Sakhalin island, a few dozen people identify themselves as Sakhalin Ainu, but many more with partial Ainu ancestry do not acknowledge it. Most of the 888 Japanese people living in Russia (2010 Census) are of mixed Japanese–Ainu ancestry, although they do not acknowledge it (full Japanese ancestry gives them the right of visa-free entry to Japan.) Similarly, no one identifies themselves as Amur Valley Ainu, although people with partial descent live in Khabarovsk. There is no evidence of living descendants of the Kamchatka Ainu. In the 2010 Census of Russia, nearly 100 people tried to register themselves as ethnic Ainu in the village, but the governing council of Kamchatka Krai rejected their claim and enrolled them as ethnic Kamchadal. In 2011, the leader of the Ainu community in Kamchatka, Alexei Vladimirovich Nakamura, requested that Vladimir Ilyukhin (Governor of Kamchatka) and Boris Nevzorov (Chairman of the State Duma) include the Ainu in the central list of the Indigenous small-numbered peoples of the North, Siberia and the Far East. This request was also denied. Ethnic Ainu living in Sakhalin Oblast and Khabarovsk Krai are not organized politically. According to Alexei Nakamura, only 205 Ainu live in Russia (up from just 12 people who self-identified as Ainu in 2008). They, along with the Kurile Kamchadals (Itelmen of Kuril islands), are fighting for official recognition. Since the Ainu are not recognized in the official list of the peoples living in Russia, they are counted as people without nationality, as ethnic Russians, or as Kamchadal. The Ainu have emphasized that they were the natives of the Kuril islands, and that the Japanese and Russians were both invaders. In 2004, the small Ainu community living in Russia in Kamchatka Krai wrote a letter to Vladimir Putin, urging him to reconsider any move to award the Southern Kuril Islands to Japan. In the letter they blamed the Japanese, the Tsarist Russians, and the Soviets for crimes against the Ainu such as killings and assimilation; they also urged him to recognize the Japanese genocide against the Ainu people. This proposal was rejected. , both the Kuril Ainu and Kuril Kamchadal ethnic groups lack the fishing and hunting rights which the Russian government grants to the indigenous tribal communities of the far north. In March 2017, Alexei Nakamura revealed that plans for an Ainu village to be created in Petropavlovsk-Kamchatsky and plans for an Ainu dictionary are underway. Geography The traditional locations of the Ainu are Hokkaido, Sakhalin, the Kuril Islands, Kamchatka, and the northern Tohoku region. Many of the place names that remain in Hokkaido and the Kuril Islands have a phonetic equivalent of the Ainu place names. In 1756 CE, a kanjō-bugyō (a high-ranking Edo period official responsible for finance) implemented an assimilation policy for Ainu engaged in fishing in the Tsugaru Peninsula. From that point on, Ainu culture rapidly disappeared from Honshu. After the Treaty of Saint Petersburg (1875), most of the Ainu from the Kuril islands were moved to the island of Shikotan by providing the pioneers with essential life supplies and for defense purposes (Kurishima Cruise Diary). In 1945, the Soviet Union invaded Japan and occupied Sakhalin and the Kuril Islands. The Ainu who lived there were repatriated to their home country, Japan, except for those who indicated their willingness to remain. Population The population of the Ainu during the Edo period was a maximum of 26,800; it has since declined, due in part to the spread of infectious diseases. It was traditionally regarded as a Tenryō territory. According to the 1897 Russian census, 1,446 Ainu native speakers lived in Russian territory. Currently, there is no Ainu category in the Japanese national census, and no fact-finding has been conducted by national institutions. Therefore, the exact number of Ainu people is unknown. However, multiple surveys have been conducted that provide an indication of the total population. According to a 2006 Hokkaido Agency survey, there were 23,782 Ainu people in Hokkaido. When viewed by the branch office (currently the Promotion Bureau), there are many in the Iburi / Hidaka branch office. The definition of "Ainu" by the Hokkaido Agency in this survey is "a person who seems to have inherited the blood of Ainu" or "the same livelihood as those with marriage or adoption." Additionally, if the other person is declared not to be "Ainu", then it is not subject to investigation. A 1971 survey determined an Ainu population of 77,000. Another survey yielded a total number of Ainu living in Japan of 200,000. However, there are no other surveys that support this high estimate. Many Ainu live outside Hokkaido. A 1988 survey estimated that the population of Ainu living in Tokyo was 2,700. According to a 1989 survey report on Utari living in Tokyo, it is estimated that the Ainu population of the Tokyo area alone exceeds 10% of Ainu living in Hokkaido; there are more than 10,000 Ainu living in the Tokyo metropolitan area. In addition to Japan and Russia, it was reported in 1992 that there was a descendant of Kuril Ainu in Poland, but there are also indications that they are a descendant of the Aleut. On the other hand, the descendant of the children born in Poland by the Polish anthropologist Bronisław Piłsudski, who was a leading Ainu researcher and left a vast amount of research material such as photographs and wax tubes, was born in Japan. According to a 2017 survey, the Ainu population in Hokkaido is about 13,000. This is a sharp drop from 24,000 in 2006. However, this is partially due to a decrease in membership in the Ainu Association of Hokkaido, which is cooperating with the survey. Additionally, interest in protecting personal information has increased. It is thought that the number of individuals who cooperate is declining, and that it does not match the actual population of Ainu people. Subgroups These are unofficial sub groups of the Ainu people with location and population estimates. In popular culture The characters Nakoruru, Rimururu, and Rera from the SNK game series Samurai Shodown are Ainu. The manga and anime series Golden Kamuy has an Ainu girl, Asirpa, as one of the protagonists, and features many aspects of Ainu culture. The character Asirpa from Golden Kamuy is of Ainu descent. The character Fredzilla from Big Hero 6 is of Ainu descent. The character Okuru from the anime series Samurai Champloo is the sole survivor of an Ainu village wiped out by disease. Usui Horokeu, also known as Horohoro, from the manga series Shaman King is a member of an Ainu tribe. "Ainu" is a playable nation in the game Europa Universalis IV. The history of the island of Hokkaido, and of the Ainu people, are part of the plot of a chapter in the manga Silver Spoon. A coming-of-age film, Ainu Mosir, was released in Japan on 17 October, 2020. The film portrays Kanto, a sensitive 14-year-old Ainu boy, who struggles to come to terms with his father's death and his identity. The film also focuses on the dilemma of controversial bear sacrifice under the shadow of the modern Japanese society and the Ainu's heavy reliance on tourists for their livelihood. Along with other restless teenagers, Kanto is under pressure to retain his Ainu identity and participate in the cultural rituals. In the James Bond novel and film You Only Live Twice and film, Bond's character spends some time living in an Ainu village and (in the film) is supposedly disguised as one of the local people, "marrying" a local pearl fisher () as part of his cover. In the 2013 samurai film Unforgiven, starring Ken Watanabe and which is a remake of the 1992 Clint Eastwood Western film of the same name, the character of Goro Sawada (Yuya Yagira) is half-Ainu. See also Ainu-ken Akira Ifukube Bibliography of the Ainu Bikki Sunazawa Constitution of Japan Declaration on the Rights of Indigenous Peoples Emishi Aterui Ethnocide Genocide of indigenous peoples Hiram M. Hiller Jr. Indigenous peoples Kankō Ainu Takashi Ukaji Shigeru Kayano Nibutani Dam Ainu culture Ainu music Ainu flag Ainu genre painting Ikupasuy Iomante Matagi Yukar Ethnic groups in Japan Ethnic issues in Japan Human rights in Japan Ryukyuan people Ryūkyū independence movement Nivkhs References Citations Sources Japan Times. Ainu Plan Group for Upper House Run, October 31, 2011 Further reading Hitchingham, Masako Yoshida (trans.), Act for the Promotion of Ainu Culture & Dissemination of Knowledge Regarding Ainu Traditions, Asian-Pacific Law & Policy Journal, vol. 1, no. 1 (2000). Kayano, Shigeru (1994). Our Land Was A Forest: An Ainu Memoir. Westview Press. . . (Harvard University)(Digitized January 24, 2006) (Indiana University) (digitized September 3, 2009) [Original from Harvard University Digitized Jan 30, 2008] [YOKOHAMA : R. MEIKLEJOHN & CO., NO 49.] The Collected Works of Bronisław Piłsudski, translated and edited by Alfred F. Majewicz with the assistance of Elzbieta Majewicz. Volume 1: The Aborigines of Sakhalin Volume 2: Materials for the Study of the Ainu Language and Folklore (Kraków 1912) Volume 3: Materials for the Study of the Ainu Language and Folklore II Volumn 4: Materials for the Study of Tungusic Languages and Folklore External links Organizations Hokkaido Utari Kyokai/Ainu Association of Hokkaido Sapporo Pirka Kotan Ainu Cultural Center Foundation for Research and Promotion of Ainu Culture (centers located in Sapporo and Tokyo) Hokkaido University Center for Ainu and Indigenous Studies Institute for the Study of Languages and Cultures of Ainu in Samani, Hokkaidō Foundation for Ainu Culture Museums and exhibits Smithsonian Institution The Boone Collection Nibutani Ainu Cultural Museum The Ainu Museum at Shiraoi Ainu Komonjo (18th & 19th century records) – Ohnuki Collection The Regions: North America—Ainu–North American cultural similarities Articles "Japan's Ainu hope new identity leads to more rights" in The Christian Science Monitor, June 9, 2008 A Salmon's Life: An Incredible Journey (Columbia River basin, June 8, 2016)—Posterback Activities Video "A Trip through Japan with the YWCA (ca. 1919)" —Rare Japanese video featuring Ainu The Ainu: The First Peoples of Japan. Old videos and photographs arranged by Rawn Joseph "The Despised Ainu People". The Ainus' Tense Relationship with Japan. 1994. Journeyman.tv Ethnic groups in Japan Ethnic groups in Russia History of Hokkaido History of Northeast Asia History of Sakhalin Indigenous peoples of East Asia People of Kamakura-period Japan Russian people of Japanese descent Genocides in Asia
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https://en.wikipedia.org/wiki/Acupuncture
Acupuncture
Acupuncture is a form of alternative medicine and a component of traditional Chinese medicine (TCM) in which thin needles are inserted into the body. Acupuncture is a pseudoscience; the theories and practices of TCM are not based on scientific knowledge, and it has been characterized as quackery. There is a range of acupuncture variants which originated in different philosophies, and techniques vary depending on the country in which it is performed. However, it can be divided into two main foundational philosophical applications and approaches; the first form being the modern standardized form called eight principles TCM and the second an older system that is based on the ancient Daoist wuxing, better known as the five elements or phases in the West. Acupuncture is most often used to attempt pain relief, though acupuncturists say that it can also be used for a wide range of other conditions. Acupuncture is generally used only in combination with other forms of treatment. The global acupuncture market was worth US$24.55 billion in 2017. The market was led by Europe with a 32.7% share, followed by Asia-Pacific with a 29.4% share and the Americas with a 25.3% share. It was estimated in 2021 that the industry would reach a market size of $55bn by 2023. The conclusions of trials and systematic reviews of acupuncture generally provide no good evidence of benefit, which suggests that it is not an effective method of healthcare. Acupuncture is generally safe when done by appropriately trained practitioners using clean needle technique and single-use needles. When properly delivered, it has a low rate of mostly minor adverse effects. When accidents and infections do occur, they are associated with neglect on the part of the practitioner, particularly in the application of sterile techniques. A review conducted in 2013 stated that reports of infection transmission increased significantly in the preceding decade. The most frequently reported adverse events were pneumothorax and infections. Since serious adverse events continue to be reported, it is recommended that acupuncturists be trained sufficiently to reduce the risk. Scientific investigation has not found any histological or physiological evidence for traditional Chinese concepts such as qi, meridians, and acupuncture points, and many modern practitioners no longer support the existence of life force energy (qi) or meridians, which was a major part of early belief systems. Acupuncture is believed to have originated around 100 BC in China, around the time The Inner Classic of Huang Di (Huangdi Neijing) was published, though some experts suggest it could have been practiced earlier. Over time, conflicting claims and belief systems emerged about the effect of lunar, celestial and earthly cycles, yin and yang energies, and a body's "rhythm" on the effectiveness of treatment. Acupuncture fluctuated in popularity in China due to changes in the country's political leadership and the preferential use of rationalism or scientific medicine. Acupuncture spread first to Korea in the 6th century AD, then to Japan through medical missionaries, and then to Europe, beginning with France. In the 20th century, as it spread to the United States and Western countries, spiritual elements of acupuncture that conflicted with scientific knowledge were sometimes abandoned in favor of simply tapping needles into acupuncture points. Clinical practice Acupuncture is a form of alternative medicine. It is used most commonly for pain relief, though it is also used to treat a wide range of conditions. Acupuncture is generally only used in combination with other forms of treatment. For example, the American Society of Anesthesiologists states it may be considered in the treatment for nonspecific, noninflammatory low back pain only in conjunction with conventional therapy. Acupuncture is the insertion of thin needles into the skin. According to the Mayo Foundation for Medical Education and Research (Mayo Clinic), a typical session entails lying still while approximately five to twenty needles are inserted; for the majority of cases, the needles will be left in place for ten to twenty minutes. It can be associated with the application of heat, pressure, or laser light. Classically, acupuncture is individualized and based on philosophy and intuition, and not on scientific research. There is also a non-invasive therapy developed in early 20th century Japan using an elaborate set of instruments other than needles for the treatment of children (shōnishin or shōnihari). Clinical practice varies depending on the country. A comparison of the average number of patients treated per hour found significant differences between China (10) and the United States (1.2). Chinese herbs are often used. There is a diverse range of acupuncture approaches, involving different philosophies. Although various different techniques of acupuncture practice have emerged, the method used in traditional Chinese medicine (TCM) seems to be the most widely adopted in the US. Traditional acupuncture involves needle insertion, moxibustion, and cupping therapy, and may be accompanied by other procedures such as feeling the pulse and other parts of the body and examining the tongue. Traditional acupuncture involves the belief that a "life force" (qi) circulates within the body in lines called meridians. The main methods practiced in the UK are TCM and Western medical acupuncture. The term Western medical acupuncture is used to indicate an adaptation of TCM-based acupuncture which focuses less on TCM. The Western medical acupuncture approach involves using acupuncture after a medical diagnosis. Limited research has compared the contrasting acupuncture systems used in various countries for determining different acupuncture points and thus there is no defined standard for acupuncture points. In traditional acupuncture, the acupuncturist decides which points to treat by observing and questioning the patient to make a diagnosis according to the tradition used. In TCM, the four diagnostic methods are: inspection, auscultation and olfaction, inquiring, and palpation. Inspection focuses on the face and particularly on the tongue, including analysis of the tongue size, shape, tension, color and coating, and the absence or presence of teeth marks around the edge. Auscultation and olfaction involve listening for particular sounds such as wheezing, and observing body odor. Inquiring involves focusing on the "seven inquiries": chills and fever; perspiration; appetite, thirst and taste; defecation and urination; pain; sleep; and menses and leukorrhea. Palpation is focusing on feeling the body for tender "A-shi" points and feeling the pulse. Needles The most common mechanism of stimulation of acupuncture points employs penetration of the skin by thin metal needles, which are manipulated manually or the needle may be further stimulated by electrical stimulation (electroacupuncture). Acupuncture needles are typically made of stainless steel, making them flexible and preventing them from rusting or breaking. Needles are usually disposed of after each use to prevent contamination. Reusable needles when used should be sterilized between applications. In many areas, only sterile, single-use acupuncture needles are allowed, including the State of California, USA. Needles vary in length between , with shorter needles used near the face and eyes, and longer needles in areas with thicker tissues; needle diameters vary from 0 to 0, with thicker needles used on more robust patients. Thinner needles may be flexible and require tubes for insertion. The tip of the needle should not be made too sharp to prevent breakage, although blunt needles cause more pain. Apart from the usual filiform needle, other needle types include three-edged needles and the Nine Ancient Needles. Japanese acupuncturists use extremely thin needles that are used superficially, sometimes without penetrating the skin, and surrounded by a guide tube (a 17th-century invention adopted in China and the West). Korean acupuncture uses copper needles and has a greater focus on the hand. Needling technique Insertion The skin is sterilized and needles are inserted, frequently with a plastic guide tube. Needles may be manipulated in various ways, including spinning, flicking, or moving up and down relative to the skin. Since most pain is felt in the superficial layers of the skin, a quick insertion of the needle is recommended. Often the needles are stimulated by hand in order to cause a dull, localized, aching sensation that is called de qi, as well as "needle grasp," a tugging feeling felt by the acupuncturist and generated by a mechanical interaction between the needle and skin. Acupuncture can be painful. The acupuncturist's skill level may influence the painfulness of the needle insertion; a sufficiently skilled practitioner may be able to insert the needles without causing any pain. De-qi sensation De-qi (; "arrival of qi") refers to a claimed sensation of numbness, distension, or electrical tingling at the needling site. If these sensations are not observed then inaccurate location of the acupoint, improper depth of needle insertion, inadequate manual manipulation, are blamed. If de-qi is not immediately observed upon needle insertion, various manual manipulation techniques are often applied to promote it (such as "plucking", "shaking" or "trembling"). Once de-qi is observed, techniques might be used which attempt to "influence" the de-qi; for example, by certain manipulation the de-qi can allegedly be conducted from the needling site towards more distant sites of the body. Other techniques aim at "tonifying" () or "sedating" () qi. The former techniques are used in deficiency patterns, the latter in excess patterns. De qi is more important in Chinese acupuncture, while Western and Japanese patients may not consider it a necessary part of the treatment. Related practices Acupressure, a non-invasive form of bodywork, uses physical pressure applied to acupressure points by the hand or elbow, or with various devices. Acupuncture is often accompanied by moxibustion, the burning of cone-shaped preparations of moxa (made from dried mugwort) on or near the skin, often but not always near or on an acupuncture point. Traditionally, acupuncture was used to treat acute conditions while moxibustion was used for chronic diseases. Moxibustion could be direct (the cone was placed directly on the skin and allowed to burn the skin, producing a blister and eventually a scar), or indirect (either a cone of moxa was placed on a slice of garlic, ginger or other vegetable, or a cylinder of moxa was held above the skin, close enough to either warm or burn it). Cupping therapy is an ancient Chinese form of alternative medicine in which a local suction is created on the skin; practitioners believe this mobilizes blood flow in order to promote healing. Tui na is a TCM method of attempting to stimulate the flow of qi by various bare-handed techniques that do not involve needles. Electroacupuncture is a form of acupuncture in which acupuncture needles are attached to a device that generates continuous electric pulses (this has been described as "essentially transdermal electrical nerve stimulation [TENS] masquerading as acupuncture"). Fire needle acupuncture also known as fire needling is a technique which involves quickly inserting a flame-heated needle into areas on the body. Sonopuncture is a stimulation of the body similar to acupuncture using sound instead of needles. This may be done using purpose-built transducers to direct a narrow ultrasound beam to a depth of 6–8 centimetres at acupuncture meridian points on the body. Alternatively, tuning forks or other sound emitting devices are used. Acupuncture point injection is the injection of various substances (such as drugs, vitamins or herbal extracts) into acupoints. This technique combines traditional acupuncture with injection of what is often an effective dose of an approved pharmaceutical drug, and proponents claim that it may be more effective than either treatment alone, especially for the treatment of some kinds of chronic pain. However, a 2016 review found that most published trials of the technique were of poor value due to methodology issues and larger trials would be needed to draw useful conclusions. Auriculotherapy, commonly known as ear acupuncture, auricular acupuncture, or auriculoacupuncture, is considered to date back to ancient China. It involves inserting needles to stimulate points on the outer ear. The modern approach was developed in France during the early 1950s. There is no scientific evidence that it can cure disease; the evidence of effectiveness is negligible. Scalp acupuncture, developed in Japan, is based on reflexological considerations regarding the scalp. Koryo hand acupuncture, developed in Korea, centers around assumed reflex zones of the hand. Medical acupuncture attempts to integrate reflexological concepts, the trigger point model, and anatomical insights (such as dermatome distribution) into acupuncture practice, and emphasizes a more formulaic approach to acupuncture point location. Cosmetic acupuncture is the use of acupuncture in an attempt to reduce wrinkles on the face. Bee venom acupuncture is a treatment approach of injecting purified, diluted bee venom into acupoints. Veterinary acupuncture is the use of acupuncture on domesticated animals. Efficacy many thousands of papers had been published on the efficacy of acupuncture for the treatment of various adult health conditions, but there was no robust evidence it was beneficial for anything, except shoulder pain and fibromyalgia. For Science-Based Medicine, Steven Novella wrote that the overall pattern of evidence was reminiscent of that for homeopathy, compatible with the hypothesis that most, if not all, benefits were due to the placebo effect, and strongly suggestive that acupuncture had no beneficial therapeutic effects at all. Research methodology and challenges Sham acupuncture and research It is difficult but not impossible to design rigorous research trials for acupuncture. Due to acupuncture's invasive nature, one of the major challenges in efficacy research is in the design of an appropriate placebo control group. For efficacy studies to determine whether acupuncture has specific effects, "sham" forms of acupuncture where the patient, practitioner, and analyst are blinded seem the most acceptable approach. Sham acupuncture uses non-penetrating needles or needling at non-acupuncture points, e.g. inserting needles on meridians not related to the specific condition being studied, or in places not associated with meridians. The under-performance of acupuncture in such trials may indicate that therapeutic effects are due entirely to non-specific effects, or that the sham treatments are not inert, or that systematic protocols yield less than optimal treatment. A 2014 review in Nature Reviews Cancer found that "contrary to the claimed mechanism of redirecting the flow of qi through meridians, researchers usually find that it generally does not matter where the needles are inserted, how often (that is, no dose-response effect is observed), or even if needles are actually inserted. In other words, 'sham' or 'placebo' acupuncture generally produces the same effects as 'real' acupuncture and, in some cases, does better." A 2013 meta-analysis found little evidence that the effectiveness of acupuncture on pain (compared to sham) was modified by the location of the needles, the number of needles used, the experience or technique of the practitioner, or by the circumstances of the sessions. The same analysis also suggested that the number of needles and sessions is important, as greater numbers improved the outcomes of acupuncture compared to non-acupuncture controls. There has been little systematic investigation of which components of an acupuncture session may be important for any therapeutic effect, including needle placement and depth, type and intensity of stimulation, and number of needles used. The research seems to suggest that needles do not need to stimulate the traditionally specified acupuncture points or penetrate the skin to attain an anticipated effect (e.g. psychosocial factors). A response to "sham" acupuncture in osteoarthritis may be used in the elderly, but placebos have usually been regarded as deception and thus unethical. However, some physicians and ethicists have suggested circumstances for applicable uses for placebos such as it might present a theoretical advantage of an inexpensive treatment without adverse reactions or interactions with drugs or other medications. As the evidence for most types of alternative medicine such as acupuncture is far from strong, the use of alternative medicine in regular healthcare can present an ethical question. Using the principles of evidence-based medicine to research acupuncture is controversial, and has produced different results. Some research suggests acupuncture can alleviate pain but the majority of research suggests that acupuncture's effects are mainly due to placebo. Evidence suggests that any benefits of acupuncture are short-lasting. There is insufficient evidence to support use of acupuncture compared to mainstream medical treatments. Acupuncture is not better than mainstream treatment in the long term. The use of acupuncture has been criticized owing to there being little scientific evidence for explicit effects, or the mechanisms for its supposed effectiveness, for any condition that is discernible from placebo. Acupuncture has been called 'theatrical placebo', and David Gorski argues that when acupuncture proponents advocate 'harnessing of placebo effects' or work on developing 'meaningful placebos', they essentially concede it is little more than that. Publication bias Publication bias is cited as a concern in the reviews of randomized controlled trials of acupuncture. A 1998 review of studies on acupuncture found that trials originating in China, Japan, Hong Kong, and Taiwan were uniformly favourable to acupuncture, as were ten out of eleven studies conducted in Russia. A 2011 assessment of the quality of randomized controlled trials on traditional Chinese medicine, including acupuncture, concluded that the methodological quality of most such trials (including randomization, experimental control, and blinding) was generally poor, particularly for trials published in Chinese journals (though the quality of acupuncture trials was better than the trials testing traditional Chinese medicine remedies). The study also found that trials published in non-Chinese journals tended to be of higher quality. Chinese authors use more Chinese studies, which have been demonstrated to be uniformly positive. A 2012 review of 88 systematic reviews of acupuncture published in Chinese journals found that less than half of these reviews reported testing for publication bias, and that the majority of these reviews were published in journals with impact factors of zero. A 2015 study comparing pre-registered records of acupuncture trials with their published results found that it was uncommon for such trials to be registered before the trial began. This study also found that selective reporting of results and changing outcome measures to obtain statistically significant results was common in this literature. Scientist and journalist Steven Salzberg identifies acupuncture and Chinese medicine generally as a focus for "fake medical journals" such as the Journal of Acupuncture and Meridian Studies and Acupuncture in Medicine. Safety Adverse events Acupuncture is generally safe when administered by an experienced, appropriately trained practitioner using clean-needle technique and sterile single-use needles. When improperly delivered it can cause adverse effects. Accidents and infections are associated with infractions of sterile technique or neglect on the part of the practitioner. To reduce the risk of serious adverse events after acupuncture, acupuncturists should be trained sufficiently. A 2009 overview of Cochrane reviews found acupuncture is not effective for a wide range of conditions. People with serious spinal disease, such as cancer or infection, are not good candidates for acupuncture. Contraindications to acupuncture (conditions that should not be treated with acupuncture) include coagulopathy disorders (e.g. hemophilia and advanced liver disease), warfarin use, severe psychiatric disorders (e.g. psychosis), and skin infections or skin trauma (e.g. burns). Further, electroacupuncture should be avoided at the spot of implanted electrical devices (such as pacemakers). A 2011 systematic review of systematic reviews (internationally and without language restrictions) found that serious complications following acupuncture continue to be reported. Between 2000 and 2009, ninety-five cases of serious adverse events, including five deaths, were reported. Many such events are not inherent to acupuncture but are due to malpractice of acupuncturists. This might be why such complications have not been reported in surveys of adequately trained acupuncturists. Most such reports originate from Asia, which may reflect the large number of treatments performed there or a relatively higher number of poorly trained Asian acupuncturists. Many serious adverse events were reported from developed countries. These included Australia, Austria, Canada, Croatia, France, Germany, Ireland, the Netherlands, New Zealand, Spain, Sweden, Switzerland, the UK, and the US. The number of adverse effects reported from the UK appears particularly unusual, which may indicate less under-reporting in the UK than other countries. Reports included 38 cases of infections and 42 cases of organ trauma. The most frequent adverse events included pneumothorax, and bacterial and viral infections. A 2013 review found (without restrictions regarding publication date, study type or language) 295 cases of infections; mycobacterium was the pathogen in at least 96%. Likely sources of infection include towels, hot packs or boiling tank water, and reusing reprocessed needles. Possible sources of infection include contaminated needles, reusing personal needles, a person's skin containing mycobacterium, and reusing needles at various sites in the same person. Although acupuncture is generally considered a safe procedure, a 2013 review stated that the reports of infection transmission increased significantly in the prior decade, including those of mycobacterium. Although it is recommended that practitioners of acupuncture use disposable needles, the reuse of sterilized needles is still permitted. It is also recommended that thorough control practices for preventing infection be implemented and adapted. English-language A 2013 systematic review of the English-language case reports found that serious adverse events associated with acupuncture are rare, but that acupuncture is not without risk. Between 2000 and 2011 the English-language literature from 25 countries and regions reported 294 adverse events. The majority of the reported adverse events were relatively minor, and the incidences were low. For example, a prospective survey of 34,000 acupuncture treatments found no serious adverse events and 43 minor ones, a rate of 1.3 per 1000 interventions. Another survey found there were 7.1% minor adverse events, of which 5 were serious, amid 97,733 acupuncture patients. The most common adverse effect observed was infection (e.g. mycobacterium), and the majority of infections were bacterial in nature, caused by skin contact at the needling site. Infection has also resulted from skin contact with unsterilized equipment or with dirty towels in an unhygienic clinical setting. Other adverse complications included five reported cases of spinal cord injuries (e.g. migrating broken needles or needling too deeply), four brain injuries, four peripheral nerve injuries, five heart injuries, seven other organ and tissue injuries, bilateral hand edema, epithelioid granuloma, pseudolymphoma, argyria, pustules, pancytopenia, and scarring due to hot-needle technique. Adverse reactions from acupuncture, which are unusual and uncommon in typical acupuncture practice, included syncope, galactorrhoea, bilateral nystagmus, pyoderma gangrenosum, hepatotoxicity, eruptive lichen planus, and spontaneous needle migration. A 2013 systematic review found 31 cases of vascular injuries caused by acupuncture, three causing death. Two died from pericardial tamponade and one was from an aortoduodenal fistula. The same review found vascular injuries were rare, bleeding and pseudoaneurysm were most prevalent. A 2011 systematic review (without restriction in time or language), aiming to summarize all reported case of cardiac tamponade after acupuncture, found 26 cases resulting in 14 deaths, with little doubt about cause in most fatal instances. The same review concluded that cardiac tamponade was a serious, usually fatal, though theoretically avoidable complication following acupuncture, and urged training to minimize risk. A 2012 review found that a number of adverse events were reported after acupuncture in the UK's National Health Service (NHS), 95% of which were not severe, though miscategorization and under-reporting may alter the total figures. From January 2009 to December 2011, 468 safety incidents were recognized within the NHS organizations. The adverse events recorded included retained needles (31%), dizziness (30%), loss of consciousness/unresponsive (19%), falls (4%), bruising or soreness at needle site (2%), pneumothorax (1%) and other adverse side effects (12%). Acupuncture practitioners should know, and be prepared to be responsible for, any substantial harm from treatments. Some acupuncture proponents argue that the long history of acupuncture suggests it is safe. However, there is an increasing literature on adverse events (e.g. spinal-cord injury). Acupuncture seems to be safe in people getting anticoagulants, assuming needles are used at the correct location and depth, but studies are required to verify these findings. Chinese, Korean, and Japanese-language A 2010 systematic review of the Chinese-language literature found numerous acupuncture-related adverse events, including pneumothorax, fainting, subarachnoid hemorrhage, and infection as the most frequent, and cardiovascular injuries, subarachnoid hemorrhage, pneumothorax, and recurrent cerebral hemorrhage as the most serious, most of which were due to improper technique. Between 1980 and 2009, the Chinese-language literature reported 479 adverse events. Prospective surveys show that mild, transient acupuncture-associated adverse events ranged from 6.71% to 15%. In a study with 190,924 patients, the prevalence of serious adverse events was roughly 0.024%. Another study showed a rate of adverse events requiring specific treatment of 2.2%, 4,963 incidences among 229,230 patients. Infections, mainly hepatitis, after acupuncture are reported often in English-language research, though are rarely reported in Chinese-language research, making it plausible that acupuncture-associated infections have been underreported in China. Infections were mostly caused by poor sterilization of acupuncture needles. Other adverse events included spinal epidural hematoma (in the cervical, thoracic and lumbar spine), chylothorax, injuries of abdominal organs and tissues, injuries in the neck region, injuries to the eyes, including orbital hemorrhage, traumatic cataract, injury of the oculomotor nerve and retinal puncture, hemorrhage to the cheeks and the hypoglottis, peripheral motor-nerve injuries and subsequent motor dysfunction, local allergic reactions to metal needles, stroke, and cerebral hemorrhage after acupuncture. A causal link between acupuncture and the adverse events cardiac arrest, pyknolepsy, shock, fever, cough, thirst, aphonia, leg numbness, and sexual dysfunction remains uncertain. The same review concluded that acupuncture can be considered inherently safe when practiced by properly trained practitioners, but the review also stated there is a need to find effective strategies to minimize the health risks. Between 1999 and 2010, the Korean-language literature contained reports of 1104 adverse events. Between the 1980s and 2002, the Japanese-language literature contained reports of 150 adverse events. Children and pregnancy Although acupuncture has been practiced for thousands of years in China, its use in pediatrics in the United States did not become common until the early 2000s. In 2007, the National Health Interview Survey (NHIS) conducted by the National Center For Health Statistics (NCHS) estimated that approximately 150,000 children had received acupuncture treatment for a variety of conditions. In 2008 a study determined that the use of acupuncture-needle treatment on children was "questionable" due to the possibility of adverse side-effects and the pain manifestation differences in children versus adults. The study also includes warnings against practicing acupuncture on infants, as well as on children who are over-fatigued, very weak, or have over-eaten. When used on children, acupuncture is considered safe when administered by well-trained, licensed practitioners using sterile needles; however, a 2011 review found there was limited research to draw definite conclusions about the overall safety of pediatric acupuncture. The same review found 279 adverse events, 25 of them serious. The adverse events were mostly mild in nature (e.g. bruising or bleeding). The prevalence of mild adverse events ranged from 10.1% to 13.5%, an estimated 168 incidences among 1,422 patients. On rare occasions adverse events were serious (e.g. cardiac rupture or hemoptysis); many might have been a result of substandard practice. The incidence of serious adverse events was 5 per one million, which included children and adults. When used during pregnancy, the majority of adverse events caused by acupuncture were mild and transient, with few serious adverse events. The most frequent mild adverse event was needling or unspecified pain, followed by bleeding. Although two deaths (one stillbirth and one neonatal death) were reported, there was a lack of acupuncture-associated maternal mortality. Limiting the evidence as certain, probable or possible in the causality evaluation, the estimated incidence of adverse events following acupuncture in pregnant women was 131 per 10,000. Although acupuncture is not contraindicated in pregnant women, some specific acupuncture points are particularly sensitive to needle insertion; these spots, as well as the abdominal region, should be avoided during pregnancy. Moxibustion and cupping Four adverse events associated with moxibustion were bruising, burns and cellulitis, spinal epidural abscess, and large superficial basal cell carcinoma. Ten adverse events were associated with cupping. The minor ones were keloid scarring, burns, and bullae; the serious ones were acquired hemophilia A, stroke following cupping on the back and neck, factitious panniculitis, reversible cardiac hypertrophy, and iron deficiency anemia. Risk of forgoing conventional medical care As with other alternative medicines, unethical or naïve practitioners may induce patients to exhaust financial resources by pursuing ineffective treatment. Professional ethics codes set by accrediting organizations such as the National Certification Commission for Acupuncture and Oriental Medicine require practitioners to make "timely referrals to other health care professionals as may be appropriate." Stephen Barrett states that there is a "risk that an acupuncturist whose approach to diagnosis is not based on scientific concepts will fail to diagnose a dangerous condition". Conceptual basis Traditional Acupuncture is a substantial part of traditional Chinese medicine (TCM). Early acupuncture beliefs relied on concepts that are common in TCM, such as a life force energy called qi. Qi was believed to flow from the body's primary organs (zang-fu organs) to the "superficial" body tissues of the skin, muscles, tendons, bones, and joints, through channels called meridians. Acupuncture points where needles are inserted are mainly (but not always) found at locations along the meridians. Acupuncture points not found along a meridian are called extraordinary points and those with no designated site are called "A-shi" points. In TCM, disease is generally perceived as a disharmony or imbalance in energies such as yin, yang, qi, xuĕ, zàng-fǔ, meridians, and of the interaction between the body and the environment. Therapy is based on which "pattern of disharmony" can be identified. For example, some diseases are believed to be caused by meridians being invaded with an excess of wind, cold, and damp. In order to determine which pattern is at hand, practitioners examine things like the color and shape of the tongue, the relative strength of pulse-points, the smell of the breath, the quality of breathing, or the sound of the voice. TCM and its concept of disease does not strongly differentiate between the cause and effect of symptoms. Purported scientific basis Many within the scientific community consider attempts to rationalize acupuncture in science to be quackery and pseudoscience. Academics Massimo Pigliucci and Maarten Boudry describe it as a "borderlands science" lying between science and pseudoscience. Rationalizations of traditional medicine It is a generally held belief within the acupuncture community that acupuncture points and meridians structures are special conduits for electrical signals, but no research has established any consistent anatomical structure or function for either acupuncture points or meridians. Human tests to determine whether electrical continuity was significantly different near meridians than other places in the body have been inconclusive. Scientific research has not supported the existence of qi, meridians, or yin and yang. A Nature editorial described TCM as "fraught with pseudoscience", with the majority of its treatments having no logical mechanism of action. Quackwatch states that "TCM theory and practice are not based upon the body of knowledge related to health, disease, and health care that has been widely accepted by the scientific community. TCM practitioners disagree among themselves about how to diagnose patients and which treatments should go with which diagnoses. Even if they could agree, the TCM theories are so nebulous that no amount of scientific study will enable TCM to offer rational care." Academic discussions of acupuncture still make reference to pseudoscientific concepts such as qi and meridians despite the lack of scientific evidence. Release of endorphins or adenosine Some modern practitioners support the use of acupuncture to treat pain, but have abandoned the use of qi, meridians, yin, yang and other mystical energies as an explanatory frameworks. The use of qi as an explanatory framework has been decreasing in China, even as it becomes more prominent during discussions of acupuncture in the US. Many acupuncturists attribute pain relief to the release of endorphins when needles penetrate, but no longer support the idea that acupuncture can affect a disease. Some studies suggest acupuncture causes a series of events within the central nervous system, and that it is possible to inhibit acupuncture's analgesic effects with the opioid antagonist naloxone. Mechanical deformation of the skin by acupuncture needles appears to result in the release of adenosine. The anti-nociceptive effect of acupuncture may be mediated by the adenosine A1 receptor. A 2014 review in Nature Reviews Cancer analyzed mouse studies that suggested acupuncture relieves pain via the local release of adenosine, which then triggered nearby A1 receptors. The review found that in those studies, because acupuncture "caused more tissue damage and inflammation relative to the size of the animal in mice than in humans, such studies unnecessarily muddled a finding that local inflammation can result in the local release of adenosine with analgesic effect." History Origins Acupuncture, along with moxibustion, is one of the oldest practices of traditional Chinese medicine. Most historians believe the practice began in China, though there are some conflicting narratives on when it originated. Academics David Ramey and Paul Buell said the exact date acupuncture was founded depends on the extent to which dating of ancient texts can be trusted and the interpretation of what constitutes acupuncture. Acupressure therapy was prevalent in India. Once Buddhism spread to China, the acupressure therapy was also integrated into common medical practice in China and it came to be known as acupuncture. The major points of Indian acupressure and Chinese acupuncture are similar to each other. According to an article in Rheumatology, the first documentation of an "organized system of diagnosis and treatment" for acupuncture was in Inner Classic of Huang Di (Huangdi Neijing) from about 100 BC. Gold and silver needles found in the tomb of Liu Sheng from around 100 BC are believed to be the earliest archaeological evidence of acupuncture, though it is unclear if that was their purpose. According to Plinio Prioreschi, the earliest known historical record of acupuncture is the Shiji ("Records of the Grand Historian"), written by a historian around 100 BC. It is believed that this text was documenting what was established practice at that time. Alternate theories The 5,000-year-old mummified body of Ötzi the Iceman was found with 15 groups of tattoos, many of which were located at points on the body where acupuncture needles are used for abdominal or lower back problems. Evidence from the body suggests Ötzi had these conditions. This has been cited as evidence that practices similar to acupuncture may have been practised elsewhere in Eurasia during the early Bronze Age; however, The Oxford Handbook of the History of Medicine calls this theory "speculative". It is considered unlikely that acupuncture was practised before 2000 BC. Acupuncture may have been practised during the Neolithic era, near the end of the Stone Age, using sharpened stones called Bian shi. Many Chinese texts from later eras refer to sharp stones called "plen", which means "stone probe", that may have been used for acupuncture purposes. The ancient Chinese medical text, Huangdi Neijing, indicates that sharp stones were believed at-the-time to cure illnesses at or near the body's surface, perhaps because of the short depth a stone could penetrate. However, it is more likely that stones were used for other medical purposes, such as puncturing a growth to drain its pus. The Mawangdui texts, which are believed to be from the 2nd century BC, mention the use of pointed stones to open abscesses, and moxibustion, but not for acupuncture. It is also speculated that these stones may have been used for bloodletting, due to the ancient Chinese belief that illnesses were caused by demons within the body that could be killed or released. It is likely bloodletting was an antecedent to acupuncture. According to historians Lu Gwei-djen and Joseph Needham, there is substantial evidence that acupuncture may have begun around 600 BC. Some hieroglyphs and pictographs from that era suggests acupuncture and moxibustion were practised. However, historians Lu and Needham said it was unlikely a needle could be made out of the materials available in China during this time period. It is possible that bronze was used for early acupuncture needles. Tin, copper, gold and silver are also possibilities, though they are considered less likely, or to have been used in fewer cases. If acupuncture was practised during the Shang dynasty (1766 to 1122 BC), organic materials like thorns, sharpened bones, or bamboo may have been used. Once methods for producing steel were discovered, it would replace all other materials, since it could be used to create a very fine, but sturdy needles. Lu and Needham noted that all the ancient materials that could have been used for acupuncture and which often produce archaeological evidence, such as sharpened bones, bamboo or stones, were also used for other purposes. An article in Rheumatology said that the absence of any mention of acupuncture in documents found in the tomb of Mawangdui from 198 BC suggest that acupuncture was not practised by that time. Belief systems Several different and sometimes conflicting belief systems emerged regarding acupuncture. This may have been the result of competing schools of thought. Some ancient texts referred to using acupuncture to cause bleeding, while others mixed the ideas of blood-letting and spiritual ch'i energy. Over time, the focus shifted from blood to the concept of puncturing specific points on the body, and eventually to balancing Yin and Yang energies as well. According to David Ramey, no single "method or theory" was ever predominantly adopted as the standard. At the time, scientific knowledge of medicine was not yet developed, especially because in China dissection of the deceased was forbidden, preventing the development of basic anatomical knowledge. It is not certain when specific acupuncture points were introduced, but the autobiography of Bian Que from around 400–500 BC references inserting needles at designated areas. Bian Que believed there was a single acupuncture point at the top of one's skull that he called the point "of the hundred meetings." Texts dated to be from 156–186 BC document early beliefs in channels of life force energy called meridians that would later be an element in early acupuncture beliefs. Ramey and Buell said the "practice and theoretical underpinnings" of modern acupuncture were introduced in The Yellow Emperor's Classic (Huangdi Neijing) around 100 BC. It introduced the concept of using acupuncture to manipulate the flow of life energy (qi) in a network of meridian (channels) in the body. The network concept was made up of acu-tracts, such as a line down the arms, where it said acupoints were located. Some of the sites acupuncturists use needles at today still have the same names as those given to them by the Yellow Emperor's Classic. Numerous additional documents were published over the centuries introducing new acupoints. By the 4th century AD, most of the acupuncture sites in use today had been named and identified. Early development in China Establishment and growth In the first half of the 1st century AD, acupuncturists began promoting the belief that acupuncture's effectiveness was influenced by the time of day or night, the lunar cycle, and the season. The 'science of the yin-yang cycles' ( ) was a set of beliefs that curing diseases relied on the alignment of both heavenly (tian) and earthly (di) forces that were attuned to cycles like that of the sun and moon. There were several different belief systems that relied on a number of celestial and earthly bodies or elements that rotated and only became aligned at certain times. According to Needham and Lu, these "arbitrary predictions" were depicted by acupuncturists in complex charts and through a set of special terminology. Acupuncture needles during this period were much thicker than most modern ones and often resulted in infection. Infection is caused by a lack of sterilization, but at that time it was believed to be caused by use of the wrong needle, or needling in the wrong place, or at the wrong time. Later, many needles were heated in boiling water, or in a flame. Sometimes needles were used while they were still hot, creating a cauterizing effect at the injection site. Nine needles were recommended in the Great Compendium of Acupuncture and Moxibustion from 1601, which may have been because of an ancient Chinese belief that nine was a magic number. Other belief systems were based on the idea that the human body operated on a rhythm and acupuncture had to be applied at the right point in the rhythm to be effective. In some cases a lack of balance between Yin and Yang were believed to be the cause of disease. In the 1st century AD, many of the first books about acupuncture were published and recognized acupuncturist experts began to emerge. The Zhen Jiu Jia Yi Jing, which was published in the mid-3rd century, became the oldest acupuncture book that is still in existence in the modern era. Other books like the Yu Gui Zhen Jing, written by the Director of Medical Services for China, were also influential during this period, but were not preserved. In the mid 7th century, Sun Simiao published acupuncture-related diagrams and charts that established standardized methods for finding acupuncture sites on people of different sizes and categorized acupuncture sites in a set of modules. Acupuncture became more established in China as improvements in paper led to the publication of more acupuncture books. The Imperial Medical Service and the Imperial Medical College, which both supported acupuncture, became more established and created medical colleges in every province. The public was also exposed to stories about royal figures being cured of their diseases by prominent acupuncturists. By time the Great Compendium of Acupuncture and Moxibustion was published during the Ming dynasty (1368–1644 AD), most of the acupuncture practices used in the modern era had been established. Decline By the end of the Song dynasty (1279 AD), acupuncture had lost much of its status in China. It became rarer in the following centuries, and was associated with less prestigious professions like alchemy, shamanism, midwifery and moxibustion. Additionally, by the 18th century, scientific rationality was becoming more popular than traditional superstitious beliefs. By 1757 a book documenting the history of Chinese medicine called acupuncture a "lost art". Its decline was attributed in part to the popularity of prescriptions and medications, as well as its association with the lower classes. In 1822, the Chinese Emperor signed a decree excluding the practice of acupuncture from the Imperial Medical Institute. He said it was unfit for practice by gentlemen-scholars. In China acupuncture was increasingly associated with lower-class, illiterate practitioners. It was restored for a time, but banned again in 1929 in favor of science-based Western medicine. Although acupuncture declined in China during this time period, it was also growing in popularity in other countries. International expansion Korea is believed to be the first country in Asia that acupuncture spread to outside of China. Within Korea there is a legend that acupuncture was developed by emperor Dangun, though it is more likely to have been brought into Korea from a Chinese colonial prefecture in 514 AD. Acupuncture use was commonplace in Korea by the 6th century. It spread to Vietnam in the 8th and 9th centuries. As Vietnam began trading with Japan and China around the 9th century, it was influenced by their acupuncture practices as well. China and Korea sent "medical missionaries" that spread traditional Chinese medicine to Japan, starting around 219 AD. In 553, several Korean and Chinese citizens were appointed to re-organize medical education in Japan and they incorporated acupuncture as part of that system. Japan later sent students back to China and established acupuncture as one of five divisions of the Chinese State Medical Administration System. Acupuncture began to spread to Europe in the second half of the 17th century. Around this time the surgeon-general of the Dutch East India Company met Japanese and Chinese acupuncture practitioners and later encouraged Europeans to further investigate it. He published the first in-depth description of acupuncture for the European audience and created the term "acupuncture" in his 1683 work De Acupunctura. France was an early adopter among the West due to the influence of Jesuit missionaries, who brought the practice to French clinics in the 16th century. The French doctor Louis Berlioz (the father of the composer Hector Berlioz) is usually credited with being the first to experiment with the procedure in Europe in 1810, before publishing his findings in 1816. By the 19th century, acupuncture had become commonplace in many areas of the world. Americans and Britons began showing interest in acupuncture in the early 19th century, although interest waned by mid-century. Western practitioners abandoned acupuncture's traditional beliefs in spiritual energy, pulse diagnosis, and the cycles of the moon, sun or the body's rhythm. Diagrams of the flow of spiritual energy, for example, conflicted with the West's own anatomical diagrams. It adopted a new set of ideas for acupuncture based on tapping needles into nerves. In Europe it was speculated that acupuncture may allow or prevent the flow of electricity in the body, as electrical pulses were found to make a frog's leg twitch after death. The West eventually created a belief system based on Travell trigger points that were believed to inhibit pain. They were in the same locations as China's spiritually identified acupuncture points, but under a different nomenclature. The first elaborate Western treatise on acupuncture was published in 1683 by Willem ten Rhijne. Modern era In China, the popularity of acupuncture rebounded in 1949 when Mao Zedong took power and sought to unite China behind traditional cultural values. It was also during this time that many Eastern medical practices were consolidated under the name traditional Chinese medicine (TCM). New practices were adopted in the 20th century, such as using a cluster of needles, electrified needles, or leaving needles inserted for up to a week. A lot of emphasis developed on using acupuncture on the ear. Acupuncture research organizations such as the International Society of Acupuncture were founded in the 1940s and 1950s and acupuncture services became available in modern hospitals. China, where acupuncture was believed to have originated, was increasingly influenced by Western medicine. Meanwhile, acupuncture grew in popularity in the US. The US Congress created the Office of Alternative Medicine in 1992 and the National Institutes of Health (NIH) declared support for acupuncture for some conditions in November 1997. In 1999, the National Center for Complementary and Alternative Medicine was created within the NIH. Acupuncture became the most popular alternative medicine in the US. Politicians from the Chinese Communist Party said acupuncture was superstitious and conflicted with the party's commitment to science. Communist Party Chairman Mao Zedong later reversed this position, arguing that the practice was based on scientific principles. In 1971, New York Times reporter James Reston published an article on his acupuncture experiences in China, which led to more investigation of and support for acupuncture. The US President Richard Nixon visited China in 1972. During one part of the visit, the delegation was shown a patient undergoing major surgery while fully awake, ostensibly receiving acupuncture rather than anesthesia. Later it was found that the patients selected for the surgery had both a high pain tolerance and received heavy indoctrination before the operation; these demonstration cases were also frequently receiving morphine surreptitiously through an intravenous drip that observers were told contained only fluids and nutrients. One patient receiving open heart surgery while awake was ultimately found to have received a combination of three powerful sedatives as well as large injections of a local anesthetic into the wound. After the National Institute of Health expressed support for acupuncture for a limited number of conditions, adoption in the US grew further. In 1972 the first legal acupuncture center in the US was established in Washington DC and in 1973 the American Internal Revenue Service allowed acupuncture to be deducted as a medical expense. In 2006, a BBC documentary Alternative Medicine filmed a patient undergoing open heart surgery allegedly under acupuncture-induced anesthesia. It was later revealed that the patient had been given a cocktail of anesthetics. In 2010, UNESCO inscribed "acupuncture and moxibustion of traditional Chinese medicine" on the UNESCO Intangible Cultural Heritage List following China's nomination. Adoption Acupuncture is most heavily practiced in China and is popular in the US, Australia, and Europe. In Switzerland, acupuncture has become the most frequently used alternative medicine since 2004. In the United Kingdom, a total of 4 million acupuncture treatments were administered in 2009. Acupuncture is used in most pain clinics and hospices in the UK. An estimated 1 in 10 adults in Australia used acupuncture in 2004. In Japan, it is estimated that 25 percent of the population will try acupuncture at some point, though in most cases it is not covered by public health insurance. Users of acupuncture in Japan are more likely to be elderly and to have a limited education. Approximately half of users surveyed indicated a likelihood to seek such remedies in the future, while 37% did not. Less than one percent of the US population reported having used acupuncture in the early 1990s. By the early 2010s, more than 14 million Americans reported having used acupuncture as part of their health care. In the US, acupuncture is increasingly () used at academic medical centers, and is usually offered through CAM centers or anesthesia and pain management services. Examples include those at Harvard University, Stanford University, Johns Hopkins University, and UCLA. CDC clinical practice guidelines from 2022 list acupuncture among the types of complementary and alternative medicines physicians should consider in preference to opioid prescription for certain kinds of pain. The use of acupuncture in Germany increased by 20% in 2007, after the German acupuncture trials supported its efficacy for certain uses. In 2011, there were more than one million users, and insurance companies have estimated that two-thirds of German users are women. As a result of the trials, German public health insurers began to cover acupuncture for chronic low back pain and osteoarthritis of the knee, but not tension headache or migraine. This decision was based in part on socio-political reasons. Some insurers in Germany chose to stop reimbursement of acupuncture because of the trials. For other conditions, insurers in Germany were not convinced that acupuncture had adequate benefits over usual care or sham treatments. Highlighting the results of the placebo group, researchers refused to accept a placebo therapy as efficient. Regulation There are various government and trade association regulatory bodies for acupuncture in the United Kingdom, the United States, Saudi Arabia, Australia, New Zealand, Japan, Canada, and in European countries and elsewhere. The World Health Organization recommends that before being licensed or certified, an acupuncturist receive 200 hours of specialized training if they are a physician and 2,500 hours for non-physicians; many governments have adopted similar standards. In Hong Kong, the practice of acupuncture is regulated by the Chinese Medicine Council that was formed in 1999 by the Legislative Council. It includes a licensing exam and registration, as well as degree courses approved by the board. Canada has acupuncture licensing programs in the provinces of British Columbia, Ontario, Alberta and Quebec; standards set by the Chinese Medicine and Acupuncture Association of Canada are used in provinces without government regulation. Regulation in the US began in the 1970s in California, which was eventually followed by every state but Wyoming and Idaho. Licensing requirements vary greatly from state to state. The needles used in acupuncture are regulated in the US by the Food and Drug Administration. In some states acupuncture is regulated by a board of medical examiners, while in others by the board of licensing, health or education. In Japan, acupuncturists are licensed by the Minister of Health, Labour and Welfare after passing an examination and graduating from a technical school or university. In Australia, the Chinese Medicine Board of Australia regulates acupuncture, among other Chinese medical traditions, and restricts the use of titles like 'acupuncturist' to registered practitioners only. The practice of Acupuncture in New Zealand in 1990 acupuncture was included into the Governmental Accident Compensation Corporation (ACC) Act. This inclusion granted qualified and professionally registered acupuncturists to provide subsidised care and treatment to citizens, residents, and temporary visitors for work or sports related injuries that occurred within the country of New Zealand. The two bodies for the regulation of acupuncture and attainment of ACC treatment provider status in New Zealand are Acupuncture NZ, and The New Zealand Acupuncture Standards Authority. At least 28 countries in Europe have professional associations for acupuncturists. In France, the Académie Nationale de Médecine (National Academy of Medicine) has regulated acupuncture since 1955. See also Notes References Bibliography Further reading External links Alternative medicine Chinese inventions Energy therapies Pain management Pseudoscience Traditional Chinese medicine
1540
https://en.wikipedia.org/wiki/Aeneas
Aeneas
In Greco-Roman mythology, Aeneas ( , ; from ) was a Trojan hero, the son of the Trojan prince Anchises and the Greek goddess Aphrodite (equivalent to the Roman Venus). His father was a first cousin of King Priam of Troy (both being grandsons of Ilus, founder of Troy), making Aeneas a second cousin to Priam's children (such as Hector and Paris). He is a minor character in Greek mythology and is mentioned in Homer's Iliad. Aeneas receives full treatment in Roman mythology, most extensively in Virgil's Aeneid, where he is cast as an ancestor of Romulus and Remus. He became the first true hero of Rome. Snorri Sturluson identifies him with the Norse god Víðarr of the Æsir. Etymology Aeneas is the Romanization of the hero's original Greek name (Aineías). Aineías is first introduced in the Homeric Hymn to Aphrodite when Aphrodite gives him his name from the adjective (, "terrible"), for the "terrible grief" () he has caused her by being born a mortal who will age and die. It is a popular etymology for the name, apparently exploited by Homer in the Iliad. Later in the Medieval period there were writers who held that, because the Aeneid was written by a philosopher, it is meant to be read philosophically. As such, in the "natural order", the meaning of Aeneas' name combines Greek ("dweller") with ("body"), which becomes or "in-dweller"—i.e. as a god inhabiting a mortal body. However, there is no certainty regarding the origin of his name. Epithets In imitation of the Iliad, Virgil borrows epithets of Homer, including: Anchisiades, magnanimum, magnus, heros, and bonus. Though he borrows many, Virgil gives Aeneas two epithets of his own, in the Aeneid: pater and pius. The epithets applied by Virgil are an example of an attitude different from that of Homer, for whilst Odysseus is ("wily"), Aeneas is described as ("pious"), which conveys a strong moral tone. The purpose of these epithets seems to enforce the notion of Aeneas' divine hand as father and founder of the Roman race, and their use seems circumstantial: when Aeneas is praying he refers to himself as pius, and is referred to as such by the author only when the character is acting on behalf of the gods to fulfill his divine mission. Likewise, Aeneas is called pater when acting in the interest of his men. Description Aeneas was described by the chronicler Malalas in his account of the Chronography as "shortish, thick, good chest, strong, ruddy, flat-faced, good nose, pale, balding, good beard". Meanwhile, in the account of Dares the Phrygian, he was illustrated as "auburn-haired, stocky, eloquent, courteous, prudent, pious, and charming. His eyes were black and twinkling." Greek myth and epos Homeric Hymn to Aphrodite The story of the birth of Aeneas is told in the Homeric Hymn to Aphrodite, one of the major Homeric Hymns. Aphrodite has caused Zeus to fall in love with mortal women. In retaliation, Zeus puts desire in her heart for Anchises, who is tending his cattle among the hills near Mount Ida. When Aphrodite sees him she is smitten. She adorns herself as if for a wedding among the gods and appears before him. He is overcome by her beauty, believing that she is a goddess, but Aphrodite identifies herself as a Phrygian princess. After they make love, Aphrodite reveals her true identity to him and Anchises fears what might happen to him as a result of their liaison. Aphrodite assures him that he will be protected, and tells him that she will bear him a son to be called Aeneas. However, she warns him that he must never tell anyone that he has lain with a goddess. When Aeneas is born, Aphrodite takes him to the nymphs of Mount Ida, instructing them to raise the child to age five, then take him to Anchises. According to other sources, Anchises later brags about his encounter with Aphrodite, and as a result is struck in the foot with a thunderbolt by Zeus. Thereafter he is lame in that foot, so that Aeneas has to carry him from the flames of Troy. Homer's Iliad Aeneas is a minor character in the Iliad, where he is twice saved from death by the gods as if for an as-yet-unknown destiny, but is an honorable warrior in his own right. Having held back from the fighting, aggrieved with Priam because in spite of his brave deeds he was not given his due share of honour, he leads an attack against Idomeneus to recover the body of his brother-in-law Alcathous at the urging of Deiphobus. He is the leader of the Trojans' Dardanian allies, as well as a second cousin and principal lieutenant of Hector, son and heir of the Trojan king Priam. Aeneas's mother Aphrodite frequently comes to his aid on the battlefield, and he is a favorite of Apollo. Aphrodite and Apollo rescue Aeneas from combat with Diomedes of Argos, who nearly kills him, and carry him away to Pergamos for healing. Even Poseidon, who usually favors the Greeks, comes to Aeneas's rescue after he falls under the assault of Achilles, noting that Aeneas, though from a junior branch of the royal family, is destined to become king of the Trojan people. Bruce Louden presents Aeneas as "type": The sole virtuous individual (or family) spared from general destruction, following the mytheme of Utnapishtim, Baucis and Philemon, Noah, and Lot. Pseudo-Apollodorus in his Bibliotheca explains that "... the Greeks [spared] him alone, on account of his piety." Other sources The Roman mythographer Gaius Julius Hyginus ( – CE 17) in his Fabulae credits Aeneas with killing 28 enemies in the Trojan War. Aeneas also appears in the Trojan narratives attributed to Dares Phrygius and Dictys of Crete. Roman myth and literature The history of Aeneas was continued by Roman authors. One influential source was the account of Rome's founding in Cato the Elder's Origines. The Aeneas legend was well known in Virgil's day and appeared in various historical works, including the Roman Antiquities of the Greek historian Dionysius of Halicarnassus (relying on Marcus Terentius Varro), Ab Urbe Condita by Livy (probably dependent on Quintus Fabius Pictor, fl. 200 BCE), and Gnaeus Pompeius Trogus (now extant only in an epitome by Justin). Virgil's Aeneid The Aeneid explains that Aeneas is one of the few Trojans who were not killed or enslaved when Troy fell. Aeneas, after being commanded by the gods to flee, gathered a group, collectively known as the Aeneads, who then traveled to Italy and became progenitors of the Romans. The Aeneads included Aeneas's trumpeter Misenus, his father Anchises, his friends Achates, Sergestus, and Acmon, the healer Iapyx, the helmsman Palinurus, and his son Ascanius (also known as Iulus, Julus, or Ascanius Julius). He carried with him the Lares and Penates, the statues of the household gods of Troy, and transplanted them to Italy. Several attempts to find a new home failed; one such stop was on Sicily, where in Drepanum, on the island's western coast, his father, Anchises, died peacefully. After a brief but fierce storm sent up against the group at Juno's request, Aeneas and his fleet made landfall at Carthage after six years of wanderings. Aeneas had a year-long affair with the Carthaginian queen Dido (also known as Elissa), who proposed that the Trojans settle in her land and that she and Aeneas reign jointly over their peoples. A marriage of sorts was arranged between Dido and Aeneas at the instigation of Juno, who was told that her favorite city would eventually be defeated by the Trojans' descendants. Aeneas's mother Venus (the Roman adaptation of Aphrodite) realized that her son and his company needed a temporary respite to reinforce themselves for the journey to come. However, the messenger god Mercury was sent by Jupiter and Venus to remind Aeneas of his journey and his purpose, compelling him to leave secretly. When Dido learned of this, she uttered a curse that would forever pit Carthage against Rome, an enmity that would culminate in the Punic Wars. She then committed suicide by stabbing herself with the same sword she gave Aeneas when they first met. After the sojourn in Carthage, the Trojans returned to Sicily where Aeneas organized funeral games to honor his father, who had died a year before. The company traveled on and landed on the western coast of Italy. Aeneas descended into the underworld where he met Dido (who turned away from him to return to her husband) and his father, who showed him the future of his descendants and thus the history of Rome. Latinus, king of the Latins, welcomed Aeneas's army of exiled Trojans and let them reorganize their lives in Latium. His daughter Lavinia had been promised to Turnus, king of the Rutuli, but Latinus received a prophecy that Lavinia would be betrothed to one from another land – namely, Aeneas. Latinus heeded the prophecy, and Turnus consequently declared war on Aeneas at the urging of Juno, who was aligned with King Mezentius of the Etruscans and Queen Amata of the Latins. Aeneas's forces prevailed. Turnus was killed, and Virgil's account ends abruptly. Other sources The rest of Aeneas's biography is gleaned from other ancient sources, including Livy and Ovid's Metamorphoses. According to Livy, Aeneas was victorious but Latinus died in the war. Aeneas founded the city of Lavinium, named after his wife. He later welcomed Dido's sister, Anna Perenna, who then committed suicide after learning of Lavinia's jealousy. After Aeneas's death, Venus asked Jupiter to make her son immortal. Jupiter agreed. The river god Numicus cleansed Aeneas of all his mortal parts and Venus anointed him with ambrosia and nectar, making him a god. Aeneas was recognized as the god Jupiter Indiges. English mythology The English once widely claimed as history, an original peopling of their island – prior to the event, a land only of fantastical giants – by descendants of Aeneas, though even in the time of the Renaissance, a non-English audience as well at least one English writer found details of the stories less than convincing. The island known later as Great Britain, was also previously known as Alba, similarity of name supporting connection to the city of Alba in Italy, said to have been built by Alcanius, son of Aeneas, and third ruler of the Latins after Latinus, being either his grandson or step-grandson. Even if one ignored obviously far-fetched elements of this foundation myth of Britain, Johannes Rastell writing in 1529 questioned, along these lines:  Supposing the original Brits were descendants of a line of Latin kings — Brute the son of Silvius, son Alcanius, son of Aeneas who came to the Italian peninsula from Troy — then why should such a fact have escaped record in the writings of Julius Caesar when that Roman military supreme commander had personally surveyed the lands there he had conquered for Rome by 48 BC? And indeed, why should the son Brutus have escaped from Latin histories altogether, given they did deal with Silvius and Alcanius, and 'all they're childera & what became of them & how they endyd that succeeded them as kyngis'? Other details he found were able to be discounted without resort to factual records, or with only very few facts needed other than everyday experience. Were the early inhabitants of Britain giants, descended from the Devil in union with 32 daughters of a king Dioclisian of Syria? To Rastell, if the devil had power to sow such seeds at the earlier time, then why not in his own time? Where were the giants today? Other fanciful elements he reduced by logical deduction from intuitive psychological insights, for example the greatly diminished chance of 32 daughters married to 32 kings on a single day, and all cooperating to kill those 32 husbands in a single night ; or in combination with analysis of logistical realities, such as the suggested voyage of all 32 murderous widows to Britain without dispersion or diversion, over three thousand miles. Rastell was further able to discount the likelihood of any factuality to that ancient tale, due to his failure to discover after diligent research, any authentic record of its origin or explanation as to why such record should be absent. Further reading One surviving version of the Brut chronicle is a late Middle Ages manuscript, known as the St Albans Chronicle. Medieval accounts Snorri Sturlason, in the Prologue of the Prose Edda, tells of the world as parted in three continents: Africa, Asia and the third part called Europe or Enea. Snorri also tells of a Trojan named Munon (or Mennon), who marries the daughter of the High King (Yfirkonungr) Priam called Troan and travels to distant lands, marries the Sybil and got a son, Tror, who, as Snorri tells, is identical to Thor. This tale resembles some episodes of the Aeneid. Continuations of Trojan matter in the Middle Ages had their effects on the character of Aeneas as well. The 12th-century French Roman d'Enéas addresses Aeneas's sexuality. Though Virgil appears to deflect all homoeroticism onto Nisus and Euryalus, making his Aeneas a purely heterosexual character, in the Middle Ages there was at least a suspicion of homoeroticism in Aeneas. The Roman d'Enéas addresses that charge, when Queen Amata opposes Aeneas's marrying Lavinia. Medieval interpretations of Aeneas were greatly influenced by both Virgil and other Latin sources. Specifically, the accounts by Dares and Dictys, which were reworked by the 13th-century Italian writer Guido delle Colonne (in Historia destructionis Troiae), colored many later readings. From Guido, for instance, the Pearl Poet and other English writers get the suggestion that Aeneas's safe departure from Troy with his possessions and family was a reward for treason, for which he was chastised by Hecuba. In Sir Gawain and the Green Knight (late 14th century) the Pearl Poet, like many other English writers, employed Aeneas to establish a genealogy for the foundation of Britain, and explains that Aeneas was "impeached for his perfidy, proven most true" (line 4). Family and legendary descendants Aeneas had an extensive family tree. His wet-nurse was Caieta, and he is the father of Ascanius with Creusa, and of Silvius with Lavinia. Ascanius, also known as Iulus (or Julius), founded Alba Longa and was the first in a long series of kings. According to the mythology used by Virgil in the Aeneid, Romulus and Remus were both descendants of Aeneas through their mother Rhea Silvia, making Aeneas the progenitor of the Roman people. Some early sources call him their father or grandfather, but once the dates of the fall of Troy (1184 BCE) and the founding of Rome (753 BCE) became accepted, authors added generations between them. The Julian family of Rome, most notably Julius Cæsar and Augustus, traced their lineage to Ascanius and Aeneas, thus to the goddess Venus. Through the Julians, the Palemonids make this claim. The legendary kings of Britain – including King Arthur – trace their family through a grandson of Aeneas, Brutus. Character and appearance Aeneas's consistent epithet in Virgil and other Latin authors is pius, a term that connotes reverence toward the gods and familial dutifulness. In the Aeneid, Aeneas is described as strong and handsome, but neither his hair colour nor complexion are described. In late antiquity however sources add further physical descriptions. The De excidio Troiae of Dares Phrygius describes Aeneas as "auburn-haired, stocky, eloquent, courteous, prudent, pious, and charming". There is also a brief physical description found in the 6th-century John Malalas' Chronographia: "Aeneas: short, fat, with a good chest, powerful, with a ruddy complexion, a broad face, a good nose, fair skin, bald on the forehead, a good beard, grey eyes." Modern portrayals Literature Aeneas appears as a character in William Shakespeare's play Troilus and Cressida, set during the Trojan War. Aeneas and Dido are the main characters of a 17th-century broadside ballad called "The Wandering Prince of Troy". The ballad ultimately alters Aeneas's fate from traveling on years after Dido's death to joining her as a spirit soon after her suicide. In modern literature, Aeneas is the speaker in two poems by Allen Tate, "Aeneas at Washington" and "Aeneas at New York". He is a main character in Ursula K. Le Guin's Lavinia, a re-telling of the last six books of the Aeneid told from the point of view of Lavinia, daughter of King Latinus of Latium. Aeneas appears in David Gemmell's Troy series as a main heroic character who goes by the name Helikaon. In Rick Riordan's book series The Heroes of Olympus, Aeneas is regarded as the first Roman demigod, son of Venus rather than Aphrodite. Will Adams' novel City of the Lost assumes that much of the information provided by Virgil is mistaken, and that the true Aeneas and Dido did not meet and love in Carthage but in a Phoenician colony at Cyprus, on the site of the modern Famagusta. Their tale is interspersed with that of modern activists who, while striving to stop an ambitious Turkish Army general trying to stage a coup, accidentally discover the hidden ruins of Dido's palace. Opera, film and other media Aeneas is a title character in Henry Purcell's opera Dido and Aeneas (), and Jakob Greber's (Aeneas in Carthage) (1711), and one of the principal roles in Hector Berlioz' opera Les Troyens (), as well as in Metastasio's immensely popular opera libretto Didone abbandonata. Canadian composer James Rolfe composed his opera Aeneas and Dido (2007; to a libretto by André Alexis) as a companion piece to Purcell's opera. Despite its many dramatic elements, Aeneas's story has generated little interest from the film industry. Ronald Lewis portrayed Aeneas in Helen of Troy, directed by Robert Wise, as a supporting character, who is a member of the Trojan Royal family, and a close and loyal friend to Paris, and escapes at the end of the film. Portrayed by Steve Reeves, he was the main character in the 1961 sword and sandal film Guerra di Troia (The Trojan War). Reeves reprised the role the following year in the film The Avenger, about Aeneas's arrival in Latium and his conflicts with local tribes as he tries to settle his fellow Trojan refugees there. Giulio Brogi, portrayed as Aeneas in the 1971 Italian TV miniseries series called Eneide, which gives the whole story of the Aeneid, from Aeneas escape from to Troy, to his meeting of Dido, his arrival in Italy, and his duel with Turnus. The most recent cinematic portrayal of Aeneas was in the film Troy, in which he appears as a youth charged by Paris to protect the Trojan refugees, and to continue the ideals of the city and its people. Paris gives Aeneas Priam's sword, in order to give legitimacy and continuity to the royal line of Troy – and lay the foundations of Roman culture. In this film, he is not a member of the royal family and does not appear to fight in the war. In the role-playing game Vampire: The Requiem by White Wolf Game Studios, Aeneas figures as one of the mythical founders of the Ventrue Clan. in the action game Warriors: Legends of Troy, Aeneas is a playable character. The game ends with him and the Aeneans fleeing Troy's destruction and, spurned by the words of a prophetess thought crazed, goes to a new country (Italy) where he will start an empire greater than Greece and Troy combined that shall rule the world for 1000 years, never to be outdone in the tale of men (the Roman Empire). In the 2018 TV miniseries Troy: Fall of a City, Aeneas is portrayed by Alfred Enoch. He also featured as an Epic Fighter of the Dardania faction in the Total War Saga: Troy in 2020. Depictions in art Scenes depicting Aeneas, especially from the Aeneid, have been the focus of study for centuries. They have been the frequent subject of art and literature since their debut in the 1st century. Villa Valmarana The artist Giovanni Battista Tiepolo was commissioned by Gaetano Valmarana in 1757 to fresco several rooms in the Villa Valmarana, the family villa situated outside Vicenza. Tiepolo decorated the palazzina with scenes from epics such as Homer's Iliad and Virgil's Aeneid. Aeneas flees Troy Aeneas with Dido Family tree See also Cumaean Sibyl Lacrimae rerum The Golden Bough Latin kings of Alba Longa Notes References Sources Homer, Iliad II. 819–21; V. 217–575; XIII. 455–544; XX. 75–352. Apollodorus, Bibliotheca III. xii. 2; Epitome III. 32–IV. 2; V. 21. Virgil, Aeneid. Ovid, Metamorphoses XIII. 623–715; XIV. 75–153; 581–608. Ovid, Heroides, VII. Livy, Book 1.1–2. Dictys Cretensis. Dares Phrygius. Further reading Cramer, D. "The Wrath of Aeneas: Iliad 13.455–67 and 20.75–352." Syllecta Classica, vol. 11, 2000, pp. 16–33. . de Vasconcellos, P.S. "A Sound Play on Aeneas' Name in the Aeneid: A Brief Note on VII.69." Vergilius (1959–), vol. 61, 2015, pp. 125–29. . Farron, S. "The Aeneas–Dido Episode as an Attack on Aeneas' Mission and Rome." Greece & Rome, vol. 27, no. 1, 1980, pp. 34–47. . . Gowers, E. "Trees and Family Trees in the Aeneid." Classical Antiquity, vol. 30, no. 1, 2011, pp. 87–118. . . Grillo, L. "Leaving Troy and Creusa: Reflections on Aeneas' Flight." The Classical Journal, vol. 106, no. 1, 2010, pp. 43–68. . . Noonan, J. "Sum Pius Aeneas: Aeneas and the Leader as Conservator/Σωτήρ" The Classical Bulletin. vol. 83, no. 1, 2007, pp. 65–91. Putnam, M.C.J. The Humanness of Heroes: Studies in the Conclusion of Virgil's Aeneid. The Amsterdam Vergil lectures, 1. Amsterdam: Amsterdam University Press, 2011. Starr, R.J. "Aeneas the Rhetorician: 'Aeneid IV', 279–95." Latomus, vol. 62, no. 1, 2003, pp. 36–46. . Scafoglio, G. "The Betrayal of Aeneas." Greek, Roman and Byzantine Studies, vol. 53 no. 1, 2013, pp. 1–14. Schauer, M. Aeneas dux in Vergils Aeneis. Eine literarische Fiktion in augusteischer Zeit. Zetemata vol. 128. Munich: C.H. Beck, 2007. External links Warburg Institute Iconographic Database (about 900 images related to the Aeneid) Trojan Leaders Characters in the Aeneid Greek mythological heroes Children of Aphrodite Characters in Roman mythology Heroes who ventured to Hades Demigods in classical mythology Legendary progenitors Metamorphoses characters Articles containing video clips
1541
https://en.wikipedia.org/wiki/April%2013
April 13
Events Pre-1600 1111 – Henry V is crowned Holy Roman Emperor. 1204 – Constantinople falls to the Crusaders of the Fourth Crusade, temporarily ending the Byzantine Empire. 1601–1900 1612 – Samurai Miyamoto Musashi defeats Sasaki Kojirō in a duel at Funajima island. 1613 – Samuel Argall, having captured Pocahontas in Passapatanzy, Virginia, sets off with her to Jamestown with the intention of exchanging her for English prisoners held by her father. 1699 – The Sikh religion is formalised as the Khalsa – the brotherhood of Warrior-Saintsby Guru Gobind Singh in northern India, in accordance with the Nanakshahi calendar. 1742 – George Frideric Handel's oratorio Messiah makes its world premiere in Dublin, Ireland. 1777 – American Revolutionary War: American forces are ambushed and defeated in the Battle of Bound Brook, New Jersey. 1829 – The Roman Catholic Relief Act 1829 gives Roman Catholics in the United Kingdom the right to vote and to sit in Parliament. 1849 – Lajos Kossuth presents the Hungarian Declaration of Independence in a closed session of the National Assembly. 1861 – American Civil War: Union forces surrender Fort Sumter to Confederate forces. 1865 – American Civil War: Raleigh, North Carolina is occupied by Union forces. 1870 – The New York City Metropolitan Museum of Art is founded. 1873 – The Colfax massacre: More than 60 to 150 black men are murdered in Colfax, Louisiana, while surrendering to a mob of former Confederate soldiers and members of the Ku Klux Klan. 1901–present 1909 – The 31 March Incident leads to the overthrow of Sultan Abdul Hamid II. 1919 – Jallianwala Bagh massacre: British Indian Army troops led by Brigadier-General Reginald Dyer kill approximately 379–1,000 unarmed demonstrators including men and women in Amritsar, India; and approximately 1,500 injured. 1941 – A pact of neutrality between the USSR and Japan is signed. 1943 – World War II: The discovery of mass graves of Polish prisoners of war killed by Soviet forces in the Katyń Forest Massacre is announced, causing a diplomatic rift between the Polish government-in-exile in London and the Soviet Union, which denies responsibility. 1943 – The Jefferson Memorial is dedicated in Washington, D.C., on the 200th anniversary of President Thomas Jefferson's birth. 1945 – World War II: German troops kill more than 1,000 political and military prisoners in Gardelegen, Germany. 1945 – World War II: Soviet and Bulgarian forces capture Vienna. 1948 – In an ambush, 78 Jewish doctors, nurses and medical students from Hadassah Hospital, and a British soldier, are massacred by Arabs in Sheikh Jarrah. This event came to be known as the Hadassah medical convoy massacre. 1953 – CIA director Allen Dulles launches the mind-control program Project MKUltra. 1958 – American pianist Van Cliburn is awarded first prize at the inaugural International Tchaikovsky Competition in Moscow. 1960 – The United States launches Transit 1-B, the world's first satellite navigation system. 1964 – At the Academy Awards, Sidney Poitier becomes the first African-American man to win the Best Actor award for the 1963 film Lilies of the Field. 1970 – An oxygen tank aboard the Apollo 13 Service Module explodes, putting the crew in great danger and causing major damage to the Apollo command and service module (codenamed "Odyssey") while en route to the Moon. 1972 – The Universal Postal Union decides to recognize the People's Republic of China as the only legitimate Chinese representative, effectively expelling the Republic of China administering Taiwan. 1972 – Vietnam War: The Battle of An Lộc begins. 1975 – An attack by the Phalangist resistance kills 26 militia members of the Popular Front for the Liberation of Palestine, marking the start of the 15-year Lebanese Civil War. 1976 – The United States Treasury Department reintroduces the two-dollar bill as a Federal Reserve Note on Thomas Jefferson's 233rd birthday as part of the United States Bicentennial celebration. 1976 – Forty workers die in an explosion at the Lapua ammunition factory, the deadliest accidental disaster in modern history in Finland. 1996 – Two women and four children are killed after Israeli helicopter fired rockets at an ambulance in Mansouri, Lebanon. 1997 – Tiger Woods becomes the youngest golfer to win the Masters Tournament. 2017 – The US drops the largest ever non-nuclear weapon on Nangarhar Province, Afghanistan. 2023 – The house of Jack Teixeira was raided in an investigation into leaked Pentagon documents, where he was later arrested on the same day. Births Pre-1600 1229 – Louis II, Duke of Bavaria (d. 1294) 1350 – Margaret III, Countess of Flanders (d. 1405) 1506 – Peter Faber, French priest and theologian, co-founded the Society of Jesus (d. 1546) 1519 – Catherine de' Medici, Italian-French wife of Henry II of France (d. 1589) 1570 – Guy Fawkes, English soldier, member of the Gunpowder Plot (probable; d. 1606) 1573 – Christina of Holstein-Gottorp (d. 1625) 1593 – Thomas Wentworth, 1st Earl of Strafford, English soldier and politician, Lord Lieutenant of Ireland (d. 1641) 1601–1900 1618 – Roger de Rabutin, Comte de Bussy, French author (d. 1693) 1636 – Hendrik van Rheede, Dutch botanist (d. 1691) 1648 – Jeanne Marie Bouvier de la Motte Guyon, French mystic (d. 1717) 1713 – Pierre Jélyotte, French tenor (d. 1797) 1729 – Thomas Percy, Irish bishop and poet (d. 1811) 1732 – Frederick North, Lord North, English politician, Prime Minister of Great Britain (d. 1792) 1735 – Isaac Low, American merchant and politician, founded the New York Chamber of Commerce (d. 1791) 1743 – Thomas Jefferson, American lawyer and politician, 3rd President of the United States (d. 1826) 1747 – Louis Philippe II, Duke of Orléans (d. 1793) 1764 – Laurent de Gouvion Saint-Cyr, French general and politician, French Minister of War (d. 1830) 1769 – Thomas Lawrence, English painter and educator (d. 1830) 1771 – Richard Trevithick, Cornish-English engineer and explorer (d. 1833) 1780 – Alexander Mitchell, Irish engineer, invented the Screw-pile lighthouse (d. 1868) 1784 – Friedrich Graf von Wrangel, Prussian field marshal (d. 1877) 1787 – John Robertson, American lawyer and politician (d. 1873) 1794 – Jean Pierre Flourens, French physiologist and academic (d. 1867) 1802 – Leopold Fitzinger, Austrian zoologist and herpetologist (d. 1884) 1808 – Antonio Meucci, Italian-American engineer (d. 1889) 1810 – Félicien David, French composer (d. 1876) 1824 – William Alexander, Irish archbishop, poet, and theologian (d. 1911) 1825 – Thomas D'Arcy McGee, Irish-Canadian journalist and politician (d. 1868) 1828 – Josephine Butler, English feminist and social reformer (d. 1906) 1828 – Joseph Lightfoot, English bishop and theologian (d. 1889) 1832 – Juan Montalvo, Ecuadorian author and diplomat (d. 1889) 1841 – Louis-Ernest Barrias, French sculptor and academic (d. 1905) 1850 – Arthur Matthew Weld Downing, Irish astronomer (d. 1917) 1851 – Robert Abbe, American surgeon and radiologist (d. 1928) 1851 – William Quan Judge, Irish occultist and theosophist (d. 1896) 1852 – Frank Winfield Woolworth, American businessman, founded the F. W. Woolworth Company (d. 1919) 1854 – Lucy Craft Laney, American founder of the Haines Normal and Industrial School, Augusta, Georgia (d. 1933) 1860 – James Ensor, English-Belgian painter, an important influence on expressionism and surrealism (d. 1949) 1866 – Butch Cassidy, American criminal (d. 1908) 1872 – John Cameron, Scottish international footballer and manager (d. 1935) 1872 – Alexander Roda Roda, Austrian-Croatian journalist and author (d. 1945) 1873 – John W. Davis, American lawyer and politician, 14th United States Solicitor General (d. 1955) 1875 – Ray Lyman Wilbur, American physician, academic, and politician, 31st United States Secretary of the Interior (d. 1949) 1879 – Edward Bruce, American lawyer and painter (d. 1943) 1879 – Oswald Bruce Cooper, American type designer, lettering artist, graphic designer, and educator (d. 1940) 1880 – Charles Christie, Canadian-American businessman, co-founded the Christie Film Company (d. 1955) 1885 – Vean Gregg, American baseball player (d. 1964) 1885 – Juhan Kukk, Estonian politician, Head of State of Estonia (d. 1942) 1885 – György Lukács, Hungarian philosopher and critic (d. 1971) 1885 – Pieter Sjoerds Gerbrandy, Dutch politician (d. 1961) 1887 – Gordon S. Fahrni, Canadian physician and golfer (d. 1995) 1889 – Herbert Yardley, American cryptologist and author (d. 1958) 1890 – Frank Murphy, American jurist and politician, 56th United States Attorney General (d. 1949) 1890 – Dadasaheb Torne, Indian director and producer (d. 1960) 1891 – Maurice Buckley, Australian sergeant, Victoria Cross recipient (d. 1921) 1891 – Nella Larsen, Danish/African-American nurse, librarian, and author (d. 1964) 1891 – Robert Scholl, German accountant and politician (d. 1973) 1892 – Sir Arthur Harris, 1st Baronet, English air marshal (d. 1984) 1892 – Robert Watson-Watt, Scottish engineer, invented Radar (d. 1973) 1894 – Arthur Fadden, Australian accountant and politician, 13th Prime Minister of Australia (d. 1973) 1894 – Joie Ray, American runner (d. 1978) 1896 – Fred Barnett, English footballer (d. 1982) 1897 – Werner Voss, German lieutenant and pilot (d. 1917) 1899 – Alfred Mosher Butts, American architect and game designer, created Scrabble (d. 1993) 1899 – Harold Osborn, American high jumper and decathlete (d. 1975) 1900 – Sorcha Boru, American potter and ceramic sculptor (d. 2006) 1900 – Pierre Molinier, French painter and photographer (d. 1976) 1901–present 1901 – Jacques Lacan, French psychiatrist and psychoanalyst (d. 1981) 1901 – Alan Watt, Australian public servant and diplomat, Australian Ambassador to Japan (d. 1988) 1902 – Philippe de Rothschild, French Grand Prix driver, playwright, and producer (d. 1988) 1902 – Marguerite Henry, American author (d. 1997) 1904 – David Robinson, English businessman and philanthropist (d. 1987) 1905 – Rae Johnstone, Australian jockey (d. 1964) 1906 – Samuel Beckett, Irish novelist, poet, and playwright, Nobel Prize laureate (d. 1989) 1906 – Bud Freeman, American saxophonist, composer, and bandleader (d. 1991) 1907 – Harold Stassen, American lawyer and politician, 25th Governor of Minnesota (d. 2001) 1909 – Eudora Welty, American short story writer and novelist (d. 2001) 1911 – Ico Hitrec, Croatian footballer and manager (d. 1946) 1911 – Jean-Louis Lévesque, Canadian businessman and philanthropist (d. 1994) 1911 – Nino Sanzogno, Italian conductor and composer (d. 1983) 1913 – Dave Albritton, American high jumper and coach (d. 1994) 1913 – Kermit Tyler, American lieutenant and pilot (d. 2010) 1914 – Orhan Veli Kanık, Turkish poet and author (d. 1950) 1916 – Phyllis Fraser, Welsh-American actress, journalist, and publisher, co-founded Beginner Books (d. 2006) 1917 – Robert Orville Anderson, American businessman, founded Atlantic Richfield Oil Co. (d. 2007) 1917 – Bill Clements, American soldier, engineer, and politician, 15th United States Deputy Secretary of Defense (d. 2011) 1919 – Roland Gaucher, French journalist and politician (d. 2007) 1919 – Howard Keel, American actor and singer (d. 2004) 1919 – Madalyn Murray O'Hair, American activist, founded American Atheists (d. 1995) 1920 – Roberto Calvi, Italian banker (d. 1982) 1920 – Claude Cheysson, French lieutenant and politician, French Minister of Foreign Affairs (d. 2012) 1920 – Liam Cosgrave, Irish lawyer and politician, 6th Taoiseach of Ireland (d. 2017) 1920 – Theodore L. Thomas, American chemical engineer, Patent attorney and writer (d. 2005) 1922 – Heinz Baas, German footballer and manager (d. 1994) 1922 – John Braine, English librarian and author (d. 1986) 1922 – Julius Nyerere, Tanzanian politician and teacher, 1st President of Tanzania (d. 1999) 1922 – Valve Pormeister, Estonian architect (d. 2002) 1923 – Don Adams, American actor and director (d. 2005) 1923 – A. H. Halsey, English sociologist and academic (d. 2014) 1924 – John T. Biggers, American painter (d. 2001) 1924 – Jack T. Chick, American author, illustrator, and publisher (d. 2016) 1924 – Stanley Donen, American film director and choreographer (d. 2019) 1926 – Ellie Lambeti, Greek actress (d. 1983) 1926 – John Spencer-Churchill, 11th Duke of Marlborough, English businessman (d. 2014) 1927 – Rosemary Haughton, English philosopher, theologian, and author 1927 – Antonino Rocca, Italian-American wrestler (d. 1977) 1927 – Maurice Ronet, French actor and director (d. 1983) 1928 – Alan Clark, English historian and politician, Minister of State for Trade (d. 1999) 1928 – Gianni Marzotto, Italian racing driver and businessman (d. 2012) 1929 – Marilynn Smith, American golfer (d. 2019) 1931 – Anita Cerquetti, Italian soprano (d. 2014) 1931 – Robert Enrico, French director and screenwriter (d. 2001) 1931 – Dan Gurney, American race car driver and engineer (d. 2018) 1931 – Jon Stone, American composer, producer, and screenwriter (d. 1997) 1932 – Orlando Letelier, Chilean-American economist and politician, Chilean Minister of National Defense (d. 1976) 1933 – Ben Nighthorse Campbell, American soldier and politician 1934 – John Muckler, Canadian ice hockey player, coach, and manager (d. 2021) 1936 – Pierre Rosenberg, French historian and academic 1937 – Col Joye, Australian singer-songwriter and guitarist 1937 – Edward Fox, English actor 1937 – Lanford Wilson, American playwright, co-founded the Circle Repertory Company (d. 2011) 1938 – Klaus Lehnertz, German pole vaulter 1938 – John Weston, English poet and diplomat 1939 – Seamus Heaney, Irish poet and playwright, Nobel Prize laureate (d. 2013) 1939 – Paul Sorvino, American actor and singer (d. 2022) 1940 – Mike Beuttler, Egyptian-English racing driver (d. 1988) 1940 – Lester Chambers, American singer and musician 1940 – J. M. G. Le Clézio, Breton French-Mauritian author and academic, Nobel Prize laureate 1940 – Vladimir Cosma, French composer, conductor and violinist 1940 – Jim McNab, Scottish footballer (d. 2006) 1940 – Max Mosley, English racing driver and engineer, co-founded March Engineering, former president of the FIA (d. 2021) 1940 – Ruby Puryear Hearn, African-American biophysicist 1941 – Michael Stuart Brown, American geneticist and academic, Nobel Prize laureate 1941 – Jean-Marc Reiser, French author and illustrator (d. 1983) 1942 – Bill Conti, American composer and conductor 1943 – Alan Jones, Australian rugby coach and radio host 1943 – Tim Krabbé, Dutch journalist and author 1943 – Philip Norman, English journalist, author, and playwright 1944 – Susan Davis, Russian-American social worker and politician 1945 – Judy Nunn, Australian actress and author 1946 – Al Green, American singer-songwriter, producer, and pastor 1947 – Rae Armantrout, American poet and academic 1947 – Mike Chapman, Australian-English songwriter and producer 1947 – Jean-Jacques Laffont, French economist and academic (d. 2004) 1947 – Thanos Mikroutsikos, Greek composer and politician (d. 2019) 1948 – Nam Hae-il, South Korean admiral 1948 – Drago Jančar, Slovenian author and playwright 1948 – Mikhail Shufutinsky, Soviet and Russian singer, actor, TV presenter 1949 – Len Cook, New Zealand-English mathematician and statistician 1949 – Frank Doran, Scottish lawyer and politician (d. 2017) 1949 – Christopher Hitchens, English-American essayist, literary critic, and journalist (d. 2011) 1950 – Ron Perlman, American actor 1950 – Tommy Raudonikis, Australian rugby league player and coach (d. 2021) 1950 – William Sadler, American actor 1951 – Leszek Borysiewicz, Welsh immunologist and academic 1951 – Peabo Bryson, American singer 1951 – Peter Davison, English actor 1951 – Max Weinberg, American musician and bandleader 1952 – Gabrielle Gourdeau, Canadian writer (d. 2006) 1952 – Jonjo O'Neill, Irish jockey and trainer 1955 – Steve Camp, American singer-songwriter and guitarist 1955 – Muwenda Mutebi II, current King of Buganda Kingdom 1960 – Rudi Völler, German footballer and manager 1963 – Garry Kasparov, Russian chess player and author 1964 – Davis Love III, American golfer and sportscaster 1965 – Patricio Pouchulu, Argentinian architect and educator 1967 – Dana Barros, American basketball player and coach 1967 – Michael Eisen, American biologist and academic 1967 – Olga Tañón, Puerto Rican singer-songwriter 1970 – Ricky Schroder, American actor 1971 – Franck Esposito, French swimmer 1971 – Danie Mellor, Australian painter and sculptor 1971 – Bo Outlaw, American basketball player 1972 – Aaron Lewis, American singer-songwriter and guitarist 1973 – Bokeem Woodbine, American actor 1975 – Lou Bega, German singer 1976 – Jonathan Brandis, American actor (d. 2003) 1976 – Dan Campbell, American football player and coach 1976 – Glenn Howerton, American actor 1977 – Margus Tsahkna, Estonian lawyer and politician 1978 – Carles Puyol, Spanish footballer 1979 – Baron Davis, American basketball player 1980 – Quentin Richardson, American basketball player 1982 – Nellie McKay, British-American singer-songwriter, musician, and actress 1982 – Ty Dolla Sign, American singer, songwriter, and musician 1983 – Hunter Pence, American baseball player 1986 – Lorenzo Cain, American baseball player 1987 – John-Allison Weiss, American singer-songwriter 1988 – Allison Williams, American actress and singer 1989 – Josh Reynolds, Australian rugby league player 1991 – Josh Gordon, American football player 1993 – Melvin Gordon, American football player 1993 – Darrun Hilliard, American basketball player 1994 – Kahraba, Egyptian footballer Deaths Pre-1600 548 – Lý Nam Đế, Vietnamese emperor (b. 503) 585 – Hermenegild, Visigothic prince and saint 799 – Paul the Deacon, Italian monk and historian (b. 720) 814 – Krum, khan of the Bulgarian Khanate 862 – Donald I, king of the Picts (b. 812) 989 – Bardas Phokas, Byzantine general 1035 – Herbert I, Count of Maine 1093 – Vsevolod I of Kiev (b. 1030) 1113 – Ida of Lorraine, saint and noblewoman (b. c. 1040) 1138 – Simon I, Duke of Lorraine (b. 1076) 1213 – Guy of Thouars, regent of Brittany 1275 – Eleanor of England (b. 1215) 1367 – John Tiptoft, 2nd Baron Tibetot (b. 1313) 1592 – Bartolomeo Ammannati, Italian architect and sculptor (b. 1511) 1601–1900 1605 – Boris Godunov, Tsar of Russia (b. 1551) 1612 – Sasaki Kojirō, Japanese samurai (b. 1585) 1635 – Fakhr-al-Din II, Ottoman prince (b. 1572) 1638 – Henri, Duke of Rohan (b. 1579) 1641 – Richard Montagu, English bishop (b. 1577) 1695 – Jean de La Fontaine, French author and poet (b. 1621) 1716 – Arthur Herbert, 1st Earl of Torrington, English admiral and politician (b. 1648) 1722 – Charles Leslie, Irish priest and theologian (b. 1650) 1793 – Pierre Gaspard Chaumette, French botanist, lawyer, and politician (b. 1763) 1794 – Nicolas Chamfort, French playwright and poet (b. 1741) 1826 – Franz Danzi, German cellist, composer, and conductor (b. 1763) 1853 – Leopold Gmelin, German chemist and academic (b. 1788) 1853 – James Iredell, Jr., American lawyer and politician, 23rd Governor of North Carolina (b. 1788) 1855 – Henry De la Beche, English geologist and palaeontologist (b. 1796) 1868 – Tewodros II of Ethiopia (b. 1818) 1880 – Robert Fortune, Scottish botanist and author (b. 1813) 1882 – Bruno Bauer, German historian and philosopher (b. 1809) 1886 – John Humphrey Noyes, American religious leader, founded the Oneida Community (b. 1811) 1890 – Samuel J. Randall, American captain, lawyer, and politician, 33rd Speaker of the United States House of Representatives (b. 1828) 1901–present 1909 – Whitley Stokes, Anglo-Irish lawyer and scholar (b. 1830) 1910 – William Quiller Orchardson, Scottish-English painter and educator (b. 1835) 1911 – John McLane, Scottish-American politician, 50th Governor of New Hampshire (b. 1852) 1911 – George Washington Glick, American lawyer and politician, 9th Governor of Kansas (b. 1827) 1912 – Takuboku Ishikawa, Japanese poet and author (b. 1886) 1917 – Diamond Jim Brady, American businessman and philanthropist (b. 1856) 1918 – Lavr Kornilov, Russian general (b. 1870) 1927 – Georg Voigt, German politician, Mayor of Frankfurt (b. 1866) 1936 – Konstantinos Demertzis, Greek politician 129th Prime Minister of Greece (b. 1876) 1938 – Grey Owl, English-Canadian environmentalist and author (b. 1888) 1941 – Annie Jump Cannon, American astronomer and academic (b. 1863) 1941 – William Twaits, Canadian soccer player (b. 1879) 1942 – Henk Sneevliet, Dutch politician (b. 1883) 1942 – Anton Uesson, Estonian engineer and politician, 17th Mayor of Tallinn (b. 1879) 1944 – Cécile Chaminade, French pianist and composer (b. 1857) 1945 – Ernst Cassirer, Polish-American philosopher and academic (b. 1874) 1954 – Samuel Jones, American high jumper (b. 1880) 1954 – Angus Lewis Macdonald, Canadian lawyer and politician, 12th Premier of Nova Scotia (b. 1890) 1956 – Emil Nolde, Danish-German painter and educator (b. 1867) 1959 – Eduard van Beinum, Dutch pianist, violinist, and conductor (b. 1901) 1961 – John A. Bennett, American soldier (b. 1936) 1962 – Culbert Olson, American lawyer and politician, 29th Governor of California (b. 1876) 1966 – Abdul Salam Arif, Iraqi colonel and politician, 2nd President of Iraq (b. 1921) 1966 – Carlo Carrà, Italian painter (b. 1881) 1966 – Georges Duhamel, French soldier and author (b. 1884) 1967 – Nicole Berger, French actress (b. 1934) 1969 – Alfred Karindi, Estonian pianist and composer (b. 1901) 1971 – Michel Brière, Canadian ice hockey player (b. 1949) 1971 – Juhan Smuul, Estonian author, poet, and screenwriter (b. 1921) 1975 – Larry Parks, American actor and singer (b. 1914) 1975 – François Tombalbaye, Chadian soldier, academic, and politician, 1st President of Chad (b. 1918) 1978 – Jack Chambers, Canadian painter and director (b. 1931) 1978 – Funmilayo Ransome-Kuti, Nigerian educator and women's rights activist (b. 1900) 1980 – Markus Höttinger, Austrian racing driver (b. 1956) 1983 – Gerry Hitchens, English footballer (b. 1934) 1983 – Theodore Stephanides, Greek physician, author, and poet (b. 1896) 1984 – Ralph Kirkpatrick, American harpsichordist and musicologist (b. 1911) 1988 – Jean Gascon, Canadian actor and director (b. 1920) 1992 – Maurice Sauvé, Canadian economist and politician (b. 1923) 1992 – Feza Gürsey, Turkish mathematician and physicist (b. 1921) 1992 – Daniel Pollock, Australian actor (b. 1968) 1993 – Wallace Stegner, American novelist, short story writer, and essayist (b. 1909) 1996 – Leila Mackinlay, English author and educator (b. 1910) 1997 – Bryant Bowles, American soldier and activist, founded the National Association for the Advancement of White People (b. 1920) 1997 – Alan Cooley, Australian public servant (b. 1920) 1997 – Dorothy Frooks, American author and actress (b. 1896) 1997 – Voldemar Väli, Estonian wrestler (b. 1903) 1998 – Patrick de Gayardon, French skydiver and base jumper (b. 1960) 1999 – Ortvin Sarapu, Estonian-New Zealand chess player and author (b. 1924) 1999 – Willi Stoph, German engineer and politician, 2nd Prime Minister of East Germany (b. 1914) 2000 – Giorgio Bassani, Italian author and poet (b. 1916) 2000 – Frenchy Bordagaray, American baseball player and manager (b. 1910) 2004 – Caron Keating, Northern Irish television host (b. 1962) 2005 – Johnnie Johnson, American pianist and songwriter (b. 1924) 2005 – Phillip Pavia, American painter and sculptor (b. 1912) 2006 – Muriel Spark, Scottish novelist, poet, and critic (b. 1918) 2008 – John Archibald Wheeler, American physicist and academic (b. 1911) 2012 – Cecil Chaudhry, Pakistani pilot, academic, and activist (b. 1941) 2012 – Shūichi Higurashi, Japanese illustrator (b. 1936) 2013 – Stephen Dodgson, English composer and educator (b. 1924) 2014 – Ernesto Laclau, Argentinian-Spanish philosopher and theorist (b. 1935) 2014 – Michael Ruppert, American journalist and author (b. 1951) 2015 – Eduardo Galeano, Uruguayan journalist and author (b. 1940) 2015 – Günter Grass, German novelist, poet, playwright, and illustrator, Nobel Prize laureate (b. 1927) 2015 – Herb Trimpe, American author and illustrator (b. 1939) 2017 – Dan Rooney, American football executive and former United States Ambassador to Ireland (b. 1932) 2022 – Michel Bouquet, French stage and film actor (b. 1925) 2022 – Gloria Parker, American musician and bandleader (b.1921) Holidays and observances Christian feast day: Catholic commemoration of Ida of Louvain April 13 (Eastern Orthodox liturgics) Songkran Songkran (Thailand) Water-Sprinkling Festival Vaisakhi (between 1902 and 2011) References External links BBC: On This Day Historical Events on April 13 Days of the year April
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https://en.wikipedia.org/wiki/Amaranth
Amaranth
Amaranthus is a cosmopolitan genus of annual or short-lived perennial plants collectively known as amaranths. Some amaranth species are cultivated as leaf vegetables, pseudocereals, and ornamental plants. Catkin-like cymes of densely packed flowers grow in summer or fall. Amaranth varies in flower, leaf, and stem color with a range of striking pigments from the spectrum of maroon to crimson and can grow longitudinally from tall with a cylindrical, succulent, fibrous stem that is hollow with grooves and bracteoles when mature. There are approximately 75 species in the genus, 10 of which are dioecious and native to North America with the remaining 65 monoecious species endemic to every continent (except Antarctica) from tropical lowlands to the Himalayas. Members of this genus share many characteristics and uses with members of the closely related genus Celosia. Amaranth grain is collected from the genus. The leaves of some species are also eaten. Description Amaranth is a herbaceous plant or shrub that is either annual or perennial across the genus. Flowers vary interspecifically from the presence of 3 or 5 tepals and stamens, whereas a 7-porate pollen grain structure remains consistent across the family. Species across the genus contain concentric rings of vascular bundles, and fix carbon efficiently with a C4 photosynthetic pathway. Leaves are approximately and of oval or elliptical shape that are either opposite or alternate across species, although most leaves are whole and simple with entire margins. Amaranth has a primary root with deeper spreading secondary fibrous root structures. Inflorescences are in the form a large panicle that varies from terminal to axial, color, and sex. The tassel of fluorescence is either erect or bent and varies in width and length between species. Flowers are radially symmetric and either bisexual or unisexual with very small, bristly perianth and pointy bracts. Species in this genus are either monecious (e.g. A. hybridus,) or dioecious (e.g. A. palmeri). Fruits are in the form of capsules referred to as a unilocular pixdio that opens at maturity. The top (operculum) of the unilocular pixdio releases the urn that contains the seed. Seeds are circular form from 1 to 1.5 millimeters in diameter and range in color with a shiny, smooth seed coat. The panicle is harvested 200 days after cultivation with approximately 1,000 to 3,000 seeds harvested per gram. Chemistry Amaranth grain contains phytochemicals that are not defined as nutrients and may be antinutrient factors, such as polyphenols, saponins, tannins, and oxalates. These compounds are reduced in content and antinutrient effect by cooking. Taxonomy Amaranthus shows a wide variety of morphological diversity among and even within certain species. Amaranthus is part of the Amaranthaceae that is part of the larger grouping of the Carophyllales. Although the family (Amaranthaceae) is distinctive, the genus has few distinguishing characters among the 75 species present across six continents. This complicates taxonomy and Amaranthus has generally been considered among systematists as a "difficult" genus and to hybridize often. In 1955, Sauer classified the genus into two subgenera, differentiating only between monoecious and dioecious species: Acnida (L.) Aellen ex K.R. Robertson and Amaranthus. Although this classification was widely accepted, further infrageneric classification was (and still is) needed to differentiate this widely diverse group. Mosyakin and Robertson 1996 later divided into three subgenera: Acnida, Amaranthus, and Albersia. The support for the addition of the subdivision Albersia because of its indehiscent fruits coupled with three elliptic to linear tepals to be exclusive characters to members of this subgenus. The classification of these groups are further supported with a combination of floral characters, reproductive strategies, geographic distribution, and molecular evidence. The phylogenies of Amaranthus using maximum parsimony and Bayesian analysis of nuclear and chloroplast genes suggest five clades within the genus: Diecious / Pumilus, Hybris, Galapagos, Eurasian/ South African, Australian (ESA), ESA + South American. Amaranthus includes three recognised subgenera and 75 species, although species numbers are questionable due to hybridisation and species concepts. Infrageneric classification focuses on inflorescence, flower characters and whether a species is monoecious/dioecious, as in the Sauer (1955) suggested classification. Bracteole morphology present on the stem is used for taxonomic classification of Amaranth. Wild species have longer bracteoles compared to cultivated species. A modified infrageneric classification of Amaranthus includes three subgenera: Acnida, Amaranthus, and Albersia, with the taxonomy further differentiated by sections within each of the subgenera. There is near certainty that A. hypochondriacus is the common ancestor to the cultivated grain species, however the later series of domestication to follow remains unclear. There has been opposing hypotheses of a single as opposed to multiple domestication events of the three grain species. There is evidence of phylogenetic and geographical support for clear groupings that indicate separate domestication events in South America and Central America. A. hybridus may derive from South America, whereas A. caudatus, A. hypochondriacus, and A. quentiensis are native to Central and North America. Species Species include: Amaranthus acanthochiton – greenstripe Amaranthus acutilobus – a synonym of Amaranthus viridis Amaranthus albus – white pigweed, tumble pigweed Amaranthus anderssonii Amaranthus arenicola – sandhill amaranth Amaranthus australis – southern amaranth Amaranthus bigelovii – Bigelow's amaranth Amaranthus blitoides – mat amaranth, prostrate amaranth, prostrate pigweed Amaranthus blitum – purple amaranth Amaranthus brownii – Brown's amaranth Amaranthus californicus – California amaranth, California pigweed Amaranthus cannabinus – tidal-marsh amaranth Amaranthus caudatus – love-lies-bleeding, pendant amaranth, tassel flower, quilete Amaranthus chihuahuensis – Chihuahuan amaranth Amaranthus crassipes – spreading amaranth Amaranthus crispus – crispleaf amaranth Amaranthus cruentus – purple amaranth, red amaranth, Mexican grain amaranth Amaranthus deflexus – large-fruit amaranth Amaranthus dubius – spleen amaranth, khada sag Amaranthus fimbriatus – fringed amaranth, fringed pigweed Amaranthus floridanus – Florida amaranth Amaranthus furcatus Amaranthus graecizans Amaranthus grandiflorus Amaranthus greggii – Gregg's amaranth Amaranthus hybridus – smooth amaranth, smooth pigweed, red amaranth Amaranthus hypochondriacus – Prince-of-Wales feather, prince's feather Amaranthus interruptus – Australian amaranth Amaranthus minimus Amaranthus mitchellii Amaranthus muricatus – African amaranth Amaranthus obcordatus – Trans-Pecos amaranth Amaranthus palmeri – Palmer's amaranth, Palmer pigweed, careless weed Amaranthus polygonoides – tropical amaranth Amaranthus powellii – green amaranth, Powell amaranth, Powell pigweed Amaranthus pringlei – Pringle's amaranth Amaranthus pumilus – seaside amaranth Amaranthus quitensis - Mucronate Amaranth Amaranthus retroflexus – red-root amaranth, redroot pigweed, common amaranth Amaranthus saradhiana - purpal stem amaranth, green leaf amaranth Amaranthus scleranthoides – variously Amaranthus sclerantoides Amaranthus scleropoides – bone-bract amaranth Amaranthus spinosus – spiny amaranth, prickly amaranth, thorny amaranth Amaranthus standleyanus Amaranthus thunbergii – Thunberg's amaranth Amaranthus torreyi – Torrey's amaranth Amaranthus tricolor – Joseph's-coat Amaranthus tuberculatus – rough-fruit amaranth, tall waterhemp Amaranthus viridis – slender amaranth, green amaranth Amaranthus watsonii – Watson's amaranth Amaranthus wrightii – Wright's amaranth Etymology "Amaranth" derives from Greek (), "unfading", with the Greek word for "flower", (), factoring into the word's development as amaranth, the unfading flower. Amarant is an archaic variant. The name was first applied to the related Celosia (Amaranthus and Celosia share long-lasting dried flowers), as Amaranthus plants were not yet known in Europe. Ecology Amaranth weed species have an extended period of germination, rapid growth, and high rates of seed production, and have been causing problems for farmers since the mid-1990s. This is partially due to the reduction in tillage, reduction in herbicidal use and the evolution of herbicidal resistance in several species where herbicides have been applied more often. The following 9 species of Amaranthus are considered invasive and noxious weeds in the U.S. and Canada: A. albus, A. blitoides, A. hybridus, A. palmeri, A. powellii, A. retroflexus, A. spinosus, A. tuberculatus, and A. viridis.[Assad, R., Reshi, Z. A., Jan, S., & Rashid, I. (2017). "Biology of amaranths". The Botanical Review, 83(4), 382-436.] A new herbicide-resistant strain of A. palmeri has appeared; it is glyphosate-resistant and so cannot be killed by herbicides using the chemical. Also, this plant can survive in tough conditions. The species Amaranthus palmeri (Palmer amaranth) causes the greatest reduction in soybean yields and has the potential to reduce yields by 17-68% in field experiments. Palmer amaranth is among the "top five most troublesome weeds" in the southeast of the United States and has already evolved resistances to dinitroaniline herbicides and acetolactate synthase inhibitors. This makes the proper identification of Amaranthus species at the seedling stage essential for agriculturalists. Proper weed control needs to be applied before the species successfully colonizes in the crop field and causes significant yield reductions. An evolutionary lineage of around 90 species within the genus has acquired the carbon fixation pathway, which increases their photosynthetic efficiency. This probably occurred in the Miocene. Uses All parts of the plant are considered edible, though some may have sharp spines that need to be removed before consumption. Nutrition Uncooked amaranth grain by weight is 12% water, 65% carbohydrates (including 7% dietary fiber), 14% protein, and 7% fat (table). A reference serving of uncooked amaranth grain provides of food energy, and is a rich source (20% or more of the Daily Value, DV) of protein, dietary fiber, pantothenic acid, vitamin B6, folate, and several dietary minerals (table). Uncooked amaranth is particularly rich in manganese (159% DV), phosphorus (80% DV), magnesium (70% DV), iron (59% DV), and selenium (34% DV). Amaranth has a high oxalate content. Cooking decreases its nutritional value substantially across all nutrients, with only dietary minerals remaining at moderate levels. Cooked amaranth leaves are a rich source of vitamin A, vitamin C, calcium, and manganese, with moderate levels of folate, iron, magnesium, and potassium. Amaranth does not contain gluten. History The native range of the genus is cosmopolitan. In pre-Hispanic times, amaranth was cultivated by the Aztec and their tributary communities in a quantity very similar to maize. Known to the Aztecs as , amaranth is thought to have represented up to 80% of their energy consumption before the Spanish conquest. Another important use of amaranth throughout Mesoamerica was in ritual drinks and foods. To this day, amaranth grains are toasted much like popcorn and mixed with honey, molasses, or chocolate to make a treat called , meaning "joy" in Spanish. While all species are believed to be native to the Americas, several have been cultivated and introduced to warm regions worldwide. Amaranth's cosmopolitan distribution makes it one of many plants providing evidence of pre-Columbian oceanic contact. The earliest archeological evidence for amaranth in the Old World was found in an excavation in Narhan, India, dated to 1000–800 BCE. Because of its importance as a symbol of indigenous culture, its palatability, ease of cooking, and a protein that is particularly well-suited to human nutritional needs, interest in amaranth seeds (especially A. cruentus and A. hypochondriacus) revived in the 1970s. It was recovered in Mexico from wild varieties and is now commercially cultivated. It is a popular snack in Mexico, sometimes mixed with chocolate or puffed rice, and its use has spread to Europe and other parts of North America. Seed Several species are raised for amaranth "grain" in Asia and the Americas. Amaranth and its relative quinoa are considered pseudocereals because of their similarities to cereals in flavor and cooking. The spread of Amaranthus is of a joint effort of human expansion, adaptation, and fertilization strategies. Grain amaranth has been used for food by humans in several ways. The grain can be ground into a flour for use like other grain flours. It can be popped like popcorn, or flaked like oatmeal. Seeds of Amaranth grain have been found in Antofagasta de la Sierra Department, Catamarca, Argentina in the southern Puna desert of the north of Argentina dating from 4,500 years ago, with evidence suggesting earlier use. Archeological evidence of seeds from A. hypochondriacus and A. cruentus found in a cave in Tehuacán, Mexico, suggests amaranth was part of Aztec civilization in the 1400s. Ancient amaranth grains still used include the three species Amaranthus caudatus, A. cruentus, and A. hypochondriacus. Evidence from single-nucleotide polymorphisms and chromosome structure supports A. hypochondriacus as the common ancestor of the three grain species. It has been proposed as an inexpensive native crop that could be cultivated by indigenous people in rural areas for several reasons: A small amount of seed plants a large area (seeding rate 1 kg/ha). Yields are high compared to the seeding rate: 1,000 kg or more per hectare. It is easily harvested and easily processed, post harvest, as there are no hulls to remove. Its seeds are a source of protein.De Macvean & Pöll (1997). Chapter 8: Ethnobotany. Tropical Tree Seed Manual, USDA Forest Service, edt. J.A Vozzo. It has rich content of the dietary minerals, calcium, magnesium, phosphorus, and potassium. In cooked and edible forms, amaranth retains adequate content of several dietary minerals. It is easy to cook. Boil in water with twice the amount of water as grain by volume (or 2.4 times as much water by weight). Amaranth seed can also be popped one tablespoon at a time in a hot pan without oil, shaken every few seconds to avoid burning. It grows fast and, in three cultivated species, the large seedheads can weigh up to 1 kg and contain a half-million small seeds. In the United States, the amaranth crop is mostly used for seed production. Most amaranth in American food products starts as a ground flour, blended with wheat or other flours to create cereals, crackers, cookies, bread or other baked products. Despite utilization studies showing that amaranth can be blended with other flours at levels above 50% without affecting functional properties or taste, most commercial products use amaranth only as a minor portion of their ingredients despite them being marketed as "amaranth" products. Leaves, roots, and stems Amaranth species are cultivated and consumed as a leaf vegetable in many parts of the world. Four species of Amaranthus are documented as cultivated vegetables in eastern Asia: Amaranthus cruentus, Amaranthus blitum, Amaranthus dubius, and Amaranthus tricolor. Asia In Indonesia and Malaysia, leaf amaranth is called (although the word has since been loaned to refer to spinach, in a different genus). In the Philippines, the Ilocano word for the plant is ; the Tagalog word for the plant is or . In Uttar Pradesh and Bihar in India, it is called and is a popular red leafy vegetable (referred to in the class of vegetable preparations called ). It is called chua in Kumaun area of Uttarakhand, where it is a popular red-green vegetable. In Karnataka in India, it is called () . It is used to prepare curries such as hulee, palya, majjigay-hulee, and so on. In Kerala, it is called cheera and is consumed by stir-frying the leaves with spices and red chili peppers to make a dish called cheera thoran. In Tamil Nadu, it is called and is regularly consumed as a favourite dish, where the greens are steamed and mashed with light seasoning of salt, red chili pepper, and cumin. It is called . In the states of Andhra Pradesh and Telangana and other Telugu speaking regions of the country, this leaf is called as "Thotakura" and is cooked as a standalone curry, added as a part of mix leafy vegetable curry or added in preparation of a popular dal called in (Telugu). In Maharashtra, it is called and is available in both red and white colour. In Orissa, it is called , it is used to prepare , in which the leaf is fried with chili and onions. In West Bengal, the green variant is called () and the red variant is called (). In China, the leaves and stems are used as a stir-fry vegetable, or in soups. In Vietnam, it is called and is used to make soup. Two species are popular as edible vegetable in Vietnam: (Amaranthus tricolor) and or (Amaranthus viridis). Africa A traditional food plant in Africa, amaranth has the potential to improve nutrition, boost food security, foster rural development and support sustainable land care. In Bantu regions of Uganda and western Kenya, it is known as doodo or litoto. It is also known among the Kalenjin as a drought crop (chepkerta). In Lingala (spoken in the Congo), it is known as or . In Nigeria, it is a common vegetable and goes with all Nigerian starch dishes. It is known in Yoruba as , a short form of (meaning "make the husband fat"), or (meaning "we have money left over for fish"). In Botswana, it is referred to as morug and cooked as a staple green vegetable. Europe In Greece, purple amaranth (Amaranthus Blitum) is a popular dish called , or . It is boiled, then served with olive oil and lemon juice like a salad, sometimes alongside fried fish. Greeks stop harvesting the plant (which also grows wild) when it starts to bloom at the end of August. Americas In Brazil, green amaranth was, and to a degree still is, often considered an invasive species as all other species of amaranth (except the generally imported A. caudatus cultivar), though some have traditionally appreciated it as a leaf vegetable, under the names of or , which is consumed cooked, generally accompanying the staple food, rice and beans. In the Caribbean, the leaves are called bhaji in Trinidad and callaloo in Jamaica, and are sautéed with onions, garlic, and tomatoes, or sometimes used in a soup called pepperpot soup. Oil Making up about 5% of the total fatty acids of amaranth, squalene is extracted as a vegetable-based alternative to the more expensive shark oil for use in dietary supplements and cosmetics. Dyes The flowers of the 'Hopi Red Dye' amaranth were used by the Hopi (a tribe in the western United States) as the source of a deep red dye. Also a synthetic dye was named "amaranth" for its similarity in color to the natural amaranth pigments known as betalains. This synthetic dye is also known as Red No. 2 in North America and E123 in the European Union. Ornamentals The genus also contains several well-known ornamental plants, such as Amaranthus caudatus (love-lies-bleeding), a vigorous, hardy annual with dark purplish flowers crowded in handsome drooping spikes. Another Indian annual, A. hypochondriacus (prince's feather), has deeply veined, lance-shaped leaves, purple on the under face, and deep crimson flowers densely packed on erect spikes. Amaranths are recorded as food plants for some Lepidoptera (butterfly and moth) species including the nutmeg moth and various case-bearer moths of the genus Coleophora: C. amaranthella, C. enchorda (feeds exclusively on Amaranthus), C. immortalis (feeds exclusively on Amaranthus), C. lineapulvella, and C. versurella (recorded on A. spinosus). Culture Diego Durán described the festivities for the Aztec god . The Aztec month of (7 December to 26 December) was dedicated to . People decorated their homes and trees with paper flags; ritual races, processions, dances, songs, prayers, and finally human sacrifices were held. This was one of the more important Aztec festivals, and the people prepared for the whole month. They fasted or ate very little; a statue of the god was made out of amaranth seeds and honey, and at the end of the month, it was cut into small pieces so everybody could eat a piece of the god. After the Spanish conquest, cultivation of amaranth was outlawed, while some of the festivities were subsumed into the Christmas celebration. Amaranth is associated with longevity and, poetically, with death and immortality. Amaranth garlands were used in the mourning of Achilles. John Milton's Paradise Lost portrays a showy amaranth in the Garden of Eden, "remov'd from Heav'n" when it blossoms because the flowers "shade the fountain of life". He describes amaranth as "immortal" in reference to the flowers that generally do not wither and retain bright reddish tones of color, even when deceased; referred to in one species as "love-lies-bleeding." Gallery See also Ancient grains References Further reading Howard, Brian Clark. "Amaranth: Another Ancient Wonder Food, But Who Will Eat It?". National Geographic Online, August 12, 2013. Fanton M., Fanton J. Amaranth'' The Seed Savers' Handbook. (1993) Assad, R., Reshi, Z. A., Jan, S., & Rashid, I. (2017). Biology of amaranths. The Botanical Review, 83(4), 382–436. External links Grain amaranth, Crops For A Future Leaf vegetables Tropical agriculture Asian vegetables Pseudocereals E-number additives
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https://en.wikipedia.org/wiki/Agamemnon
Agamemnon
In Greek mythology, Agamemnon (; Agamémnōn) was a king of Mycenae who commanded the Greeks during the Trojan War. He was the son (or grandson) of King Atreus and Queen Aerope, the brother of Menelaus, the husband of Clytemnestra, and the father of Iphigenia, Iphianassa, Electra, Laodike, Orestes and Chrysothemis. Legends make him the king of Mycenae or Argos, thought to be different names for the same area. Agamemnon was killed upon his return from Troy by Clytemnestra, or in an older version of the story, by Clytemnestra's lover Aegisthus. Etymology His name in Greek, Ἀγαμέμνων, means "very steadfast", "unbowed" or "resolute". The word comes from *Ἀγαμέδμων (*Agamédmōn) from ἄγαν, "very much" and μέδομαι, "think on". Description In the account of Dares the Phrygian, Agamemnon was described as ". . .blond, large, and powerful. He was eloquent, wise, and noble, a man richly endowed." Ancestry and early life Agamemnon was a descendant of Pelops, son of Tantalus. According to the common story (as told in the Iliad and Odyssey of Homer), Agamemnon and his younger brother Menelaus were the sons of Atreus, king of Mycenae, and Aerope, daughter of the Cretan king Catreus. However, according to another tradition, Agamemnon and Menelaus were the sons of Atreus' son Pleisthenes, with their mother being Aerope, Cleolla, or Eriphyle. In this tradition, Pleisthenes dies young, with Agamemnon and Menelaus being raised by Atreus. Agamemnon had a sister Anaxibia (or Astyoche) who married Strophius, the son of Crisus. Agamemnon's father, Atreus, murdered the sons of his twin brother Thyestes and fed them to Thyestes after discovering Thyestes' adultery with his wife Aerope. Thyestes fathered Aegisthus with his own daughter, Pelopia, and this son vowed gruesome revenge on Atreus' children. Aegisthus murdered Atreus, restored Thyestes to the throne, and took possession of the throne of Mycenae and jointly ruled with his father. During this period, Agamemnon and his brother Menelaus took refuge with Tyndareus, King of Sparta. In Sparta Agamemnon and Menelaus respectively married Tyndareus' daughters Clytemnestra and Helen. In some stories (such as Iphigenia at Aulis by Euripides) Clytemnestra was already married to Tantalus, and Agamemnon murders him and the couple's infant son before marrying Clytemnestra. Agamemnon and Clytemnestra had four children: one son, Orestes, and three daughters, Iphigenia, Electra, and Chrysothemis. Menelaus succeeded Tyndareus in Sparta, while Agamemnon, with his brother's assistance, drove out Aegisthus and Thyestes to recover his father's kingdom. He extended his dominion by conquest and became the most powerful prince in Greece. Agamemnon's family history had been tarnished by murder, incest, and treachery, consequences of the heinous crime perpetrated by his ancestor, Tantalus, and then of a curse placed upon Pelops, son of Tantalus, by Myrtilus, whom he had murdered. Thus misfortune hounded successive generations of the House of Atreus, until atoned by Orestes in a court of justice held jointly by humans and gods. Trojan War Sailing for Troy Agamemnon gathers the reluctant Greek forces to sail for Troy. In order to recruit Odysseus, who is feigning madness so as to not have to go to war, Agamemnon sends Palamedes, who threatens to kill Odysseus' infant son Telemachus. Odysseus is forced to stop acting mad in order to save his son and joined the assembled Greek forces. Preparing to depart from Aulis, a port in Boeotia, Agamemnon's army incurs the wrath of the goddess Artemis, although the myths give various reasons for this. In Aeschylus' play Agamemnon, Artemis is angry for she predicts that so many young men will die at Troy, whereas in Sophocles' Electra, Agamemnon has slain an animal sacred to Artemis, and subsequently boasts that he is her equal in hunting. Misfortunes, including a plague and a lack of wind, prevent the army from sailing. Finally, the prophet Calchas announces that the wrath of the goddess can only be propitiated by the sacrifice of Agamemnon's daughter Iphigenia. Classical dramatizations differ on how willing either father or daughter are to this fate; some include such trickery as claiming she was to be married to Achilles, but Agamemnon does eventually sacrifice Iphigenia. Her death appeases Artemis and the Greek army set out for Troy. Several alternatives to the human sacrifice have been presented in Greek mythology. Other sources, such as Iphigenia at Aulis, say that Agamemnon is prepared to kill his daughter but that Artemis accepts a deer in her place and whisks her away to Tauris in the Crimean Peninsula. However, this version is widely considered to be the work of an interpolator, and not Euripides himself. Hesiod says she became the goddess Hecate. During the war, but before the events of the Iliad, Odysseus contrives a plan to get revenge on Palamedes for threatening his son’s life. By forging a letter from Priam, king of the Trojans, and caching some gold in Palamedes tent, Odysseus has Palamedes accused of treason and Agamemnon orders him to be stoned to death. The Iliad. The Iliad tells the story of the quarrel between Agamemnon and Achilles in the final year of the war. In Book One, following one of the Achaean Army's raids, Chryseis, daughter of Chryses, one of Apollo's priests, is taken as a war prize by Agamemnon. Chryses pleads with Agamemnon to free his daughter but meets with little success. Chryses then prays to Apollo for the safe return of his daughter. Apollo responds by unleashing a plague over the Achaean Army. The Prophet Calchas tells that the plague may be dispelled by returning Chryseis to her father. After bitterly berating Calchas for his painful prophecies, first forcing him to sacrifice his daughter and now to return his concubine, Agamemnon reluctantly agrees. However, Agamemnon demands a new prize from the army as compensation and seizes Achilles' prize, the beautiful captive Briseis. This creates deadly resentment between Achilles and Agamemnon, causing Achilles to withdraw from battle and refuse to fight. Agamemnon is then visited in a dream by Zeus who tells him to rally his forces and attack the Trojans (in Book Two). After several days of fighting, including duels between Menelaus and Paris, and between Ajax and Hector, the Achaeans are pushed back to the fortifications around their ships. In Book Nine, Agamemnon, having realized Achilles's importance in winning the war, sends ambassadors begging for Achilles to return, offering him riches and the hand of his daughter in marriage. Achilles refuses, only being spurred back into action when Patroclus is killed in battle by Hector, eldest son of King Priam and Queen Hecuba. In Book Nineteen, Agamemnon, reconciled with Achilles, gives him the offered rewards for returning to the war. Achilles sets out to turn back the Trojans and to duel with Hector. After Hector's death, Agamemnon assists Achilles in performing Patroclus' funeral in Book Twenty-three. Agamemnon volunteers for the javelin throwing contest, one of the games being held in Patroclus' honor, but his skill with the javelin is so well known that Achilles awards him the prize without contest. Although not the equal of Achilles in bravery, Agamemnon was a representative of "kingly authority". As commander-in-chief, he summoned the princes to the council and led the army in battle. His chief fault was his overwhelming haughtiness; an over-exalted opinion of his position that led him to insult Chryses and Achilles, thereby bringing great disaster upon the Greeks. Agamemnon was the commander-in-chief of the Greeks during the Trojan War. During the fighting, Agamemnon killed Antiphus and fifteen other Trojan soldiers, according to one source. In the Iliad itself, he is shown to slaughter hundreds more in Book Eleven during his aristea, loosely translated to "day of glory", which is the most similar to Achilles' aristea in Book Twenty-one. Even before his aristea, Agamemnon is considered to be one of the three best warriors on the Greek side, as proven when Hector challenges any champion of the Greek side to fight him in Book Seven, and Agamemnon (along with Diomedes and Ajax the Greater) is one of the three Hector most wishes to fight out of the nine strongest Greek warriors who volunteer. End of the war According to Sophocles's Ajax, after Achilles had fallen in battle Agamemnon and Menelaus award Achilles armor to Odysseus. This angers Ajax, who feels he is the now the strongest among the Achaean warriors and so deserves the armor. Ajax considers killing them, but is driven to madness by Athena and instead slaughters the herdsmen and cattle that had not yet been divided as spoils of war. He then commits suicide in shame for his actions. As Ajax dies he curses the sons of Atreus (Agamemnon and Menelaus), along with the entire Achaean army. Agamemnon and Menelaus consider leaving Ajax's body to rot, denying him a proper burial, but are convinced otherwise by Odysseus and Ajax's half-brother Teucer. After the capture of Troy, Cassandra, the doomed prophetess and daughter of Priam, fell to Agamemnon's lot in the distribution of the prizes of war. Return to Greece and death After a stormy voyage, Agamemnon and Cassandra land in Argolis, or, in another version, are blown off course and land in Aegisthus's country. Clytemnestra, Agamemnon's wife, has taken Aegisthus, son of Thyestes, as a lover. When Agamemnon comes home he is slain by Aegisthus (in the oldest versions of the story) or by Clytemnestra. According to the accounts given by Pindar and the tragedians, Agamemnon is slain in a bath by his wife alone, after being ensnared by a blanket or a net thrown over him to prevent resistance. In Homer's version of the story in the Odyssey, Aegisthus ambushes and kills Agamemnon in a feasting hall under the pretense of holding a feast in honor of Agamemnon's return home from Troy. Clytemnestra also kills Cassandra. Her motivations are her wrath at the sacrifice of Iphigenia (as in the Oresteia and Iphigenia at Aulis) and her jealousy of Cassandra and other war prizes taken by Agamemnon (as in the Odyssey and works by Ovid). Aegisthus and Clytemnestra then rule Agamemnon's kingdom for a time, Aegisthus claiming his right of revenge for Atreus's crimes against Thyestes (Thyestes then crying out "thus perish all the race of Pleisthenes!", thus explaining Aegisthus' action as justified by his father's curse). Agamemnon's son Orestes later avenges his father's murder, with the help or encouragement of his sister Electra, by murdering Aegisthus and Clytemnestra (his own mother), thereby inciting the wrath of the Erinyes (English: the Furies), winged goddesses who track down wrongdoers with their hounds' noses and drive them to insanity. The Curse of the House of Atreus Agamemnon's family history is rife with misfortune, born from several curses contributing to the miasma around the family. The curse begins with Agamemnon's great-grandfather Tantalus, who is in Zeus's favor until he tries to feed his son Pelops to the gods in order to test their omniscience, as well as stealing some ambrosia and nectar. Tantalus is then banished to the underworld, where he stands in a pool of water that evaporates every time he reaches down to drink, and above him is a fruit tree whose branches are blown just out of reach by the wind whenever he reaches for the fruit. This begins the cursed house of Atreus, and his descendants would face similar or worse fates. Later, using his relationship with Poseidon, Pelops convinces the god to grant him a chariot so he may beat Oenomaus, king of Pisa, in a race, and win the hand of his daughter Hippodamia. Myrtilus, who in some accounts helps Pelops win his chariot race, attempts to lie with Pelops's new bride Hippodamia. In anger, Pelops throws Myrtilus off a cliff, but not before Myrtilus curses Pelops and his entire line. Pelops and Hippodamia have many children, including Atreus and Thyestes, who are said to have murdered their half-brother Chrysippus. Pelops banishes Atreus and Thyestes to Mycanae, where Atreus becomes king. Thyestes later conspires with Atreus's wife, Aerope, to supplant Atreus, but they are unsuccessful. Atreus then kills Thyestes' son and cooks him into a meal which Thyestes eats, and afterwards Atreus taunts him with the hands and feet of his now dead son. Thyestes, on the advice of an oracle, then has a son with his own daughter Pelopia. Pelopia tries to expose the infant Aegisthus, but he is found by a shepherd and raised in the house of Atreus. When Aegisthus reaches adulthood Thyestes reveals the truth of his birth, and Aegithus then kills Atreus. Atreus and Aerope have three children, Agamemnon, Menelaus, and Anaxibia. The continued miasma surrounding the house of Atreus expresses itself in several events throughout their lives. Agamemnon is forced to sacrifice his own daughter, Iphigenia, to appease the gods and allow the Greek forces to sail for Troy. When Agamemnon refuses to return Chryseis to her father Chryses, he brings plague upon the Greek camp. He is also later killed by his wife, Clytemnestra, who conspires with her new lover Aegisthus in revenge for the death of Iphigenia. Menelaus's wife, Helen of Troy, runs away with Paris, ultimately leading to the Trojan War. According to book 4 of the Odyssey, after the war his fleet is scattered by the gods to Egypt and Crete. When Menelaus finally returns home, his marriage with Helen is now strained and they produce no sons. Both Agamemnon and Menelaus are cursed by Ajax for not granting him Achilles's armor as he commits suicide. Agamemnon and Clytemnestra have three remaining children, Electra, Orestes, and Chrysothemis. After growing to adulthood and being pressured by Electra, Orestes vows to avenge his father Agamemnon by killing his mother Clytemnestra and Aegisthus. After successfully doing so, he wanders the Greek countryside for many years constantly plagued by the Erinyes (Furies) for his sins. Finally, with the help of Athena and Apollo he is absolved of his crimes, dispersing the miasma, and the curse on house Atreus comes to an end. Other stories Athenaeus tells a tale of how Agamemnon mourns the loss of his friend or lover Argynnus, when he drowns in the Cephisus river. He buries him, honored with a tomb and a shrine to Aphrodite Argynnis. This episode is also found in Clement of Alexandria, in Stephen of Byzantium (Kopai and Argunnos), and in Propertius, III with minor variations. The fortunes of Agamemnon have formed the subject of numerous tragedies, ancient and modern, the most famous being the Oresteia of Aeschylus. In the legends of the Peloponnesus, Agamemnon was regarded as the highest type of a powerful monarch, and in Sparta he was worshipped under the title of Zeus Agamemnon. His tomb was pointed out among the ruins of Mycenae and at Amyclae. In works of art, there is considerable resemblance between the representations of Zeus, king of the gods, and Agamemnon, king of men. He is generally depicted with a sceptre and diadem, conventional attributes of kings. Agamemnon's mare is named Aetha. She is also one of two horses driven by Menelaus at the funeral games of Patroclus. In Homer's Odyssey Agamemnon makes an appearance in the kingdom of Hades after his death. There, the former king meets Odysseus and explains just how he was murdered before he offers Odysseus a warning about the dangers of trusting a woman. Agamemnon is a character in William Shakespeare's play Troilus and Cressida, set during the Trojan War. In media and art Visual arts General works The Mask of Agamemnon, discovered by Heinrich Schliemann in 1876, on display at National Archeological Museum of Athens, Athens The Tomb of Agamemnon, by Louis Desprez, 1787, on display at The Metropolitan Museum of Art, New York Clytemnestra and Agamemnon, by Pierre-Narcisse Guérin, 1817, on display at the Musée des Beaux-Arts d'Orléans, Orléans Electra at the Tomb of Agamemnon, by Frederic Leighton, 1868, on display at Ferens Art Gallery, Kingston upon Hull Agamemnon Killing Odios, anonymous, 1545, on display at The Metropolitan Museum of Art, New York With Iphigenia Sacrifice of Iphigenia, by Arnold Houbraken, 1690–1700, on display at the Rijksmuseum, Amsterdam The Sacrifice of Iphigenia, by Charles de la Fosse, 1680, on display at the Palace of Versailles, Versailles The Sacrifice of Iphigenia, by Gaetano Gandolfi, 1789, on display at The Metropolitan Museum of Art, New York Sacrificio di Ifigenia, by Pietro Testa, 1640 The Sacrifice of Iphigenia, by Giovanni Battista Tiepolo, 1757, on display at the Villa Varmarana, Vicenza Sacrifice of Iphigenia, by Jan Steen, 1671, on display at the Leiden Collection, New York The Sacrifice of Iphigenia, by Sebastian Bourdon, 1653, on display at the Musée des Beaux-Arts d'Orléans, Orléans With Achilles The Quarrel Between Agamemnon and Achilles, by Giovanni Battista Gaulli, 1695, on display at the Museé de l’Oise, Beauvais The Anger of Achilles, by Jacques-Louis David, 1819, on display at Kimbell Art Museum, Fort Worth The Wrath of Achilles, by Michel-Martin Drolling, 1810, on display at the École des Beaux-Arts, Paris Quarrel of Achilles and Agamemnon, by William Page, on display at the Smithsonian American Art Museum, Washington DC Portrayal in film and television The 1924 film Helena by Karl Wüstenhagen The 1956 film Helen of Troy by Robert Douglas The 1961 film The Trojan Horse by Nerio Bernardi The 1962 film The Fury of Achilles by Mario Petri The 1962 film Electra by Theodoros Dimitriou The 1968 TV miniseries The Odyssey by Rolf Boysen The 1977 film Iphigenia by Kostas Kazakos The 1981 film Time Bandits by Sean Connery The 1994 TV series “Babylon 5” John Sheridan’s previous command is the EAS Agamemnon. The 1997 TV miniseries The Odyssey by Yorgo Voyagis The 2003 TV miniseries Helen of Troy by Rufus Sewell The 2004 film Troy by Brian Cox The 2018 TV miniseries Troy: Fall of a City by Johnny Harris See also HMS Agamemnon National Archaeological Museum of Athens Citations General references Secondary sources Aeschylus, Agamemnon in Aeschylus, with an English translation by Herbert Weir Smyth, Ph. D. in two volumes, Vol 2, Cambridge, Massachusetts, Harvard University Press, 1926, Online version at the Perseus Digital Library. Apollodorus, Apollodorus, The Library, with an English Translation by Sir James George Frazer, F.B.A., F.R.S. in 2 Volumes. Cambridge, Massachusetts, Harvard University Press; London, William Heinemann Ltd. 1921. Online version at the Perseus Digital Library. Athenaeus, The Learned Banqueters, Volume VI: Books 12-13.594b, edited and translated by S. Douglas Olson, Loeb Classical Library No. 345, Cambridge, Massachusetts, Harvard University Press, 2011. . Online version at Harvard University Press. Collard, Christopher and Martin Cropp (2008a), Euripides Fragments: Aegeus–Meleanger, Loeb Classical Library No. 504, Cambridge, Massachusetts, Harvard University Press, 2008. . Online version at Harvard University Press. Collard, Christopher and Martin Cropp (2008b), Euripides Fragments: Oedipus-Chrysippus: Other Fragments, Loeb Classical Library No. 506, Cambridge, Massachusetts, Harvard University Press, 2008. . Online version at Harvard University Press. Dictys Cretensis, The Trojan War. The Chronicles of Dictys of Crete and Dares the Phrygian, translated by R. M. Frazer (Jr.). Indiana University Press. 1966. Euripides, Helen, translated by E. P. Coleridge in The Complete Greek Drama, edited by Whitney J. Oates and Eugene O'Neill, Jr. Volume 2. New York. Random House. 1938. Online version at the Perseus Digital Library. Euripides, Iphigenia in Tauris, translated by Robert Potter in The Complete Greek Drama, edited by Whitney J. Oates and Eugene O'Neill, Jr. Volume 2. New York. Random House. 1938. Online version at the Perseus Digital Library. Euripides, Orestes, translated by E. P. Coleridge in The Complete Greek Drama, edited by Whitney J. Oates and Eugene O'Neill, Jr. Volume 1. New York. Random House. 1938. Online version at the Perseus Digital Library. Gantz, Timothy, Early Greek Myth: A Guide to Literary and Artistic Sources, Johns Hopkins University Press, 1996, Two volumes: (Vol. 1), (Vol. 2). Grimal, Pierre, The Dictionary of Classical Mythology, Wiley-Blackwell, 1996. . Hard, Robin, The Routledge Handbook of Greek Mythology: Based on H.J. Rose's "Handbook of Greek Mythology", Psychology Press, 2004, . Google Books. Homer, The Iliad with an English Translation by A.T. Murray, Ph.D. in two volumes. Cambridge, MA., Harvard University Press; London, William Heinemann, Ltd. 1924. Online version at the Perseus Digital Library. Homer, The Odyssey with an English Translation by A.T. Murray, PH.D. in two volumes. Cambridge, MA., Harvard University Press; London, William Heinemann, Ltd. 1919. Online version at the Perseus Digital Library. Hyginus, Gaius Julius, Fabulae, in The Myths of Hyginus, edited and translated by Mary A. Grant, Lawrence: University of Kansas Press, 1960. Online version at ToposText. Most, G.W., Hesiod: The Shield, Catalogue of Women, Other Fragments, Loeb Classical Library, No. 503, Cambridge, Massachusetts, Harvard University Press, 2007, 2018. . Online version at Harvard University Press. Parada, Carlos, Genealogical Guide to Greek Mythology, Jonsered, Paul Åströms Förlag, 1993. . Pausanias, Pausanias Description of Greece with an English Translation by W.H.S. Jones, Litt.D., and H.A. Ormerod, M.A., in 4 Volumes. Cambridge, Massachusetts, Harvard University Press; London, William Heinemann Ltd. 1918. Online version at the Perseus Digital Library. Sophocles, The Ajax of Sophocles. Edited with introduction and notes by Sir Richard Jebb, Sir Richard Jebb. Cambridge. Cambridge University Press. 1893 Online version at the Perseus Digital Library. Primary sources Homer, Iliad Euripides, Electra Sophocles, Electra Seneca, Agamemnon Aeschylus, The Libation Bearers Homer, Odyssey I, 28–31; XI, 385–464 Aeschylus, Agamemnon Apollodorus, Epitome, II, 15 – III, 22; VI, 23 External links Agamemnon – World History Encyclopedia Achaean Leaders Deeds of Artemis Filicide in mythology Greek mythological heroes Kings in Greek mythology Kings of Mycenae Metamorphoses characters
1546
https://en.wikipedia.org/wiki/Aga%20Khan%20III
Aga Khan III
Sir Sultan Mahomed Shah, Aga Khan III (2 November 187711 July 1957) was the 48th Imam of the Nizari Ismaili sect of Islam. He was one of the founders and the first permanent president of the All-India Muslim League (AIML). His goal was the advancement of Muslim agendas and the protection of Muslim rights in British India. The League, until the late 1930s, was not a large organisation but represented landed and commercial Muslim interests as well as advocating for British education during the British Raj. There were similarities in Aga Khan's views on education with those of other Muslim social reformers, but the scholar Shenila Khoja-Moolji argues that he also expressed a distinct interest in advancing women's education for women themselves. Aga Khan called on the British Raj to consider Muslims to be a separate nation within India, the famous 'Two Nation Theory'. Even after he resigned as president of the AIML in 1912, he still exerted a major influence on its policies and agendas. He was nominated to represent India at the League of Nations in 1932 and served as President of the League of Nations from 1937 to 1938. Early life He was born in Karachi, Sindh during the British Raj in 1877 (now Pakistan), to Aga Khan II and his third wife, Nawab A'lia Shamsul-Muluk, who was a granddaughter of Fath Ali Shah of Persia. After Eton College, he went on to study at the University of Cambridge. Career In 1885, at the age of seven, he succeeded his father as Imam of the Shi'a Isma'ili Muslims. The Aga Khan travelled to distant parts of the world to receive the homage of his followers, with the objective either of settling differences or of advancing their welfare through financial help and personal advice and guidance. The distinction of Knight Commander of the Indian Empire (KCIE) was conferred upon him by Queen Victoria in 1897, and he was promoted to Knight Grand Commander (GCIE) in the 1902 Coronation Honours list and invested as such by King Edward VII at Buckingham Palace on October 24, 1902. He was made a Knight Grand Commander of the Order of the Star of India (GCSI) by George V (1912) and appointed a GCMG in 1923. He received recognition for his public services from the German Emperor, the Sultan of Turkey, the Shah of Persia, and other potentates. In 1906, Aga Khan was a founding member and first president of the All India Muslim League, a political party that pushed for the creation of an independent Muslim nation in the north-west regions of India, then under British colonial rule, and later established the country of Pakistan in 1947. During the three Round Table Conferences (India) in London from 1930 to 1932, he played an important role in bringing about Indian constitutional reforms. In 1934, he was made a member of the Privy Council and served as a member of the League of Nations (1934–37), becoming the President of the League of Nations in 1937. Imamat Under the leadership of Sir Sultan Muhammad Shah, Aga Khan III, the first half of the 20th century was a period of significant development for the Ismā'īlī community. Numerous institutions for social and economic development were established in the Indian Subcontinent and in East Africa. Ismailis have marked the jubilees of their Imāms with public celebrations, which are symbolic affirmations of the ties that link the Ismāʿīlī Imām and its followers. Although the Jubilees have no religious significance, they serve to reaffirm the Imamat's worldwide commitment to the improvement of the quality of human life, especially in developing countries. The jubilees of Sir Sultan Mahomed Shah, Aga Khan III, are well remembered. During his 72 years of Imamat (1885–1957), the community celebrated his Golden (1937), Diamond (1946), and Platinum (1954) Jubilees. To show their appreciation and affection, the Ismā'īliyya weighed their Imam in gold, diamonds, and, symbolically, platinum, respectively, the proceeds of which were used to further develop major social welfare and development institutions in Asia and Africa. In India and later in Pakistan, social development institutions were established, in the words of Aga Khan III, "for the relief of humanity". They included institutions such as the Diamond Jubilee Trust and Platinum Jubilee Investments Limited, which in turn assisted the growth of various types of cooperative societies. Diamond Jubilee High School for Girls was established throughout the remote northern areas of what is now Pakistan. In addition, scholarship programmes, established at the time of the Golden Jubilee to give assistance to needy students, were progressively expanded. In East Africa, major social welfare and economic development institutions were established. Those involved in social welfare included the accelerated development of schools and community centres and a modern, fully equipped hospital in Nairobi. Among the economic development institutions established in East Africa were companies such as the Diamond Jubilee Investment Trust (now Diamond Trust of Kenya) and the Jubilee Insurance Company, which are quoted on the Nairobi Stock Exchange and have become major players in national development. Sir Sultan Mahomed Shah also introduced organisational reforms that gave Ismāʿīlī communities the means to structure and regulate their own affairs. These were built on the Muslim tradition of a communitarian ethic on the one hand and a responsible individual conscience with the freedom to negotiate one's own moral commitment and destiny on the other. In 1905, he ordained the first Ismā'īlī Constitution for the social governance of the community in East Africa. The new administration for the community's affairs was organised into a hierarchy of councils at the local, national, and regional levels. The constitution also set out rules in such matters as marriage, divorce, and inheritance, guidelines for mutual cooperation and support among Ismā'īlīs, and their interface with other communities. Similar constitutions were promulgated in India, and all were periodically revised to address emerging needs and circumstances in diverse settings. In 1905, the Aga Khan was involved in the Haji Bibi case, where he was questioned about the origin of his followers. In his response, in addition to enumerating his followers in Iran, Russia, Afghanistan, Central Asia, Syria and other places, he also noted that “In Hindustan and Africa there are many Guptis who believe in me… I consider them Shi’i Imami Ismailis; by caste they are Hindus”. Following the Second World War, far-reaching social, economic and political changes profoundly affected a number of areas where Ismāʿīlīs resided. In 1947, British rule in the Indian Subcontinent was replaced by the sovereign, independent nations of India, Pakistan and later Bangladesh, resulting in the migration of millions people and significant loss of life and property. In the Middle East, the Suez crisis of 1956 as well as the preceding crisis in Iran, demonstrated the sharp upsurge of nationalism, which was as assertive of the region's social and economic aspirations as of its political independence. Africa was also set on its course to decolonisation, swept by what Harold Macmillan, the then British prime minister, termed the "wind of change". By the early 1960s, most of East and Central Africa, where the majority of the Ismāʿīlī population on the continent resided, including Tanganyika, Kenya, Uganda, Madagascar, Rwanda, Burundi and Zaire, had attained their political independence. Religious and social views The Aga Khan was deeply influenced by the views of Sir Sayyid Ahmad Khan. Along with Sir Sayyid, the Aga Khan was one of the backers and founders of the Aligarh University, for which he tirelessly raised funds and to which he donated large sums of his own money. The Aga Khan himself can be considered an Islamic modernist and an intellectual of the Aligarh movement. From a religious standpoint, the Aga Khan followed a modernist approach to Islam. He believed there to be no contradiction between religion and modernity, and urged Muslims to embrace modernity. Although he opposed a wholesale replication of Western society by Muslims, the Aga Khan did believe increased contact with the West would be overall beneficial to Muslim society. He was intellectually open to Western philosophy and ideas, and believed engagement with them could lead to a revival and renaissance within Islamic thought. Like many other Islamic modernists, the Aga Khan held a low opinion of the traditional religious establishment (the ʿUlamāʾ) as well as what he saw as their rigid formalism, legalism, and literalism. Instead, he advocated for renewed ijtihād (independent reasoning) and ijmāʿ (consensus), the latter of which he understood in a modernist way to mean consensus-building. According to him, Muslims should go back to the original sources, especially the Qurʾān, in order to discover the true essence and spirit of Islam. Once the principles of the faith were discovered, they would be seen to be universal and modern. Islam, in his view, had an underlying liberal and democratic spirit. He also called for full civil and religious liberties, peace and disarmament, and an end to all wars. The Aga Khan opposed sectarianism, which he believed to sap the strength and unity of the Muslim community. In specific, he called for a rapprochement between Sunnism and Shīʿism. This did not mean that he thought religious differences would go away, and he himself instructed his Ismāʿīlī followers to be dedicated to their own teachings. However, he believed in unity through accepting diversity, and by respecting differences of opinion. On his view, there was strength to be found in the diversity of Muslim traditions. The Aga Khan called for social reform in Muslim society, and he was able to implement them within his own Ismāʿīlī community. As he believed Islam to essentially be a humanitarian religion, the Aga Khan called for the reduction and eradication of poverty. Like Sir Sayyid, the Aga Khan was concerned that Muslims had fallen behind the Hindu community in terms of education. According to him, education was the path to progress. He was a tireless advocate for compulsory and universal primary education, and also for the creation of higher institutions of learning. In terms of women's rights, the Aga Khan was more progressive in his views than Sir Sayyid and many other Islamic modernists of his time. The Aga Khan framed his pursuit of women's rights not simply in the context of women being better mothers or wives, but rather, for women's own benefit. He endorsed the spiritual equality of men and women in Islam, and he also called for full political equality. This included the right to vote and the right to an education. In regards to the latter issue, he endorsed compulsory primary education for girls. He also encouraged women to pursue higher university-level education, and saw nothing wrong with co-educational institutions. Whereas Sir Sayyid prioritized the education of boys over girls, the Aga Khan instructed his followers that if they had a son and daughter, and if they could only afford to send one of them to school, they should send the daughter over the boy. The Aga Khan campaigned against the institution of purda and zenāna, which he felt were oppressive and un-Islamic institutions. He completely banned the purda and the face veil for his Ismāʿīlī followers. The Aga Khan also restricted polygamy, encouraged marriage to widows, and banned child marriage. He also made marriage and divorce laws more equitable to women. Overall, he encouraged women to take part in all national activities and to agitate for their full religious, social, and political rights. Today, in large part due to the Aga Khan's reforms, the Ismāʿīlī community is one of the most progressive, peaceful, and prosperous branches of Islam. Racehorse ownership and equestrianism He was an owner of Thoroughbred racing horses, including a record equaling five winners of The Derby (Blenheim, Bahram, Mahmoud, My Love, Tulyar) and a total of sixteen winners of British Classic Races. He was a British flat racing Champion Owner thirteen times. According to Ben Pimlott, biographer of Queen Elizabeth II, the Aga Khan presented Her Majesty with a filly called Astrakhan, who won at Hurst Park Racecourse in 1950. In 1926, the Aga Khan gave a cup (the Aga Khan Trophy) to be awarded to the winners of an international team show jumping competition held at the annual horse show of the Royal Dublin Society in Dublin, Ireland, every first week in August. It attracts competitors from all of the main show jumping nations and is carried live on Irish national television. Marriages and children He married, on November 2, 1896, in Pune, India, Shahzadi Begum, his first cousin and a granddaughter of Aga Khan I. He married in 1908, Cleope Teresa Magliano (1888–1926). They had two sons: Prince Giuseppe Mahdi Khan (d. February 1911) and Prince Aly Khan (1911–1960). She died in 1926, following an operation on December 1, 1926. He married, on 7 December 1929 (civil), in Aix-les-Bains, France, and 13 December 1929 (religious), in Bombay, India, Andrée Joséphine Carron (1898–1976). A co-owner of a dressmaking shop in Paris, she became known as Princess Andrée Aga Khan. By this marriage, he had one son, Prince Sadruddin Aga Khan (1933–2003). The couple was divorced in 1943. He married, on October 9, 1944, in Geneva, Switzerland, Begum Om Habibeh Aga Khan (Yvonne Blanche Labrousse) (15 February 19061 July 2000). According to an interview she gave to an Egyptian journalist, her first name was Yvonne, though she is referred to as Yvette in most published references. The daughter of a tram conductor and a dressmaker, she was working as Aga Khan's social secretary at the time of their marriage. She converted to Islam and became known as Om Habibeh (Little Mother of the Beloved). In 1954, her husband bestowed upon her the title "Mata Salamat". Publications He wrote a number of books and papers two of which are of immense importance, namely (1) India in Transition, about the prepartition politics of India and (2) The Memoirs of Aga Khan: World Enough and Time, his autobiography. The Aga Khan III proposed "the South Asiatic Federation" in India in Transition that India might be re-organized into some states, and those states should have own autonomies. He was the first person who designed a detailed plan of such a federation of India. Death and succession Aga Khan III was succeeded as Aga Khan by his grandson Karim Aga Khan, who is the present Imam of the Ismaili Muslims. At the time of his death on 11 July 1957, his family members were in Versoix. A solicitor brought the will of the Aga Khan III from London to Geneva and read it before the family: "Ever since the time of my ancestor Ali, the first Imam, that is to say over a period of thirteen hundred years, it has always been the tradition of our family that each Imam chooses his successor at his absolute and unfettered discretion from amongst any of his descendants, whether they be sons or remote male issue and in these circumstances and in view of the fundamentally altered conditions in the world in very recent years due to the great changes which have taken place including the discoveries of atomic science, I am convinced that it is in the best interest of the Shia Muslim Ismailia Community that I should be succeeded by a young man who has been brought up and developed during recent years and in the midst of the new age and who brings a new outlook on life to his office as Imam. For these reasons, I appoint my grandson Karim, the son of my own son, Aly Salomone Khan to succeed to the title of Aga Khan and to the Imam and Pir of all Shia Ismailian followers" He is buried in the Mausoleum of Aga Khan, on the Nile in Aswan, Egypt (at ). Legacy Pakistan Post issued a special 'Birth Centenary of Agha Khan III' postage stamp in his honor in 1977. Pakistan Post again issued a postage stamp in his honor in its 'Pioneers of Freedom' series in 1990. Honours 21 May 1898 Knight Commander of the Order of the Indian Empire, KCIE 1901 First Class of the Royal Prussian Order of the Crown – in recognition of the valuable services rendered by His Highness to the Imperial German Government in the settlement of various matters with the Mohammedan population of German East Africa 26 June 1902 Knight Grand Commander of the Order of the Indian Empire, GCIE 12 December 1911 Knight Grand Commander of the Order of the Star of India, GCSI 30 May 1923 Knight Grand Cross of the Royal Victorian Order, GCVO – on the occasion of the King's birthday 1 January 1934 Appointed a member of His Majesty's Most Honourable Privy Council by King George V 1 January 1955 Knight Grand Cross of the Order of St Michael and St George, GCMG – References Sources Daftary, F., "The Isma'ilis: Their History and Doctrines", Cambridge University Press, 1990. Khoja-Moolji, Shenila. “Redefining Muslim women: Aga Khan III’s reforms for women’s education.” South Asia Graduate Research Journal 20, no. 1, 2011, 69-94. Khoja-Moolji, Shenila. Forging the Ideal Educated Girl. The Production of Desirable Subjects in Muslim South Asia. Oakland: University of California Press, 2018. Naoroji M. Dumasia, A Brief History of the Aga Khan (1903). Aga Khan III, "The Memoirs of Aga Khan: World Enough and Time", London: Cassel & Company, 1954; published the same year in the United States by Simon & Schuster. Edwards, Anne (1996). "Throne of Gold: The Lives of the Aga Khans", New York: William Morrow, 1996 Naoroji M. Dumasia, "The Aga Khan and his ancestors", New Delhi: Readworthy Publications (P) Ltd., 2008 Valliani, Amin; "Aga Khan's Role in the Founding and Consolidation of the All India Muslim League", Journal of the Pakistan Historical Society (2007) 55# 1/2, pp 85–95. External links Video Clip from the History Channel website Institute of Ismaili Studies: Selected speeches of Sir Sultan Mahomed Shah Aga Khan III The Official Ismaili Website Official Website of Aga Khan Development Network Aga Khan materials in the South Asian American Digital Archive (SAADA) 1877 births 1957 deaths Qajar dynasty Aga Khan Development Network British racehorse owners and breeders Owners of Epsom Derby winners Pakistani racehorse owners and breeders Pakistani philanthropists Pakistani religious leaders 20th-century Indian philanthropists Leaders of the Pakistan Movement Pakistan Movement Aga Khans Indian members of the Privy Council of the United Kingdom Presidents of the Assembly of the League of Nations People educated at Eton College Knights Grand Commander of the Order of the Indian Empire Knights Grand Commander of the Order of the Star of India Knights Grand Cross of the Order of St Michael and St George Knights Grand Cross of the Royal Victorian Order Indian knights Indian Ismailis Pakistani Ismailis Indian imams Pakistani imams 20th-century imams Founders of Indian schools and colleges People from Karachi Pakistani people of Iranian descent Owners of Prix de l'Arc de Triomphe winners Pakistani people of Arab descent British people of Arab descent 19th-century Ismailis 20th-century Ismailis
1550
https://en.wikipedia.org/wiki/Agesilaus%20II
Agesilaus II
Agesilaus II (; ; 445/4 – 360/59 BC) was king of Sparta from c. 400 to c. 360 BC. Generally considered the most important king in the history of Sparta, Agesilaus was the main actor during the period of Spartan hegemony that followed the Peloponnesian War (431–404 BC). Although brave in combat, Agesilaus lacked the diplomatic skills to preserve Sparta's position, especially against the rising power of Thebes, which reduced Sparta to a secondary power after its victory at Leuctra in 371 BC. Despite the traditional secrecy fostered by the Spartiates, the reign of Agesilaus is particularly well-known thanks to the works of his friend Xenophon, who wrote a large history of Greece (the Hellenica) covering the years 411 to 362 BC, therefore extensively dealing with Agesilaus' rule. Xenophon furthermore composed a panegyric biography of his friend, perhaps to clean his memory from the criticisms voiced against him. Another historical tradition—much more hostile to Agesilaus than Xenophon's writings—has been preserved in the Hellenica Oxyrhynchia, and later continued by Diodorus of Sicily. Moreover, Plutarch wrote a biography of Agesilaus in his Parallel Lives, which contains many elements deliberately omitted by Xenophon. Early life Youth Agesilaus' father was King Archidamos II (r. 469–427), who belonged to the Eurypontid dynasty, one of the two royal families of Sparta. Archidamos already had a son from a first marriage with Lampito (his own step-aunt) named Agis. After the death of Lampito, Archidamos remarried in the early 440s with Eupolia, daughter of Melesippidas, whose name indicates an aristocratic status. The dates of Agesilaus' birth, death, and reign are disputed. The only secured information is that he was 84 at his death. The majority opinion is to date his birth to 445/4, but a minority of scholars move it a bit later, c.442. Most of the other dates of Agesilaus are similarly disputed, with the minority moving them about two years later than the majority. Agesilaus also had a sister named Kyniska (the first woman in ancient history to achieve an Olympic victory). The name Agesilaus was rare and harks back to Agesilaus I, one of the earliest kings of Sparta. Agesilaus was born lame, a fact that should have cost him his life, since in Sparta deformed babies were thrown into a chasm. As he was not heir-apparent, he might have received some leniency from the tribal elders who examined male infants, or perhaps the first effects of the demographic decline of Sparta were already felt at the time, and only the most severely impaired babies were killed. At the age of 7, Agesilaus had to go through the rigorous education system of Sparta, called the agoge. Despite his disability, he brilliantly completed the training, which massively enhanced his prestige, especially after he became king. Indeed, as heirs-apparent were exempted of the agoge, few Spartan kings had gone through the same training as the citizens; another notable exception was Leonidas, the embodiment of the "hero-king". Between 433 and 428, Agesilaus also became the younger lover of Lysander, an aristocrat from the circle of Archidamos, whose family had some influence in Libya. Spartan prince Little is known of Agesilaus' adult life before his reign, principally because Xenophon—his friend and main biographer—only wrote about his reign. Due to his special status, Agesilaus likely became a member of the Krypteia, an elite corps of young Spartans going undercover in Spartan territory to kill some helots deemed dangerous. Once he turned 20 and became a full citizen, Agesilaus was elected to a common mess, presumably that of his elder half-brother Agis II, who had become king in 427, of which Lysander was perhaps a member. Agesilaus probably served during the Peloponnesian War (431–404) against Athens, likely at the Battle of Mantinea in 418. Agesilaus married Kleora at some point between 408 and 400. Despite the influence she apparently had on her husband, she is mostly unknown. Her father was Aristomenidas, an influential noble with connections in Thebes. Thanks to three treaties signed with Persia in 412–411, Sparta received funding from the Persians, which it used to build a fleet that ultimately defeated Athens. This fleet was essentially led by Lysander, whose success gave him an enormous influence in the Greek cities of Asia as well as in Sparta, where he even schemed to become king. In 403 the two kings, Agis and Pausanias, acted together to relieve him from his command. Reign Accession to the throne (400–398 BC) Agis II died while returning from Delphi between 400 and 398. After his funeral, Agesilaus contested the claim of Leotychidas, the son of Agis II, using the widespread belief in Sparta that Leotychidas was an illegitimate son of Alcibiades—a famous Athenian statesman and nephew of Pericles, who had gone into exile in Sparta during the Peloponnesian War, and then seduced the queen. The rumours were strengthened by the fact that even Agis only recognised Leotychidas as his son on his deathbed. Diopeithes, a supporter of Leotychidas, however quoted an old oracle telling that a Spartan king could not be lame, thus refuting Agesilaus' claim, but Lysander cunningly returned the objection by saying that the oracle had to be understood figuratively. The lameness warned against by the oracle would therefore refer to the doubt on Leotychidas' paternity, and this reasoning won the argument. The role of Lysander in the accession of Agesilaus has been debated among historians, principally because Plutarch makes him the main instigator of the plot, while Xenophon downplays Lysander's influence. Lysander doubtless supported Agesilaus' accession because he hoped that the new king would in return help him to regain the importance that he lost in 403. Conspiracy of Cinadon (399 BC) The Conspiracy of Cinadon took place during the first year of Agesilaus' reign, in the summer of 399. Cinadon was a hypomeion, a Spartan who had lost his citizen status, presumably because he could not afford the price of the collective mess—one of the main reasons for the dwindling number of Spartan citizens in the Classical Era, called oliganthropia. It is probable that the vast influx of wealth coming to the city after its victory against Athens in 404 triggered inflation in Sparta, which impoverished many citizens with a fixed income, like Cinadon, and caused their downgrade. Therefore, the purpose of the plot was likely to restore the status of these disfranchised citizens. However, the plot was uncovered and Cinadon and its leaders executed—probably with the active participation of Agesilaus, but no further action was taken to solve the social crisis at the origin of the conspiracy. The failure of Agesilaus to acknowledge the critical problem suffered by Sparta at the time has been criticised by modern historians. Invasion of Asia Minor (396–394 BC) According to the treaties signed in 412 and 411 between Sparta and the Persian Empire, the latter became the overlord of the Greek city-states of Asia Minor. In 401, these cities and Sparta supported the bid of Cyrus the Younger (the Persian Emperor's younger son and a good friend of Lysander) against his elder brother, the new emperor Artaxerxes II, who nevertheless defeated Cyrus at Cunaxa. As a result, Sparta remained at war with Artaxerxes, and supported the Greek cities of Asia, which fought against Tissaphernes, the satrap of Lydia and Caria. In 397 Lysander engineered a large expedition in Asia headed by Agesilaus, likely to recover the influence he had over the Asian cities at the end of the Peloponnesian War. In order to win the approval of the Spartan assembly, Lysander built an army with only 30 Spartan citizens, so the risk would be limited; the bulk of the army consisted of 2,000 neodamodes (freed helots) and 6,000 Greek allies. In addition, Agesilaus obtained the support of the oracles of Zeus at Olympia and Apollo at Delphi. The sacrifice at Aulis (396 BC) Lysander and Agesilaus had intended the expedition to be a Panhellenic enterprise, but Athens, Corinth, and especially Thebes, refused to participate. In Spring 396, Agesilaus came to Aulis (in Boeotian territory) to sacrifice on the place where Agamemnon had done so just before his departure to Troy at the head of the Greek army in the Iliad, thus giving a grandiose aspect to the expedition. However he did not inform the Boeotians and brought his own seer to perform the sacrifice, instead of the local one. Learning this, the Boeotians prevented him from sacrificing and further humiliated him by casting away the victim; they perhaps intended to provoke a confrontation, as the relations between Sparta and Thebes had become execrable. Agesilaus then left to Asia, but Thebes remained hateful to him for the rest of his life. Campaign in Asia (396–394 BC) Once Agesilaus landed in Ephesus, the Spartan main base, he concluded a three months' truce with Tissaphernes, likely to settle the affairs among the Greek allies. He integrated some of the Greek mercenaries formerly hired by Cyrus the Younger (the Ten Thousand) in his army. They had returned from Persia under the leadership of Xenophon, who also remained in Agesilaus' staff. In Ephesus, Agesilaus' authority was nevertheless overshadowed by Lysander, who was reacquainted with many of his supporters, men he had placed in control of the Greek cities at the end of the Peloponnesian War. Angered by his local aura, Agesilaus humiliated Lysander several times to force him to leave the army, despite his former relationship and Lysander's role in his accession to the throne. Plutarch adds that after Agesilaus' emancipation from him, Lysander returned to his undercover scheme to make the monarchy elective. After Lysander's departure, Agesilaus raided Phrygia, the satrapy of Pharnabazus, until his advance guard was defeated not far from Daskyleion by the superior Persian cavalry. He then wintered at Ephesus, where he trained a cavalry force, perhaps on the advice of Xenophon, who had commanded the cavalry of the Ten Thousand. In 395, the Spartan king managed to trick Tissaphernes into thinking that he would attack Caria, in the south of Asia Minor, forcing the satrap to hold a defence line on the Meander river. Instead, Agesilaus moved north to the important city of Sardis. Tissaphernes hastened to meet the king there, but his cavalry sent in advance was defeated by Agesilaus' army. After his victory at the Battle of Sardis, Agesilaus became the first king to be given the command of both land and sea. He delegated the naval command to his brother-in-law Peisander, whom he appointed navarch despite his inexperience; perhaps Agesilaus wanted to avoid the rise of a new Lysander, who owed his prominence to his time as navarch. After his defeat, Tissaphernes was executed and replaced as satrap by Tithraustes, who gave Agesilaus 30 talents to move north to the satrapy of Pharnabazus (Persian satraps were often bitter rivals). Augesilaus' Phrygian campaign of 394 was fruitless, as he lacked the siege equipment required to take the fortresses of Leonton Kephalai, Gordion, and Miletou Teichos.Xenophon tells that Agesilaus then wanted to campaign further east in Asia and sow discontent among the subjects of the Achaemenid empire, or even to conquer Asia. Plutarch went further and wrote that Agesilaus had prepared an expedition to the heart of Persia, up to her capital of Susa, thus making him a forerunner of Alexander the Great. It is very unlikely that Agesilaus really had such a grand campaign in mind; regardless, he was soon forced to return to Europe in 394. Corinthian War (395–387 BC) Although Thebes and Corinth had been allies of Sparta throughout the Peloponnesian War, they were dissatisfied by the settlement of the war in 404, with Sparta as leader of the Greek world. Sparta's imperialist expansion in the Aegean greatly upset its former allies, notably by establishing friendly regimes and garrisons in smaller cities. Through large gifts, Tithraustes also encouraged Sparta's former allies to start a war in order to force the recall of Agesilaus from Asia—even though the influence of Persian gold has been exaggerated. The initiative came from Thebes, which provoked a war between their ally Ozolian Locris and Phocis in order to bring Sparta to the latter's defence. Lysander and the other king Pausanias entered Boeotia, which enabled the Thebans to bring Athens in the war. Lysander then besieged Haliartus without waiting for Pausanias and was killed in a Boeotian counter-attack. In Sparta, Pausanias was condemned to death by Lysander's friends and went into exile. After its success at Haliartus, Thebes was able to build a coalition against Sparta, with notably Argos and Corinth, where a war council was established, and securing the defection of most of the cities of northern and central Greece. Unable to wage war on two fronts and with the loss of Lysander and Pausanias, Sparta had no choice but to recall Agesilaus from Asia. The Asian Greeks fighting for him said they wanted to continue serving with him, while Agesilaus promised he would return to Asia as soon as he could. Agesilaus returned to Greece by land, crossing the Hellespont and from there along the coast of the Aegean Sea. In Thessaly he won a cavalry battle near Narthacium against the Pharsalians who had made an alliance with Thebes. He then entered Boeotia by the Thermopylae, where he received reinforcements from Sparta. Meanwhile, Aristodamos—the regent of the young Agiad king Agesipolis—won a major victory at Nemea near Argos, which was offset by the disaster of the Spartan navy at Knidos against the Persian fleet led by Konon, an exiled Athenian general. Agesilaus lied to his men about the outcome of the battle of Knidos to avoid demoralising them as they were about to fight a large engagement against the combined armies of Thebes, Athens, Argos and Corinth. The following Battle of Coroneia was a classic clash between two lines of hoplites. The anti-Spartan allies were rapidly defeated, but the Thebans managed to retreat in good order, despite Agesilaus' activity on the front line, which caused him several injuries. The next day the Thebans requested a truce to recover their dead, therefore conceding defeat, although they had not been bested on the battlefield. Agesilaus appears to have tried to win an honourable victory, by risking his life and being merciful with some Thebans who had sought shelter in the nearby Temple of Athena Itonia. He then moved to Delphi, where he offered one tenth of the booty he had amassed since his landing at Ephesos, and returned to Sparta. No pitched battle took place in Greece in 393. Perhaps Agesilaus was still recovering from his wounds, or he was deprived of command because of the opposition of Lysander's and Pausanias' friends, who were disappointed by his lack of decisive victory and his appointment of Peisander as navarch before the disaster of Knidos. The loss of the Spartan fleet besides allowed Konon to capture the island of Kythera, in the south of the Peloponnese, from where he could raid Spartan territory. In 392, Sparta sent Antalcidas to Asia in order to negotiate a general peace with Tiribazus, the satrap of Lydia, while Sparta would recognise Persia's sovereignty over the Asian Greek cities. However, the Greek allies also sent emissaries to Sardis to refuse Antalcidas' plan, and Artaxerxes likewise rejected it. A second peace conference in Sparta failed the following year because of Athens. A personal enemy of Antalcidas, Agesilaus likely disapproved these talks, which show that his influence at home had waned. Plutarch says that he befriended the young Agiad king Agesipolis, possibly to prevent his opponents from coalescing behind him. By 391 Agesilaus had apparently recovered his influence as he was appointed at the head of the army, while his half-brother Teleutias became navarch. The target was Argos, which had absorbed Corinth into a political union the previous year. In 390 BC he made several successful expeditions into Corinthian territory, capturing Lechaeum and Peiraion. The loss, however, of a battalion (mora), destroyed by Iphicrates, neutralised these successes, and Agesilaus returned to Sparta. In 389 BC he conducted a campaign in Acarnania, but two years later the Peace of Antalcidas, warmly supported by Agesilaus, put an end to the war, maintaining Spartan hegemony over Greece and returning the Greek cities of Asia Minor to the Achaemenid Empire. In this interval, Agesilaus declined command over Sparta's aggression on Mantineia, and justified Phoebidas' seizure of the Theban Cadmea so long as the outcome provided glory to Sparta. Decline When war broke out afresh with Thebes, Agesilaus twice invaded Boeotia (in 378 and 377 BC), although he spent the next five years largely out of action due to an unspecified but apparently grave illness. In the congress of 371 an altercation is recorded between him and the Theban general Epaminondas, and due to his influence, Thebes was peremptorily excluded from the peace, and orders given for Agesilaus's royal colleague Cleombrotus to march against Thebes in 371. Cleombrotus was defeated and killed at the Battle of Leuctra and the Spartan supremacy overthrown. In 370 Agesilaus was engaged in an embassy to Mantineia, and reassured the Spartans with an invasion of Arcadia. He preserved an unwalled Sparta against the revolts and conspiracies of helots, perioeci and even other Spartans; and against external enemies, with four different armies led by Epaminondas penetrating Laconia that same year. Asia Minor expedition (366 BC) In 366 BC, Sparta and Athens, dissatisfied with the Persian king's support of Thebes following the embassy of Philiscus of Abydos, decided to provide careful military support to the opponents of the Achaemenid king. Athens and Sparta provided support for the revolting satraps in the Revolt of the Satraps, in particular Ariobarzanes: Sparta sent a force to Ariobarzanes under an aging Agesilaus, while Athens sent a force under Timotheus, which was however diverted when it became obvious that Ariobarzanes had entered frontal conflict with the Achaemenid king. An Athenian mercenary force under Chabrias was also sent to the Egyptian Pharaoh Tachos, who was also fighting against the Achaemenid king. According to Xenophon, Agesilaus, in order to gain money for prosecuting the war, supported the satrap Ariobarzanes of Phrygia in his revolt against Artaxerxes II in 364 (Revolt of the Satraps). Again, in 362, Epaminondas almost succeeded in seizing the city of Sparta with a rapid and unexpected march. The Battle of Mantinea, in which Agesilaus took no part, was followed by a general peace: Sparta, however, stood aloof, hoping even yet to recover her supremacy. Expedition to Egypt Sometime after the Battle of Mantineia, Agesilaus went to Egypt at the head of a mercenary force to aid the king Nectanebo I and his regent Teos against Persia. In the summer of 358, he transferred his services to Teos's cousin and rival, Nectanebo II, who, in return for his help, gave him a sum of over 200 talents. On his way home Agesilaus died in Cyrenaica, around the age of 84, after a reign of some 41 years. His body was embalmed in wax, and buried at Sparta. He was succeeded by his son Archidamus III. Legacy Agesilaus was of small stature and unimpressive appearance, and was lame from birth. These facts were used as an argument against his succession, an oracle having warned Sparta against a "lame reign." Most ancient writers considered him a highly successful leader in guerrilla warfare, alert and quick, yet cautious—a man, moreover, whose personal bravery was rarely questioned in his own time. Of his courage, temperance, and hardiness, many instances are cited, and to these were added the less Spartan qualities of kindliness and tenderness as a father and a friend. As examples, there was the story of his riding a stick-horse with his children and upon being discovered by a friend desiring that the friend not mention what he had seen until he was the father of children; and because of the affection of his son Archidamus for Cleonymus, he saved Sphodrias, Cleonymus' father, from execution for his incursion into Piraeus and dishonourable retreat in 378. Modern writers tend to be slightly more critical of Agesilaus' reputation and achievements, reckoning him an excellent soldier, but one who had a poor understanding of sea power and siege-craft. As a statesman he won himself both enthusiastic adherents and bitter enemies. Agesilaus was most successful in the opening and closing periods of his reign: commencing but then surrendering a glorious career in Asia; and in extreme age, maintaining his prostrate country. Other writers acknowledge his extremely high popularity at home, but suggest his occasionally rigid and arguably irrational political loyalties and convictions contributed greatly to Spartan decline, notably his unremitting hatred of Thebes, which led to Sparta's humiliation at the Battle of Leuctra and thus the end of Spartan hegemony. Historian J. B. Bury remarks that "there is something melancholy about his career:" born into a Sparta that was the unquestioned continental power of Hellas, the Sparta which mourned him eighty four years later had suffered a series of military defeats which would have been unthinkable to his forebears, had seen its population severely decline, and had run so short of money that its soldiers were increasingly sent on campaigns fought more for money than for defense or glory. Other historical accounts paint Agesilaus as a prototype for the ideal leader. His awareness, thoughtfulness, and wisdom were all traits to be emulated diplomatically, while his bravery and shrewdness in battle epitomised the heroic Greek commander. These historians point towards the unstable oligarchies established by Lysander in the former Athenian Empire and the failures of Spartan leaders (such as Pausanias and Kleombrotos) for the eventual suppression of Spartan power. The ancient historian Xenophon was a huge admirer and served under Agesilaus during the campaigns into Asia Minor. Plutarch includes among Agesilaus' 78 essays and speeches comprising the apophthegmata Agesilaus' letter to the ephors on his recall: And when asked whether Agesilaus wanted a memorial erected in his honour: Agesilaus lived in the most frugal style alike at home and in the field, and though his campaigns were undertaken largely to secure booty, he was content to enrich the state and his friends and to return as poor as he had set forth. Selected quotes When someone was praising an orator for his ability to magnify small points, Agesilaus said, "In my opinion it's not a good cobbler who fits large shoes on small feet." Another time Agesilaus watched a mouse being pulled from its hole by a small boy. When the mouse turned around, bit the hand of its captor and escaped, he pointed this out to those present and said, "When the tiniest creature defends itself like this against aggressors, what ought men to do, do you reckon?" Certainly when somebody asked what gain the laws of Lycurgus had brought Sparta, Agesilaus answered, "Contempt for pleasures." Asked once how far Sparta's boundaries stretched, Agesilaus brandished his spear and said, "As far as this can reach." On noticing a house in Asia roofed with square beams, Agesilaus asked the owner whether timber grew square in that area. When told no, it grew round, he said, "What then? If it were square, would you make it round?" Invited to hear an actor who could perfectly imitate the nightingale, Agesilaus declined, saying he had heard the nightingale itself. Notes References Sources Ancient sources Plutarch, Parallel Lives. Xenophon, Hellenica. Modern sources Hans Beck & Peter Funke, Federalism in Greek Antiquity, Cambridge University Press, 2015. Paul Cartledge, Sparta and Lakonia, A Regional History 1300–362 BC, London, Routledge, 1979 (originally published in 1979). George L. Cawkwell, "Agesilaus and Sparta", The Classical Quarterly 26 (1976): 62–84. David, Ephraim. Sparta Between Empire and Revolution (404-243 BC): Internal Problems and Their Impact on Contemporary Greek Consciousness. New York: Arno Press, 1981. Forrest, W.G. A History of Sparta, 950-192 B.C. 2d ed. London: Duckworth, 1980. Dustin A. Gish, "Spartan Justice: The Conspiracy of Kinadon in Xenophon's Hellenika", in Polis, vol. 26, no. 2, 2009, pp. 339–369. Hamilton, Charles D. Sparta's Bitter Victories: Politics and Diplomacy in the Corinthian War. Ithaca, NY: Cornell University Press, 1979. D. M. Lewis, John Boardman, Simon Hornblower, M. Ostwald (editors), The Cambridge Ancient History, vol. VI, The Fourth Century B.C., Cambridge University Press, 1994. Anton Powell (editor), A Companion to Sparta, Volume I, Hoboken/Chichester, Wiley Blackwell, 2018. D. R. Shipley, A Commentary on Plutarch's Life of Agesilaos: Response to Sources in the Presentation of Character, Oxford, Clarendon Press, 1997. Debby Sneed, "Disability and Infanticide in Ancient Greece", Hesperia: The Journal of the American School of Classical Studies at Athens, Vol. 90, No. 4, 2021, pp. 747–772. Maria Stamatopoulou, "Thessalians Abroad, the Case of Pharsalos", in Mediterranean Historical Review, vol. 22.2 (2007), pp. 211–236. Graham Wylie, "Agesilaus and the Battle of Sardis", in Klio, n°74 (1992), pp. 118–130. 440s BC births Year of birth uncertain 358 BC deaths Year of death uncertain 4th-century BC Spartans Eurypontid kings of Sparta Ancient Greek generals Ancient Greek LGBT people Spartan hegemony
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https://en.wikipedia.org/wiki/Agrippina%20the%20Elder
Agrippina the Elder
(Vipsania) Agrippina the Elder (also, in Latin, , "Germanicus's Agrippina"; – AD 33) was a prominent member of the Julio-Claudian dynasty. She was the daughter of Marcus Vipsanius Agrippa (a close supporter of the first Roman emperor, Augustus) and Augustus' daughter, Julia the Elder. Her brothers Lucius and Gaius Caesar were the adoptive sons of Augustus, and were his heirs until their deaths in AD 2 and 4, respectively. Following their deaths, her second cousin Germanicus was made the adoptive son of Tiberius, Augustus' stepson, as part of the succession scheme in the adoptions of AD 4 (in which Tiberius was adopted by Augustus). As a result of the adoption, Agrippina was wed to Germanicus in order to bring him closer to the Julian family. Agrippina the Elder is known to have traveled with Germanicus throughout his career, taking her children wherever they went. In AD 14, Germanicus was deployed in Gaul as a governor and general, and, while there, the late Augustus sent her son Gaius to stay with her. Agrippina liked to dress him in a little soldiers' outfit for which Gaius earned the nickname "Caligula" ("little soldier's boots"). After three years in Gaul, they returned to Rome, and her husband was awarded a triumph on 26 May AD 17 to commemorate his victories. The following year, Germanicus was sent to govern over the eastern provinces. While Germanicus was active in his administration, the governor of Syria Gnaeus Calpurnius Piso began feuding with him. During the feud, her husband died of illness on 10 October AD 19. Germanicus was cremated in Antioch, Turkey, and she transported his ashes to Rome where they were interred at the Mausoleum of Augustus. Agrippina was vocal in claims of her husband being murdered in order to promote Tiberius' son, Drusus Julius Caesar ("Drusus the Younger"), as heir. Following the model of her stepgrandmother Livia, she spent the time following Germanicus' death supporting the cause of her sons Nero and Drusus Caesar. This put her and her sons at odds with the powerful Praetorian prefect Lucius Aelius Sejanus, who began eliminating their supporters with accusations of treason and sexual misconduct in AD 26. Her family's rivalry with Sejanus would culminate with her and Nero's exile in AD 29. Nero was exiled to Pontia and she was exiled to the island of Pandateria, where she would remain until her death by starvation in AD 33. Name Following the Roman custom of parents and children sharing the same nomen and cognomen, women in the same family would often share the same name. Accordingly, Marcus Vipsanius Agrippa first daughter with Attica was named Vipsania Agrippina. To distinguish Agrippa and Julia's daughter from their granddaughter Julia Agrippina, historians refer to this daughter as "Agrippina the Elder" (Latin: Agrippina Maior). Likewise, Agrippina's daughter is referred to as "Agrippina the Younger" (Minor). Like her father, Agrippina the Elder avoided her nomen and has not been found to have used "Vipsania" in inscription. An inscription in Rhodiapolis records her with the nomen "Julia", although this appears to be a mistake. Background Marcus Vipsanius Agrippa was an early supporter of Augustus (then "Octavius"). He was a key general in Augustus' armies, commanding troops during the wars against Sextus Pompey and Mark Antony. From early in the emperor's reign, Agrippa was trusted to handle affairs in the eastern provinces and was even given the signet ring of Augustus, who appeared to be on his deathbed in 23BC, a sign that he would become princeps were Augustus to die. It is probable that he was to rule until the emperor's nephew, Marcus Claudius Marcellus, came of age. However, Marcellus died that year of an illness that became an epidemic in Rome. Now, with Marcellus dead, Augustus arranged for the marriage of Agrippa to his daughter Julia the Elder, who was previously the wife of Marcellus. Agrippa was given tribunicia potestas ("the tribunician power") in 18 BC, a power that only the emperor and his immediate heir could hope to attain. The tribunician power allowed him to control the Senate, and it was first given to Julius Caesar. Agrippa acted as tribune in the Senate to pass important legislation and, though he lacked some of the emperor's power and authority, he was approaching the position of co-regent. After the birth of Agrippa's second son, Lucius, in 17 BC, Lucius and his brother Gaius were adopted together by Augustus. Around the time of their adoption in the summer, Augustus held the fifth ever Ludi Saeculares ("Secular Games"). Cassius Dio says the adoption of the boys coupled with the games served to introduce a new era of peace – the Pax Augusta. It is not known what Agrippa thought of their adoption; however, following their adoption, Agrippa was dispatched to govern the eastern provinces, bringing his family with him. Early life and family Agrippina was born in 14 BC to Marcus Vipsanius Agrippa and Julia the Elder, before their return to Rome in 13 BC. She had several siblings, including half-sisters Vipsania Agrippina, Vipsania Attica, Vipsania Marcella and Vipsania Marcellina (from her father's marriages to Pomponia Caecilia Attica and Claudia Marcella Major); and four full siblings, with three brothers; Gaius, Lucius, and Postumus Agrippa (all were adopted by Augustus; Gaius and Lucius were adopted together following Lucius' birth in 17 BC; Postumus in AD 4), and a sister Julia the Younger. She was a prominent member of the Julio-Claudian dynasty. On her mother's side, she was the younger granddaughter of Augustus. She was the Stepdaughter of Tiberius by her mother's marriage to him, and sister in law of Claudius, the brother of her husband Germanicus. Her son Gaius, better known as "Caligula", would be the third emperor, and her grandson Nero would be the last emperor of the dynasty. In 13 BC, her father returned to Rome and was promptly sent to Pannonia to suppress a rebellion. Agrippa arrived there that winter (in 12 BC), but the Pannonians gave up that same year. Agrippa returned to Campania in Italy, where he fell ill and died soon after. After her father's death, she spent the rest of her childhood in Augustus' household where access to her was strictly controlled. Some of the currency issued in 13–12 BC, the aurei and denarii, make it clear that her brothers Gaius and Lucius were Augustus' intended heirs. Their father was no longer available to assume the reins of power if the Emperor were to die, and Augustus had to make it clear who his intended heirs were in case anything should happen. Lucius' and Gaius' military and political careers would steadily advance until their deaths in AD 2 and 4, respectively. The death of her brothers meant that Augustus had to find other heirs. Although he initially considered Agrippina's second cousin Germanicus a potential heir for a time, Livia convinced Augustus to adopt Tiberius, Livia's son from her first marriage with Tiberius Claudius Nero. Although Augustus adopted Tiberius, it was on condition that Tiberius first adopt Germanicus so that Germanicus would become second in the line of succession. It was a corollary to the adoption, probably in the next year, that Agrippina was married to Germanicus. By her husband Germanicus, she had nine children: Nero Julius Caesar, Drusus Julius Caesar, Tiberius Julius Caesar, a child of unknown name (normally referenced as Ignotus), Gaius the Elder, the Emperor Caligula (Gaius the Younger), the Empress Agrippina the Younger, Julia Drusilla, and Julia Livilla. Only six of her children came of age; Tiberius and Ignotus died as infants, and Gaius the Elder in his early childhood. Marriage Her husband's career in the military began in AD 6, with the Batonian War in Pannonia and Dalmatia. Throughout Germanicus' military career, Agrippina is known to have traveled with her husband and their children. Germanicus' career advanced steadily as he advanced in ranks following the cursus honorum until, in AD 12, he was made consul. The following year, he was given command over Gaul and the forces on the Rhine, totaling eight legions. On 18 May AD 14, her one-year-old son Gaius was sent by Augustus from Rome to join her in Gaul. She was pregnant at the time and, while Germanicus was collecting taxes across Gaul, she remained at an unspecified separate location, presumably for her safety. Augustus sent her a letter with her son's party, which read: Later that year, on 19 August, Augustus died while away in Campania. As a result, Tiberius was made princeps. While Germanicus was administering the oath of fealty to Tiberius, a mutiny began among the forces on the Rhine. During the mutiny, Agrippina brought out their sixth child, Gaius, and made preparations to take him away to a safer town nearby. He was in a full army outfit including the legionary hobnailed boots (caligae). These military-booties earned Gaius the nickname "Caligula" (lit. "little boots"), and garnered sympathy for Agrippina and the child among the soldiery. Tacitus attributes her actions as having quelled the mutiny (Tacitus, Annals 1.40–4). Once the mutiny was put to an end, Germanicus allowed the soldiers to deal with the ringleaders, which they did with brutal severity. He then led them against the Germanic tribes, perhaps in an effort to prevent future mutiny. Germanicus would remain in Gaul fighting against the Germanic tribes until AD 16, at which time he was recalled to Rome by Tiberius. His campaigns won him much renown among the Roman people, and he was awarded a triumph on 26 May AD 17. Widowhood In AD 18, Agrippina left for the eastern provinces with her family. Germanicus was sent the east to govern the provinces, the same assignment her father was given years earlier. Agrippina was pregnant on their journey east and, on the way to Syria, she gave birth to her youngest daughter Julia Livilla on the island of Lesbos. Inscriptions celebrating her fertility have been found on the island. Tiberius sent Gnaeus Calpurnius Piso to assist her husband, naming him governor of Syria. During their time there, Germanicus was active in his administration of the eastern regions. Piso did not get along well with Germanicus and their relationship only got worse. In AD 19, Germanicus ordered Piso to leave the province, which Piso began to do. On his way back to Rome, Piso stopped at the island of Kos off the coast of Syria. Around that time Germanicus fell ill and he died on 10 October AD 19 at Antioch. Rumours spread of Piso poisoning her husband on the emperor's orders. After Germanicus' cremation in the forum of Antioch, Agrippina personally carried the ashes of her husband to Rome. The transportation of the ashes witnessed national mourning. She landed at the port of Brundisium in southern Italy where she was met with huge crowds of sympathizers; a praetorian escort was provided by the emperor in light of her rank as the wife of a governor-general. As she passed each town, the people and local magistrates came out to show their respect. Drusus the Younger (son of Tiberius), Claudius, and the consuls journeyed to join the procession as well. Once she made it to Rome, her husband's ashes were interred at the Mausoleum of Augustus. Tiberius and Livia did not make an appearance. Life after Germanicus Her marriage to Germanicus had served to unite the imperial family. Agrippina may have suspected Tiberius' involvement in the death of her husband and, with Germanicus dead, she no longer had any familial ties to the emperor. Historian Richard Alston says it is likely that either Tiberius or Livia were behind the exile of Agrippina's half-sister and the death of Postumus. He notes the death of Agrippina's mother, who starved herself to death amidst her exile in AD 14, linking her death to Tiberius' disdain for her. Agrippina was vocal about her feelings claiming that Germanicus was murdered to promote Drusus the Younger as Tiberius' heir, and worried that the birth of the Younger Drusus' twin sons would displace her own sons in the line of succession. At about this time, Tiberius' Praetorian Prefect Sejanus was becoming powerful in Rome and began feuding with Drusus the Younger. While the exact causes of the feud are unknown, it ended when the Younger Drusus died of seemingly natural causes on 14 September AD 23. After the death of Tiberius' son, Agrippina wanted to advance the careers of her sons, who were all potential heirs for Tiberius. It has been suggested that to achieve this, Agrippina commissioned the Great Cameo of France and presented it to Tiberius as a personalized gift that positioned the family of Germanicus around the emperor. The work was designed to convince Tiberius to choose her children as his heirs. Ultimately, the death of Tiberius' son elevated her own children to the position of heirs. Her sons were the logical choice, because they were the sons of Germanicus and Tiberius' grandsons were too young. Nero was becoming popular in the Senate due in part, Tacitus says, to his resemblance with his father. The rise of her children was threatening to Sejanus' position. Resultantly, Sejanus began spreading rumors about Agrippina in the imperial court. The coming years were marked with increasing hostility between Sejanus and Agrippina and her sons. This effectively caused factions to rise in the aristocracy between her family and Sejanus. Political rivalry On New Year's Day, AD 24, Sejanus had the priests and magistrates add prayers for the health of Nero and Drusus in addition to those normally offered to the emperor on that day. Tiberius was not happy with this and he voiced his displeasure in the Senate. In addition, he questioned the priests of the Palatine. Some of the priests who offered the prayers were relatives of Agrippina and Germanicus. This made Tiberius suspicious of her and marked a change in his attitude toward her and her older sons, but not Caligula. In AD 25, Sejanus requested Livilla's hand in marriage. Livilla was a niece of the emperor, which would have made him a member of the imperial family. While this did make his ambitions clear, his request was denied. The loss may have been huge for Sejanus had the dissensions in the imperial household not been deteriorating. Relations were so bad that Agrippina refused to eat at Tiberius' dinner parties for fear of being poisoned. She also asked Tiberius if she could be allowed to remarry, which he also refused. If either of them were allowed to remarry it would have threatened the line of succession that Tiberius was comfortable with. By refusing Sejanus' request, Tiberius made it clear he was content with the children of Germanicus and his own grandchildren being his successors. Had Sejanus married Livilla, their children would have provided another line of possible successors. The implication of Agrippina's request was that she needed a man from outside the imperial family to serve as protector and step-father of possible imperial heirs, a powerful position. It was also an implied reprimand: Tiberius was meant to be the guardian of the imperial family. Tiberius was in a tough position. He was faced with a conflict between his family and his friend. His solution was surprising. In AD 26, he left Rome altogether and retired to the island of Capri in the Bay of Naples. He cut himself off from the factions altogether and abandoned politics. He left Rome in the care of Sejanus. This allowed Sejanus to freely attack his rivals. Downfall With Tiberius away from Rome, the city would see a rise of politically motivated trials on the part of Sejanus and his supporters against Agrippina and her associates. Many of her friends and associates were subsequently accused of maiestas ("treason") by the growing number of accusers. It was also common to see charges of sexual misconduct and corruption. In AD 27, Agrippina found herself placed under house arrest in her suburban villa outside Herculaneum. In AD 28, the Senate voted that altars to Clementia (mercy) and Amicitia (friendship) be raised. At that time, Clementia was considered a virtue of the ruling class, for only the powerful could give clemency. The altar of Amicitia was flanked by statues of Sejanus and Tiberius. By this time, his association with Tiberius was such that there were those in Roman society who erected statues in his honor and gave prayers and sacrifices in his honor. Sejanus' birthday was honored as if he were a member of the imperial family. According to Richard Alston, "Sejanus' association with Tiberius must have at least indicated to the people that he would be further elevated." Sejanus did not begin his final attack on Agrippina until after the death of Livia in AD 29. Tacitus reports a letter being sent to the Senate from Tiberius denouncing Agrippina for her arrogance and prideful attitude, and Nero for engaging in shameful sexual activities. The Senate would not begin these highly unpopular prosecutions against her or her son until it received clear instructions from Tiberius to do so. Despite public outcry, Agrippina and Nero were declared public enemies (hostes) following a repeat of the accusations by the emperor. They were both exiled; Nero to Pontia where he was killed or encouraged to commit suicide in AD 31, and Agrippina to the island of Pandateria (the same place her mother was exiled to). Suetonius says that while on the island of Pandateria, she lost an eye when she was beaten by a centurion. She would remain on the island until her death in AD 33. Accounts of her death vary. She is said to have died from starvation, but it is not certain whether or not it was self-imposed. Tacitus says food was withheld from her in an effort to make her death seem like a suicide. Post mortem Her son Drusus was later also exiled on charges of sexual misdemeanors. Sejanus remained powerful until his sudden downfall and summary execution in October AD 31, just after the death of Nero, the exact cause for which remains unclear. Alston suggests that Sejanus may have been acting in Tiberius' favor to remove Germanicus' family from power, noting that Agrippina and Nero's brother Drusus were left in exile even after Sejanus' death. The deaths of Agrippina's older sons elevated her youngest son Caligula to the position of successor and he became princeps when Tiberius died in AD 37. Drusus the Younger's son Tiberius Gemellus was summoned to Capri by his grandfather Tiberius, where he and Caligula were made joint-heirs. When Caligula assumed power he made Gemellus his adopted son, but Caligula soon had Gemellus killed for plotting against him. According to Philo, Caligula's pretended reason was a conspiracy. After he became emperor, Caligula took on the role of a dutiful son and brother in a public show of pietas ("piety"). He went out to the islands of Pontia and Pandateria in order to recover the remains of Agrippina and Nero. It was not easy to recover Nero's bones as they were scattered and buried. Moreover, he had a stormy passage; however, the difficulty in his task made his devotion seem even greater. The ashes were brought to Ostia, from where they were carried up the Tiber and brought to the Campus Martius, from where equestrians placed them on briers to join the ashes of Germanicus in the mausoleum of Augustus. The move was reminiscent of when Agrippina carried the ashes of her husband just over 17 years earlier. Agrippina's funerary urn still survives (). The tablet made of marble reads: "OSSA AGRIPPINA F M AGRIPPA DIVI AVG NEPTIS VXORIS GERMANICI CAESARIS MATRIS C CAESARIS AVG GERMANICI PRINCIPIS" which translates as "Bones of Agrippina; daughter of Marcus Agrippa, granddaughter of Divus Augustus, wife of Germanicus Caesar, mother of Princeps Gaius Caesar Germanicus". Personality Agrippina was fiercely independent, a trait she shared with her mother. Dio described her as having ambitions to match her pedigree. However, Anthony Barrett notes that Agrippina was fully aware that a woman in ancient Rome could not hold power in her own right. Instead, Agrippina followed the model of Livia in promoting the careers of her children. She and her daughter, Agrippina the Younger, are both described as being equally ambitious for their sons. Whereas the elder Agrippina's son failed to become emperor, the younger Agrippina's son, also named Nero, succeeds. In a contrast, Tacitus has Agrippina the Elder merely standing on a bridge waving the soldiers passing by, whereas her daughter eclipses her by presiding over a military tribunal and accepting gifts from foreign ambassadors. Tacitus also records serious tension between Agrippina and Livia. He describes Livia as having visited "stepmotherly provocations" on Agrippina. He says of Agrippina: "were it not that through her moral integrity and love for her husband she converted an otherwise ungovernable temper to the good" (Tacitus, Annals 1.33). Despite being sympathetic to her as a victim of imperial oppression, he uses expressions like "excitable", "arrogant", "proud", "fierce", "obstinate", and "ambitious" to describe Agrippina. His comments are echoed by other sources. Historiography Historian Lindsay Powell says Agrippina enjoyed a normal marriage and continued to show her devotion to Germanicus after his death. He says she was regarded by the Roman people as, quoting Tacitus, "the glory of the country, the sole surviving offspring of Augustus, the solitary example of the good old times." Alston cautions against accepting the stories of Agrippina's feud with Sejanus at face value, as these accounts reflect a tradition hostile to Tiberius and Sejanus. They may have been circulated by Agrippina's supporters or they may have emerged after Sejanus' fall in AD 31. He adds: "These stories are plausible, though not certain to be true." Suetonius Augustus was proud of Agrippina. Suetonius claims that Augustus wrote her a letter praising her intellect and directing her education. Suetonius also records that Augustus, who held strict views on self-restraint and respectable speech, cautioned Agrippina not to speak "offensively". When she next appears, she is being chastised by Tiberius in Greek for making irritating remarks, and the tone of the Greek verse quoted by Tiberius suggests that she should have heeded the advice of her grandfather not to speak offensively. Tacitus The Annals of Tacitus is a history of the Julio-Claudian dynasty beginning with the death of Augustus. In it, he portrays women as having a profound influence on politics. The women of the imperial family in particular are depicted by Tacitus as having a notable prominence in the public sphere as well as possessing a ferocity and ambition with which they pursue it. Tacitus presents them as living longer than the imperial men and thus being more wise as they advance in age. Among the most broad of his portrayals is that of Agrippina. He emphasizes their role in connecting genetically back to Augustus, a significant factor in the marriages of the emperors and princes of the dynasty. The Annals repeatedly has Agrippina competing for influence with Tiberius simply because she is related to Augustus biologically. Tacitus presents Agrippina as being kindred to aristocratic males, and has her reversing gender roles, which showcases her assumption of male auctoritas ("authority") with metaphors of her dressing and undressing. In an example of Agrippina assuming auctoritas, he says: Using the above epithet, "(femina) ingens animi" ("..[a woman], great for her courage"), he assigns a haughty attitude to Agrippina that compels her to explore the affairs of men. He records her as having reversed the natural order of things when she quelled the mutiny of the Rhine in AD 14. In so doing, he describes her as having usurped her husband's power, a power rightfully belonging only to a general. Portraiture Portraits of Roman women from the Julio-Claudian dynasty display a freer hair treatment than those of traditional Roman men and are more keen on the sensitivity of recording on different textures. These changes in style served to make reproducing them more popular in the mid-first-century AD. Reproductions of her image would continue to be made into that period. In the portrait, she is given a youthful face despite the fact that she lived to middle age. Agrippina's hair is a mass of curls that covers both sides of her head and is long going down to her shoulders. Her portraiture can be contrasted with that of Livia who had a more austere Augustan hairstyle. There are three different periods during the first-century AD when portraits were created for Agrippina: at the time of her marriage to Germanicus (which made her the mother of a potential emperor); when her son Caligula came into power in AD 37, and collected her ashes from the island of Pandateria for relocation to the Mausoleum of Augustus; and at the time of Claudius' marriage to Agrippina the Younger, who wanted to connect himself to the lineage of Augustus by evoking Agrippina's image. Coins and inscriptions cannot act as a method of discerning her age, because her hairstyle remains unchanged in all the representations. The easiest phase of portraits to identify are those dating to the time of Caligula, when a fair abundance of coins were minted with an image of his mother on them. It is a posthumous portrait of her with idealized features. In the phase following Claudius' marriage, her features are made to more closely resemble those of her daughter. The goal was to strengthen Agrippina the Younger's connection with her mother. Finally, the portraits of her dating to the time of Tiberius are still idealized, but not as much as those from the period of Caligula's reign. Images of Agrippina from this period are the most lifelike. Cultural depictions Agrippina is one of the few women from the Roman imperial period whose story was recounted in later centuries as an example of moral character. Her journey to deposit the ashes of her husband was popular with eighteenth century painters, including William Turner, Gavin Hamilton, and Benjamin West whose painting Agrippina Landing at Brundisium with the Ashes of Germanicus (1768) began the trend. She is also remembered in De Mulieribus Claris, a collection of biographies of historical and mythological women by the Florentine author Giovanni Boccaccio, composed in 136162. It is notable as the first collection devoted exclusively to biographies of women in Western literature. Other notable works of which include: Agrippina Mourning over the ashes of Germanicus (1775), an etching by Scottish painter Alexander Runciman. The Caesars (1968), a television series by Philip Mackie for Granada TV. She was played by Caroline Blakiston. I, Claudius (1976), a television series by Jack Pulman for the BBC. She was played by Fiona Walker. See also Julio-Claudian family tree Gaius Silius Notes References Bibliography External links 10s BC births 33 deaths 1st-century BC Roman women 1st-century Roman women Ancient Roman women in warfare Burials at the Mausoleum of Augustus Children of Marcus Vipsanius Agrippa Deaths by starvation Germanicus Julio-Claudian dynasty Vipsanii Agrippae Women in 1st-century warfare Year of birth uncertain
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https://en.wikipedia.org/wiki/Agrippina%20the%20Younger
Agrippina the Younger
Julia Agrippina (6 November AD 15 – 23 March AD 59), also referred to as Agrippina the Younger, was Roman empress from 49 to 54 AD, the fourth wife and niece of Emperor Claudius, and the mother of Nero. Agrippina was one of the most prominent women in the Julio-Claudian dynasty. She was the daughter of the Roman general Germanicus and Agrippina the Elder, granddaughter of Augustus (the first Roman emperor). Her father, Germanicus, was the nephew and heir apparent of the second emperor, Tiberius. Agrippina's brother Caligula became emperor in 37 AD. After Caligula was assassinated in 41 AD, Germanicus' brother Claudius took the throne. Agrippina married Claudius in 49 AD. Agrippina functioned as a behind-the-scenes advisor in the affairs of the Roman state via powerful political ties. She maneuvered her son Nero into the line of succession. Claudius became aware of her plotting, but died in 54; it was rumoured that Agrippina poisoned him. Agrippina exerted a commanding influence in the early years of Nero's reign, but in 59 she was killed. Both ancient and modern sources describe Agrippina's personality as ruthless, ambitious, violent and domineering. Physically, she was a beautiful and reputable woman; according to Pliny the Elder, she had a double canine in her upper right jaw, a sign of good fortune. Family Agrippina was the first daughter and fourth living child of Agrippina the Elder and Germanicus. She had three elder brothers, Nero Caesar, Drusus Caesar, and the future emperor Caligula, and two younger sisters, Julia Drusilla and Julia Livilla. Agrippina's two eldest brothers and her mother were victims of the intrigues of the Praetorian Prefect Lucius Aelius Sejanus. She was the namesake of her mother. Agrippina the Elder was remembered as a modest and heroic matron, who was the second daughter and fourth child of Julia the Elder and the statesman Marcus Vipsanius Agrippa. The father of Julia the Elder was the emperor Augustus, and Julia was his only natural child from his second marriage to Scribonia, who had close blood relations with Pompey the Great and Lucius Cornelius Sulla. Germanicus, Agrippina's father, was a very popular general and politician. His mother was Antonia Minor and his father was the general Nero Claudius Drusus. He was Antonia Minor's first child. Germanicus had two younger siblings; a sister, named Livilla, and a brother, the future emperor Claudius. Claudius was Agrippina's paternal uncle and third husband. Antonia Minor was a daughter to Octavia the Younger by her second marriage to triumvir Mark Antony, and Octavia was the second eldest sister and full-blooded sister of Augustus. Germanicus' father, Drusus the Elder, was the second son of the Empress Livia Drusilla by her first marriage to praetor Tiberius Nero, and was the emperor Tiberius's younger brother and Augustus's stepson. In the year 9, Augustus ordered and forced Tiberius to adopt Germanicus, who happened to be Tiberius's nephew, as his son and heir. Germanicus was a favourite of his great-uncle Augustus, who hoped that Germanicus would succeed his uncle Tiberius, who was Augustus's own adopted son and heir. This in turn meant that Tiberius was also Agrippina's adoptive grandfather in addition to her paternal great-uncle. Birth and early life Agrippina was born on 6 November in AD 15, or possibly 14, at Oppidum Ubiorum, a Roman outpost on the Rhine River located in present-day Cologne, Germany. A second sister Julia Drusilla was born on 16 September 16, also in Germany. As a small child, Agrippina travelled with her parents throughout Germany (15–16) until she and her siblings (apart from Caligula) returned to Rome to live with and be raised by their paternal grandmother Antonia. Her parents departed for Syria in 18 to conduct official duties, and, according to Tacitus, the third and youngest sister was born en route on the island of Lesbos, namely Julia Livilla, probably on March 18. In October of AD 19, Germanicus died suddenly in Antioch (modern Antakya, Turkey). Germanicus' death caused much public grief in Rome, and gave rise to rumours that he had been murdered by Gnaeus Calpurnius Piso and Munatia Plancina on the orders of Tiberius, as his widow Agrippina the Elder returned to Rome with his ashes. Agrippina the Younger was thereafter supervised by her mother, her paternal grandmother Antonia Minor, and her great-grandmother, Livia, all of them notable, influential, and powerful figures from whom she learnt how to survive. She lived on the Palatine Hill in Rome. Her great-uncle Tiberius had already become emperor and the head of the family after the death of Augustus in 14. Marriage to Gnaeus Domitius Ahenobarbus After her thirteenth birthday in 28, Tiberius arranged for Agrippina to marry her paternal first cousin once removed Gnaeus Domitius Ahenobarbus and ordered the marriage to be celebrated in Rome. Domitius came from a distinguished family of consular rank. Through his mother Antonia Major, Domitius was a great nephew of Augustus, first cousin to Claudius, and first cousin once removed to Agrippina and Caligula. He had two sisters; Domitia Lepida the Elder and Domitia Lepida the Younger. Domitia Lepida the Younger was the mother of the Empress Valeria Messalina. Antonia Major was the elder sister to Antonia Minor, and the first daughter of Octavia Minor and Mark Antony. According to Suetonius, Domitius was a wealthy man with a despicable and dishonest character, who, according to Suetonius, was "a man who was in every aspect of his life detestable" and served as consul in 32. Agrippina and Domitius lived between Antium and Rome. Not much is known about the relationship between them. Reign of Caligula Public role and political intrigues Tiberius died on March 16, AD 37, and Agrippina's only surviving brother, Caligula, became the new emperor. Being the emperor's sister gave Agrippina some influence. Agrippina and her younger sisters Julia Drusilla and Julia Livilla received various honours from their brother, which included but were not limited to receiving the rights of the Vestal Virgins, such as the freedom to view public games from the upper seats in the stadium; being honoured with a new type of coinage, depicting images of Caligula and his sisters on opposite faces; having their names added to motions, including loyalty oaths (e.g., "I will not value my life or that of my children less highly than I do the safety of the Emperor and his sisters") and consular motions (e.g., "Good fortune attend to the Emperor and his sisters)". Around the time that Tiberius died, Agrippina had become pregnant. Domitius had acknowledged the paternity of the child. On December 15, AD 37, in the early morning, in Antium, Agrippina gave birth to a son. Agrippina and Domitius named their son Lucius Domitius Ahenobarbus, after Domitius' recently deceased father. This child would grow up to become the emperor Nero. Nero was Agrippina's only natural child. Suetonius states that Domitius was congratulated by friends on the birth of his son, whereupon he replied "I don't think anything produced by me and Agrippina could possibly be good for the state or the people". Caligula and his sisters were accused of having incestuous relationships. On June 10, AD 38, Drusilla died, possibly of a fever, rampant in Rome at the time. He was particularly fond of Drusilla, claiming to treat her as he would his own wife, even though Drusilla had a husband. Following her death Caligula showed no special love or respect toward the surviving sisters and was said to have gone insane. In 39, Agrippina and Livilla, with their maternal cousin, Drusilla's widower Marcus Aemilius Lepidus, were involved in a failed plot to murder Caligula, a plot known as the Plot of the Three Daggers, which was to make Lepidus the new emperor. Lepidus, Agrippina and Livilla were accused of being lovers. Not much is known concerning this plot and the reasons behind it. At the trial of Lepidus, Caligula felt no compunction about denouncing them as adulteresses, producing handwritten letters discussing how they were going to kill him. The three were found guilty as accessories to the crime. Exile Lepidus was executed. According to the fragmentary inscriptions of the Arval Brethren, Agrippina was forced to carry the urn of Lepidus' ashes back to Rome. Agrippina and Livilla were exiled by their brother to the Pontine Islands. Caligula sold their furniture, jewellery, slaves and freedmen. In January of AD 40, Domitius died of edema (dropsy) at Pyrgi. Lucius had gone to live with his second paternal aunt Domitia Lepida the Younger after Caligula had taken his inheritance away from him. Caligula, his wife Milonia Caesonia and their daughter Julia Drusilla were murdered on January 24, 41. Agrippina's paternal uncle, Claudius, brother of her father Germanicus, became the new Roman emperor. Reign of Claudius Return from exile Claudius lifted the exiles of Agrippina and Livilla. Livilla returned to her husband, while Agrippina was reunited with her estranged son. After the death of her first husband, Agrippina tried to make shameless advances to the future emperor Galba, who showed no interest in her and was devoted to his wife Aemilia Lepida. On one occasion, Galba's mother-in-law gave Agrippina a public reprimand and a slap in the face before a whole bevy of married women. Claudius had Lucius' inheritance reinstated. Lucius became more wealthy despite his youth shortly after Gaius Sallustius Crispus Passienus divorced Lucius' aunt, Domitia Lepida the Elder (Lucius' first paternal aunt) so that Crispus could marry Agrippina. They married, and Crispus became a step-father to Lucius. Crispus was a prominent, influential, witty, wealthy and powerful man, who served twice as consul. He was the adopted grandson and biological great-great-nephew of the historian Sallust. Little is known on their relationship, but Crispus soon died and left his estate to Nero. In the first years of Claudius' reign, Claudius was married to the infamous Empress Valeria Messalina. Although Agrippina was very influential, she kept a very low profile and stayed away from the imperial palace and the court of the emperor. Messalina was Agrippina's paternal second cousin. Among the victims of Messalina's intrigues were Agrippina's surviving sister Livilla, who was charged with having adultery with Seneca the Younger. Seneca was later called back from exile to be a tutor to Nero. Messalina considered Agrippina's son a threat to her son's position and sent assassins to strangle Lucius during his siesta. The assassins left after they saw a snake beneath Lucius' pillow, considering it as bad omen. It was, however, only a sloughed-off snake-skin in his bed, near his pillow. By Agrippina's order, the serpent's skin was enclosed in a bracelet that the young Nero wore on his right arm. In 47, Crispus died, and at his funeral, the rumour spread around that Agrippina poisoned Crispus to gain his estate. After being widowed a second time, Agrippina was left very wealthy. Later that year at the Secular Games, at the performance of the Troy Pageant, Messalina attended the event with her son Britannicus. Agrippina was also present with Lucius. Agrippina and Lucius received greater applause from the audience than Messalina and Britannicus did. Many people began to show pity and sympathy to Agrippina, due to the unfortunate circumstances in her life. Marriage to Claudius After Messalina was executed in 48 for conspiring with Gaius Silius to overthrow her husband, Claudius considered marrying for the fourth time. Around this time, Agrippina became the mistress to one of Claudius' advisers, the Greek freedman, Marcus Antonius Pallas. At that time Claudius' advisers were discussing which noblewoman Claudius should marry. Claudius had a reputation that he was easily persuaded. In more recent times, it has been suggested that the Senate may have pushed for the marriage between Agrippina and Claudius to end the feud between the Julian and Claudian branches. This feud dated back to Agrippina's mother's actions against Tiberius after the death of Germanicus, actions which Tiberius had gladly punished. Claudius made references to her in his speeches: "my daughter and foster child, born and bred, in my lap, so to speak". When Claudius decided to marry her, he persuaded a group of senators that the marriage should be arranged in the public interest. In Roman society, an uncle (Claudius) marrying his niece (Agrippina) was considered incestuous and immoral. Agrippina and Claudius married on New Year's Day, 49. This marriage caused widespread disapproval. This may have been a part of Agrippina's plan to make her son Lucius the new emperor. Her marriage to Claudius was not based on love, but on power. She quickly eliminated her rival Lollia Paulina. Shortly after marrying Claudius, Agrippina persuaded the emperor to charge Paulina with black magic. Claudius stipulated that Paulina did not receive a hearing and her property was confiscated. She left Italy, but Agrippina was unsatisfied. Allegedly on Agrippina's orders, Paulina committed suicide. In the months leading up to her marriage to Claudius, Agrippina's maternal second cousin, the praetor Lucius Junius Silanus Torquatus, was betrothed to Claudius' daughter Claudia Octavia. This betrothal was broken off in 48, when Agrippina, scheming with the consul Lucius Vitellius the Elder, the father of the future emperor Aulus Vitellius, falsely accused Silanus of incest with his sister Junia Calvina. Agrippina did this hoping to secure a marriage between Octavia and her son. Consequently, Claudius broke off the engagement and forced Silanus to resign from public office. Silanus committed suicide on the day that Agrippina married her uncle, and Calvina was exiled from Italy in early 49. Calvina was called back from exile after the death of Agrippina. Towards the end of 54, Agrippina would order the murder of Silanus' eldest brother Marcus Junius Silanus Torquatus without Nero's knowledge, so that he would not seek revenge against her over his brother's death. Empress of Rome On the day that Agrippina married her uncle Claudius as her third husband/his fourth wife, she became empress. She also was a stepmother to Claudia Antonia, Claudius' daughter and only child from his second marriage to Aelia Paetina, and to the young Claudia Octavia and Britannicus, Claudius' children with Valeria Messalina. Agrippina removed or eliminated anyone from the palace or the imperial court whom she thought was loyal and dedicated to the memory of the late Messalina. She also eliminated or removed anyone whom she considered was a potential threat to her position and the future of her son, one of her victims being Lucius' second paternal aunt and Messalina's mother Domitia Lepida the Younger. Griffin describes how Agrippina "had achieved this dominant position for her son and herself by a web of political alliances," which included Claudius chief secretary and bookkeeper Pallas, his doctor Xenophon, and Afranius Burrus, the head of the Praetorian Guard (the imperial bodyguard), who owed his promotion to Agrippina. Neither ancient nor modern historians of Rome have doubted that Agrippina had her eye on securing the throne for Nero from the very day of the marriage—if not earlier. Dio Cassius observation seems to bear that out: "As soon as Agrippina had come to live in the palace she gained complete control over Claudius." In 49, Agrippina was seated on a dais at a parade of captives when their leader the Celtic King Caratacus bowed before her with the same homage and gratitude as he accorded the emperor. In 50, Agrippina was granted the honorific title of Augusta. She was only the third Roman woman (Livia Drusilla and Antonia Minor received this title) and only the second living Roman woman (the first being Livia) to receive this title. In her capacity as Augusta, Agrippina quickly became a trusted advisor to Claudius, and by AD 54, she exerted a considerable influence over the decisions of the emperor. Statues of her were erected in many cities across the Empire, her face appeared on coins, and in the Senate, her followers were advanced with public offices and governorships. However this privileged position caused resentment among the senatorial class and the imperial family. She went to a place outside the imperial court and listened to the Senate from behind the scenes, and even Claudius allowed her to be a separate court and decide on empire matters. Agrippina even signed government documents and officially dealt with foreign ambassadors. She also claimed auctoritas (power of commanding) and Autokrateira (self-ruler as empress) in front of the Senate, the people and the army. Also that year, Claudius had founded a Roman colony and called the colony Colonia Claudia Ara Agrippinensis or Agrippinensium, today known as Cologne, after Agrippina who was born there. This colony was the only Roman colony to be named after a Roman woman. In 51, she was given a carpentum which she used. A carpentum was a sort of ceremonial carriage usually reserved for priests, such as the Vestal Virgins, and sacred statues. That same year she appointed Sextus Afranius Burrus as the head of the Praetorian Guard, replacing the previous head of the Praetorian Guard, Rufrius Crispinus. She assisted Claudius in administering the empire and became very wealthy and powerful. Ancient sources claim that Agrippina successfully influenced Claudius into adopting her son and making him his successor. Lucius Domitius Ahenobarbus was adopted by his great maternal uncle and stepfather in 50. Lucius' name was changed to Nero Claudius Caesar Drusus Germanicus and he became Claudius's adopted son, heir and recognised successor. Agrippina and Claudius betrothed Nero to his step sister Claudia Octavia, and Agrippina arranged to have Seneca the Younger return from exile to tutor the future emperor. Claudius chose to adopt Nero because of his Julian and Claudian lineage. Agrippina deprived Britannicus of his heritage and further isolated him from his father and succession for the throne in every way possible. For instance, in 51, Agrippina ordered the execution of Britannicus' tutor Sosibius because he had confronted her and was outraged by Claudius' adoption of Nero and his choice of Nero as successor, instead of choosing his own son Britannicus. Nero and Octavia were married on June 9, 53. Claudius later repented of marrying Agrippina and adopting Nero, began to favour Britannicus, and started preparing him for the throne. His actions allegedly gave Agrippina a motive to eliminate Claudius. The ancient sources say she poisoned Claudius on October 13, 54 (a Sunday) with a plate of deadly mushrooms at a banquet, thus enabling Nero to quickly take the throne as emperor. Accounts vary wildly with regard to this private incident and according to more modern sources, it is possible that Claudius died of natural causes; Claudius was 63 years old. In the aftermath of Claudius's death, Agrippina, who initially kept the death secret, tried to consolidate power, and immediately ordered that the palace and the capital be sealed. All the gates were blockaded and exit of the capital forbidden and she introduced Nero first to the soldiers and then to the senators as emperor. Reign of Nero Relationship with Nero Nero was raised to emperor and Agrippina was named a priestess of the cult of the deified Claudius. She now attempted to use her son's youth to participate in the rule of the Roman Empire. She enjoyed imperial prerogatives: holding court with the emperor by her side, being allowed to visit senate meetings from behind a curtain, and appearing as a partner to her son in the royal coins and statues. The historian Tacitus depicts her as attempting a diarchy with her son when she demanded that the Praetorian Guard pledge their loyalty to her. She was also said to have tried to participate in her son's meeting with Armenian ambassadors until Seneca and Burrus stopped her. In year one of Nero's reign, Agrippina guided her 17-year-old son in his rule but started losing influence over Nero when he began to have an affair with the freed woman Claudia Acte, which Agrippina strongly disapproved of and violently scolded him for. Agrippina began to support Britannicus in her possible attempt to make him emperor, or to threaten Nero. The panicking emperor decided on whether to eliminate his mother or his step-brother. Soon, Nero had Britannicus secretly poisoned during his own banquet in February 55. The power struggle between Agrippina and her son had begun. Agrippina between 56 and 58 became very watchful and had a critical eye over her son. In 56, Agrippina was forced out of the palace by her son to live in the imperial residence. However, some degree of Agrippina's influence over her son still lasted several more years, and they are considered the best years of Nero's reign. But their relationship grew more hostile and Nero gradually deprived his mother of honours and powers, and even removed her Roman and German bodyguards. Nero even threatened his mother that he would abdicate the throne and would go to live on the Greek Island of Rhodes, a place where Tiberius had lived after divorcing Julia the Elder. Pallas also was dismissed from the court. The fall of Pallas and the opposition of Burrus and Seneca to Agrippina contributed to her scaling down of authority. In mid-56, she was forced out of everyday and active participation in the governance of Rome. While Agrippina lived in her residence or when she went on short visits to Rome, Nero sent people to annoy her. Although living in Misenum, she was always hailed as "Augusta", and Agrippina and Nero would see each other on short visits. In late 58, Agrippina and a group of soldiers and senators were accused of attempting to overthrow Nero, and it was said they planned to move with Gaius Rubellius Plautus. In addition, she revealed Nero's relationship with Poppaea Sabina. Death and aftermath The circumstances that surround Agrippina's death are uncertain due to historical contradictions and anti-Nero bias. All surviving stories of Agrippina's death contradict themselves and each other, and are generally fantastical. Tacitus's account According to Tacitus, in 58, Nero became involved with the noble woman Poppaea Sabina. She taunted him for being a "mummy's boy." She also convinced him of the autonomy of any other emperor. With the reasoning that a divorce from Octavia and a marriage to Poppaea was not politically feasible with Agrippina alive, Nero decided to kill Agrippina. Yet, Nero did not marry Poppaea until 62, calling into question this motive. Additionally, Suetonius reveals that Poppaea's husband, Otho, was not sent away by Nero until after Agrippina's death in 59, making it highly unlikely that already married Poppaea would be pressing Nero. Some modern historians theorise that Nero's decision to kill Agrippina was prompted by her plot to replace him with either Gaius Rubellius Plautus (Nero's maternal second cousin) or Britannicus (Claudius' biological son). Tacitus claims that Nero considered poisoning or stabbing her, but felt these methods were too difficult and suspicious, so he settled on – after the advice of his former tutor Anicetus – building a self-sinking boat. Though aware of the plot, Agrippina embarked on this boat and was nearly crushed by a collapsing lead ceiling only to be saved by the side of a sofa breaking the ceiling's fall. Though the collapsing ceiling missed Agrippina, it crushed her attendant who was outside by the helm. The boat failed to sink from the lead ceiling, so the crew then sank the boat, but Agrippina swam to shore. Her friend, Acerronia Polla, was attacked by oarsmen while still in the water, and was either bludgeoned to death or drowned, since she was exclaiming that she was Agrippina, with the intention of being saved. She did not know, however, that this was an assassination attempt, not a mere accident. Agrippina was met at the shore by crowds of admirers. News of Agrippina's survival reached Nero so he sent three assassins to kill her. Suetonius's account Suetonius says that Agrippina's "over-watchful" and "over-critical" eye that she kept over Nero drove him to murdering her. After months of attempting to humiliate her by depriving her of her power, honour, and bodyguards, he also expelled her from the Palatine, followed by the people he sent to "pester" her with lawsuits and "jeers and catcalls". When he eventually turned to murder, he first tried poison, three times in fact. She prevented her death by taking the antidote in advance. Afterwards, he rigged up a machine in her room which would drop her ceiling tiles onto her as she slept, but she once again escaped her death after she received word of the plan. Nero's final plan was to get her in a boat which would collapse and sink. He sent her a friendly letter asking to reconcile and inviting her to celebrate the Quinquatrus at Baiae with him. He arranged an "accidental" collision between her galley and one of his captains. When returning home, he offered her his collapsible boat, as opposed to her damaged galley. The next day, Nero received word of her survival after the boat sank from her freedman Agermus. Panicking, Nero ordered a guard to "surreptitiously" drop a blade behind Agermus and Nero immediately had him arrested on account of attempted murder. Nero ordered the assassination of Agrippina. He made it look as if Agrippina had committed suicide after her plot to kill Nero had been uncovered. Suetonius says that after Agrippina's death, Nero examined Agrippina's corpse and discussed her good and bad points. Nero also believed Agrippina to haunt him after her death. Cassius Dio's account The tale of Cassius Dio is also somewhat different. It starts again with Poppaea as the motive behind the murder. Nero designed a ship that would open at the bottom while at sea. Agrippina was put aboard and after the bottom of the ship opened up, she fell into the water. Agrippina swam to shore so Nero sent an assassin to kill her. Nero then claimed Agrippina had plotted to kill him and committed suicide. Her reputed last words, uttered as the assassin was about to strike, were "Smite my womb", the implication here being she wished to be destroyed first in that part of her body that had given birth to so "abominable a son." Burial After Agrippina's death, Nero viewed her corpse and commented how beautiful she was, according to some. Her body was cremated that night on a dining couch. At his mother's funeral, Nero was witless, speechless and rather scared. When the news spread that Agrippina had died, the Roman army, senate and various people sent him letters of congratulations that he had been saved from his mother's plots. Aftermath During the remainder of Nero's reign, Agrippina's grave was not covered or enclosed. Her household later on gave her a modest tomb in Misenum. Nero would have his mother's death on his conscience. He felt so guilty he would sometimes have nightmares about his mother. He even saw his mother's ghost and got Persian magicians to ask her for forgiveness. Years before she died, Agrippina had visited astrologers to ask about her son's future. The astrologers had rather accurately predicted that her son would become emperor and would kill her. She replied, "Let him kill me, provided he becomes emperor," according to Tacitus. Agrippina's alleged victims 47 Passienus Crispus: Agrippina's 2nd husband, poisoned (Suet.). 48 Messalina: Because of the competition for the emperor's successor 49 Lollia Paulina: as she was a rival for Claudius' hand in marriage as proposed by the freedman Callistus (Tac. & Dio). Lucius Silanus: betrothed to Octavia, Claudius' daughter before his marriage of Agrippina. He committed suicide on their wedding day. Sosibius: Britannicus' tutor, executed for plotting against Nero. Calpurnia: banished (Tac.) and/or executed (Dio) because Claudius had commented on her beauty. 53 Statilius Taurus: forced to commit suicide because Agrippina wanted his gardens (Tac.). 54 Claudius: her husband, poisoned (Tac., Sen., Juv., Suet., Dio). Domitia Lepida: mother of Messalina, executed (Tac.). Marcus Junius Silanus: a potential rival to Nero, poisoned (Pliny, Tac., Dio). Cadius Rufus: executed on the charge of extortion. Tiberius Claudius Narcissus: Because of the competition with Agrippina. Legacy and cultural references Memoirs Agrippina left memoirs of her life and the misfortunes of her family, which Tacitus used when writing his Annals, but they have not survived. In music and literature She is remembered in De Mulieribus Claris, a collection of biographies of historical and mythological women by the Florentine author Giovanni Boccaccio, composed in 136162. It is notable as the first collection devoted exclusively to biographies of women in western literature. Octavia, a Roman tragedy written during the Flavian period Agrippina: Trauerspiel (1665), a German baroque tragedy by Daniel Casper von Lohenstein G.F. Handel's 1709 opera Agrippina with a libretto by Vincenzo Grimani Empress of Rome (1978), a novel by Robert DeMaria (Vineyard Press edition, 2001, ) Agrippina is considered to be the founder of Cologne and is still symbolised there today by the robe of the virgin of the Cologne triumvirate. In the sculpture programme of the Cologne town hall tower, a figure by Heribert Calleen was dedicated to Agrippina on the ground floor. In film, television, and radio The 1911 Italian film Agrippina I, Claudius (1976) played by Barbara Young (here called Agrippinilla). Caligula (1979) and also Messalina, Messalina (1977) played by Lori Wagner. Caligula and Messalina (1981) played by Françoise Blanchard. A.D. (1985 miniseries) played by Ava Gardner. Boudica (2003) played by Frances Barber. Imperium: Nero (2005) played by Laura Morante. Ancients Behaving Badly (2009), History Channel documentary. Episode Nero. Roman Empire (2016), Netflix, played by Teressa Liane. Agrippina the Younger was portrayed by Betty Lou Gerson in the August 31, 1953, episode of the CBS radio program Crime Classics that was entitled "Your Loving Son, Nero." The episode chronicles the killing of Agrippina by her son Nero who was portrayed by William Conrad. Mio Figlio Nerone (1956) played by Gloria Swanson Perspectives on Agrippina's personality Ancient Most ancient Roman sources are quite critical of Agrippina the Younger. Tacitus considered her vicious and had a strong disposition against her. Other sources are Suetonius and Cassius Dio. Modern Girod, Virginie, Agrippine, sexe, crimes et pouvoir dans la Rome impériale , Paris, Tallandier, 2015, 300 p. Minaud, Gérard, Les vies de 12 femmes d'empereur romain – Devoirs, Intrigues & Voluptés , Paris, L'Harmattan, 2012, ch. 3, La vie d'Agrippine, femme de Claude, p. 65-96. E. Groag, A. Stein, L. Petersen, Prosopographia Imperii Romani saeculi I, II et III, Berlin, 1933 Scullard: A critical view of Agrippina, suggesting she was ambitious and unscrupulous and a depraved sexual psychopath. "Agrippina struck down a series of victims; no man or woman was safe if she suspected rivalry or desired their wealth." Ferrero: Sympathetic and understanding, suggesting Agrippina has been judged harshly by history. Suggesting her marriage to Claudius was to a weak emperor who was, because of his hesitations and terrors, a threat to the imperial authority and government. She saw it her duty to compensate for the innumerable deficiencies of her strange husband through her own intelligence and strength of will. Pages 212ff.; 276ff. Barrett: A reasonable view, comparing Scullard's criticisms to Ferrero's apologies. (See Barrett, Anthony A., Agrippina: Sex, Power and Politics in the Early Roman Empire, Yale University Press, New Haven, 1996.) Annelise Freisenbruch, The first ladies of Rome McDaniel, W. B. "Bauli the Scene of the Murder of Agrippina". The Classical Quarterly, Vol. 4, No. 2 (April 1910) Salmonson, Jessica Amanda. (1991) The Encyclopedia of Amazons. Paragon House. Pages 4–5. Donna Hurley, Agrippina the Younger (Wife of Claudius). L. Foubert, Agrippina. Keizerin van Rome, Leuven, 2006. Opera by G. F. Handel: Agrippina See also List of unsolved murders Notes References Tacitus, Annales xii.1–10, 64–69, xiv.1–9 Suetonius, De vita Caesarum – Claudius v.44 and Nero vi.5.3, 28.2, 34.1–4 15 births 59 deaths 1st-century executions 1st-century Roman empresses Augustae Children of Germanicus Family of Nero Female murder victims Incest Julii Caesares Murdered ancient Roman empresses People from Cologne Unsolved murders in Italy Wives of Claudius
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https://en.wikipedia.org/wiki/American%20Chinese%20cuisine
American Chinese cuisine
American Chinese cuisine is a cuisine derived from Chinese cuisine that was developed by Chinese Americans. The dishes served in many North American Chinese restaurants are adapted to American tastes and often differ significantly from those found in China. History Chinese immigrants arrived in the United States seeking employment as miners and railroad workers. As larger groups arrived, laws were put in place preventing them from owning land. They mostly lived together in ghettos, individually referred to as "Chinatown". Here the immigrants started their small businesses, including restaurants and laundry services. By the 19th century, the Chinese community in San Francisco operated sophisticated and sometimes luxurious restaurants patronized mainly by Chinese. The restaurants in smaller towns (mostly owned by Chinese immigrants) served food based on what their customers requested, anything ranging from pork chop sandwiches and apple pie, to beans and eggs. Many of these small-town restaurant owners were self-taught family cooks who improvised on different cooking methods using whatever ingredients were available. These smaller restaurants were responsible for developing American Chinese cuisine, where the food was modified to suit a more American palate. First catering to miners and railroad workers, they established new eateries in towns where Chinese food was completely unknown, adapting local ingredients and catering to their customers' tastes. Even though the new flavors and dishes meant they were not strictly Chinese cuisine, these Chinese restaurants have been cultural ambassadors to Americans. Chinese restaurants in the United States began during the California Gold Rush (1848–1855), which brought 20,000–30,000 immigrants across from the Canton (Guangdong) region of China. The first Chinese restaurant in America is debated. Some say it was Macau and Woosung, while others cite Canton Restaurant. Both unphotographed establishments were founded in 1849 in San Francisco. Either way, these and other such restaurants were central features in the daily lives of immigrants. They provided a connection to home, particularly for the many bachelors who did not have the resources or knowledge to cook for themselves. In 1852, the ratio of male to female Chinese immigrants was a 18:1. These restaurants served as gathering places and cultural centers for the Chinese community. By 1850, there were five Chinese restaurants in San Francisco. Soon after, significant amounts of food were being imported from China to America's west coast. The trend spread steadily eastward with the growth of the American railways, particularly to New York City. The Chinese Exclusion Act allowed merchants to enter the country, and in 1915, restaurant owners became eligible for merchant visas. This fueled the opening of Chinese restaurants as an immigration vehicle. Pekin Noodle Parlor, established in 1911, is the oldest operating Chinese restaurant in the country. , the United States had 46,700 Chinese restaurants. Along the way, cooks adapted southern Chinese dishes and developed a style of Chinese food not found in China, such as chop suey. Restaurants (along with Chinese laundries) provided an ethnic niche for small businesses at a time when Chinese people were excluded from most jobs in the wage economy by ethnic discrimination or lack of language fluency. By the 1920s, this cuisine, particularly chop suey, became popular among middle-class Americans. However, after World War II it began to be dismissed for not being "authentic", though it continued to be popular. In 1955, the Republic of China (having itself retreated to Taiwan) evacuated the Dachen Islands in the face of the encroaching Communists. Many who evacuated to Taiwan later moved to the United States as they lacked strong social networks and access to opportunity in Taiwan. Chefs from the Dachen Islands had a strong influence on American Chinese food. Beginning in the 1950s, Taiwanese immigrants replaced Cantonese immigrants as the primary labor force in American Chinese restaurants. These immigrants expanded American-Chinese cuisine beyond Cantonese cuisine to encompass dishes from many different regions of China as well as Japanese-inspired dishes. Chinese-American restaurants played a key role in ushering in the era of take-out and delivery food in the United States. In New York City, delivery was pioneered in the 1970s by Empire Szechuan Gourmet Franchise, which hired Taiwanese students studying at Columbia University to do the work. Chinese American restaurants were among the first restaurants to use picture menus in the US. Taiwanese immigration largely ended in the 1990s due to an economic boom and democratization in Taiwan. From the 1990s onward, immigrants from China once again made up the majority of cooks in American Chinese restaurants. There has been a consequential component of Chinese emigration of illegal origin, most notably Fuzhou people from Fujian Province and Wenzhounese from Zhejiang Province in Mainland China, specifically destined to work in Chinese restaurants in New York City, beginning in the 1980s. Adapting Chinese cooking techniques to local produce and tastes has led to the development of American Chinese cuisine. Many of the Chinese restaurant menus in the US are printed in Chinatown, Manhattan,which has a strong Chinese-American demographic. Late 20th-century tastes have been more accommodating. By this time, it had become evident that Chinese restaurants no longer catered mainly to Chinese customers. In 2011, the Smithsonian National Museum of American History displayed some of the historical background and cultural artifacts of American Chinese cuisine in its exhibit entitled, Sweet & Sour: A Look at the History of Chinese Food in the United States. Differences from other regional cuisines in China American Chinese food builds from styles and food habits brought from the southern province of Guangdong, often from the Toisan district of Toisan, the origin of most Chinese immigration before the closure of immigration from China in 1924. These Chinese families developed new styles and used readily available ingredients, especially in California. The type of Chinese-American cooking served in restaurants was different from the foods eaten in Chinese-American homes. Of the various regional cuisines in China, Cantonese cuisine has been the most influential in the development of American Chinese food. American Chinese food typically features different types and greater quantities of meat than traditional Chinese cuisine. Another major difference between Chinese and American-Chinese cuisine is in the use of vegetables. Salads containing raw or uncooked ingredients are rare in traditional Chinese cuisine. An increasing number of American Chinese restaurants, including some upscale establishments, have started to offer these items in response to customer demand. While cuisine in China makes frequent use of Asian leaf vegetables like bok choy and gai-lan, American Chinese cuisine makes use of some ingredients not native to and very rarely used in China, for example, Western broccoli () instead of Chinese broccoli (gai-lan, ). (Occasionally, Western broccoli is also referred to as in Cantonese () in order to distinguish the two.) Chinese ingredients considered "exotic" in North America have become more available over time, including fresh fruits and vegetables which previously had been rare. For example, edible snow pea pods have become widely available, while the less-known dau miu (also called "pea sprouts", "pea pod stems", or "pea shoots") are also appearing on menus, and even in supermarkets in North America. American-Chinese food also has had a reputation for high levels of MSG to enhance flavor. In recent years, market forces and customer demand have encouraged many restaurants to offer "MSG Free" or "No MSG" menus, or to omit this ingredient on request. Egg fried rice in American Chinese cuisine is also prepared differently, with more soy sauce added for more flavor whereas the traditional egg fried rice uses less soy sauce. Some food styles, such as dim sum, were also modified to fit American palates, such as added batter for fried dishes and extra soy sauce. Both Chinese and American-Chinese cooking utilize similar methods of preparation, such as stir frying, pan frying, and deep frying, which are all easily done using a wok. Ming Tsai, the owner of the Blue Ginger restaurant in Wellesley, Massachusetts, and host of PBS culinary show Simply Ming, said that American Chinese restaurants typically try to have food representing 3-5 regions of China at one time, have chop suey, or have "fried vegetables and some protein in a thick sauce", "eight different sweet and sour dishes", or "a whole page of 20 different chow meins or fried rice dishes". Tsai said "Chinese-American cuisine is 'dumbed-down' Chinese food. It's adapted... to be blander, thicker and sweeter for the American public". Most American Chinese establishments cater to non-Chinese customers with menus written in English or containing pictures. If separate Chinese-language menus are available, they typically feature items such as liver, chicken feet, or other meat dishes that might deter American customers (such as offal). In Chinatown, Manhattan, some restaurants are known for having a "phantom" menu with food preferred by ethnic Chinese, but believed to be disliked by non-Chinese Americans. Dishes Menu items not found in China Dishes that often appear on American Chinese restaurant menus include: Almond chicken — chicken breaded in batter containing ground almonds, fried and served with almonds and onions. Beef and broccoli — flank steak cut into small pieces, stir fried with broccoli, and covered in a dark sauce made with soy sauce and oyster sauce and thickened with cornstarch. Chicken and broccoli — similar to beef and broccoli, but with chicken instead of beef. Chinese chicken salad — usually containing sliced or shredded chicken, uncooked leafy greens, carrots, cucumbers, crispy noodles (or fried wonton skins) and sesame dressing. Some restaurants serve the salad with mandarin oranges. Chop suey — connotes "assorted pieces" in Chinese. It is usually a mix of vegetables and meat in a brown sauce but can also be served in a white sauce. Crab rangoon — fried wonton skins stuffed with (usually) artificial crab meat (surimi) and cream cheese. Fortune cookie — invented in California as a Westernized version of the Japanese omikuji senbei, fortune cookies have become sweetened and found their way to many American Chinese restaurants. Fried wontons — somewhat similar to crab rangoon, a filling, (most often pork), is wrapped in a wonton skin and deep fried. General Tso's chicken — chunks of chicken that are dipped in batter, deep fried, and seasoned with ginger, garlic, sesame oil, scallions, and hot chili peppers. Believed to be named after Qing dynasty statesman and military leader Zuo Zongtang, often referred to as General Tso. Mongolian beef — fried beef with scallions or white onions in a spicy and often sweet brown sauce. Pepper steak — sliced steak, green bell peppers, tomatoes, and white or green onions stir fried with salt, sugar, and soy sauce. Bean sprouts are a less common addition. Royal beef—deep-fried sliced beef, doused in a wine sauce and often served with steamed broccoli. Sesame chicken — boned, marinated, battered, and deep-fried chicken which is then dressed with a translucent red or orange, sweet and mildly spicy sauce, made from soy sauce, corn starch, vinegar, chicken broth, and sugar. Sushi — despite being served in the Japanese and American styles, some American Chinese restaurants serve various types of sushi, usually on buffets. Sweet roll — yeast rolls, typically fried, covered in granulated sugar or powdered sugar. Some variants are stuffed with cream cheese or icing. Wonton strips — these deep-fried strips of dough are commonly offered as complimentary appetizers, along with duck sauce and hot mustard, or with soup when ordering take-out. Other American Chinese dishes Dau miu is a Chinese vegetable that has become popular since the early 1990s, and now not only appears on English-language menus, usually as "pea shoots", but is often served by upscale non-Asian restaurants as well. Originally it was only available during a few months of the year, but it is now grown in greenhouses and is available year-round. Versions of dishes also found in China Beijing beef — in China, this dish uses gai lan (Chinese broccoli) rather than American broccoli. Cashew chicken — stir-fried tender chicken pieces with cashew nuts. Chow mein — literally means "stir-fried noodles". Chow mein consists of fried crispy noodles with bits of meat and vegetables. It can come with chicken, pork, shrimp or beef. Egg foo young — Chinese-style omelet with vegetables and meat, usually served with a brown gravy. While some restaurants in North America deep fry the omelet, versions found in Asia are more likely to fry in the wok. Egg roll — while spring rolls have a thin, light beige crispy skin that flakes apart, and is filled with mushrooms, bamboo, and other vegetables inside, the American-style egg roll has a thicker, chewier, dark brown bubbly skin stuffed with cabbage and usually bits of meat or seafood (such as pork or shrimp), but no egg. In some regions, a filling of shredded and dried celery replaces cabbage, resulting in a more greenish tinge to the filling. Fried rice — fried-rice dishes are popular offerings in American Chinese food due to the speed and ease of preparation and their appeal to American tastes. Fried rice is generally prepared with rice cooled overnight, allowing restaurants to put leftover rice to good use (freshly cooked rice is actually less suitable for fried rice). The Chinese-American version of this dish typically uses more soy sauce than the versions found in China. Fried rice is offered with different combinations of meat (pork, chicken and shrimp are the most popular) and vegetables. Ginger beef () — tender beef cut in chunks, mixed with ginger and Chinese mixed vegetables. Ginger fried beef () — tender beef cut in strings, battered, deep fried, then re-fried in a wok mixed with a sweet sauce, a variation of a popular Northern Chinese dish. Hulatang — a traditional Chinese soup with hot spices, often called "spicy soup" on menus. Hot and sour soup — the North American soups tend to have starch added as a thickener. Kung Pao chicken — a spicy Sichuan dish that is served with peanuts, scallions, and Sichuan peppers. Some versions in North America may include zucchini and bell peppers. Lo mein ("stirred noodles") — frequently made with eggs and flour, making them chewier than a recipe simply using water. Thick, spaghetti-shaped noodles are pan fried with vegetables (mainly bok choy and Chinese cabbage or napa) and meat. Sometimes this dish is referred to as chow mein (which literally means "stir-fried noodles" in Cantonese). Mei Fun — noodles usually simmered in broth with other ingredients such as fish balls, beef balls, and/or slices of fishcake. Moo shu pork — the original version uses more typically Chinese ingredients (including wood ear fungi and daylily buds) and thin flour pancakes, while the American version often uses vegetables more familiar to Americans, and thicker pancakes. This dish is quite popular in Chinese restaurants in the United States, but not as popular in China. Orange chicken — chopped, battered, fried chicken with a sweet orange flavored chili sauce that is thickened and glazed. The traditional version consists of stir-fried chicken in a light, slightly sweet soy sauce flavored with dried orange peels. Wonton soup — In most American Chinese restaurants, only wonton dumplings in broth are served, while versions found in China may come with noodles. (In Canton, it can be a full meal in itself, consisting of thin egg noodles and several pork and prawn wontons in a pork or chicken soup broth or noodle broth). Especially in takeout restaurants, wonton are often made with thicker dough skins, to withstand the rigors of delivery. Regional variations New York City The New York metropolitan area is home to the largest Chinese population outside of Asia, which also constitutes the largest metropolitan Asian-American group in the United States and the largest Asian-national metropolitan diaspora in the Western Hemisphere. The Chinese-American population of the New York City metropolitan area was an estimated 893,697 as of 2017. Given the New York metropolitan area's continuing status as by far the leading gateway for Chinese immigrants to the United States, all popular styles of every Chinese regional cuisine have commensurately become ubiquitously accessible in New York City, including Hakka, Taiwanese, Shanghainese, Hunanese, Szechuan, Cantonese, Fujianese, Xinjiang, Zhejiang, and Korean Chinese cuisine. Even the relatively obscure Dongbei style of cuisine indigenous to Northeast China is now available in Flushing, Queens, as well as Mongolian cuisine and Uyghur cuisine. Kosher preparation Kosher preparation of Chinese food is also widely available in New York City, given the metropolitan area's large Jewish and particularly Orthodox Jewish populations. The perception that American Jews eat at Chinese restaurants on Christmas Day is documented in media. The tradition may have arisen from the lack of other open restaurants on Christmas Day, the close proximity of Jewish and Chinese immigrants to each other in New York City, and the absence of dairy foods combined with meat. Kosher Chinese food is usually prepared in New York City, as well as in other large cities with Orthodox Jewish neighborhoods, under strict rabbinical supervision as a prerequisite for Kosher certification. Los Angeles County Chinese populations in Los Angeles represent at least 21 of the 34 provincial-level administrative units of China, along with the largest population of Taiwanese-born immigrants outside of Taiwan, making greater Los Angeles home to a diverse population of Chinese people in the United States. Chinese-American cuisine in the Greater Los Angeles area is concentrated in Chinese ethnoburbs rather than traditional Chinatowns. The oldest Chinese ethnoburb is Monterey Park, considered to be the nation's first suburban Chinatown. Although Chinatown in Los Angeles is still a significant commercial center for Chinese immigrants, the majority are centered in the San Gabriel Valley which is the one of the largest concentration of Asian-Americans in the country, stretching from Monterey Park into the cities of Alhambra, San Gabriel, Rosemead, San Marino, South Pasadena, West Covina, Walnut, City of Industry, Diamond Bar, Arcadia, and Temple City. The Valley Boulevard corridor is the main artery of Chinese restaurants in the San Gabriel Valley. Another hub with a significant Chinese population is Irvine (Orange County). More than 200,000 Chinese Americans live in the San Gabriel Valley alone, with over 67% being foreign born. The valley has become a brand-name tourist destination in China, although droughts in California are creating a difficult impact upon its water security and existential viability. Of the ten cities in the United States with the highest proportions of Chinese Americans, the top eight are located in the San Gabriel Valley, making it one of the largest concentrated hubs for Chinese Americans in North America. Some regional styles of Chinese cuisine include Beijing, Chengdu, Chonqing, Dalian, Hangzhou, Hong Kong, Hunan, Mongolian hot pot, Nanjing, Shanghai, Shanxi, Shenyang, Wuxi, Xinjiang, Yunnan, and Wuhan. San Francisco Bay Area Since the early 1990s, many American Chinese restaurants influenced by California cuisine have opened in the San Francisco Bay Area. The trademark dishes of American Chinese cuisine remain on the menu, but there is more emphasis on fresh vegetables, and the selection is vegetarian-friendly. This new cuisine has exotic ingredients like mangos and portobello mushrooms. Brown rice is often offered as an alternative to white rice. Some restaurants substitute grilled wheat flour tortillas for the rice pancakes in mushu dishes. This occurs even in some restaurants that would not otherwise be identified as California Chinese, both the more Westernized places and the more authentic places. There is a Mexican bakery that supplies some restaurants with thinner tortillas made for use with mushu. Mushu purists do not always react positively to this trend. In addition, many restaurants serving more native-style Chinese cuisines exist, due to the high numbers and proportion of ethnic Chinese in the San Francisco Bay Area. Restaurants specializing in Cantonese, Sichuanese, Hunanese, Northern Chinese, Shanghainese, Taiwanese, and Hong Kong traditions are widely available, as are more specialized restaurants such as seafood restaurants, Hong Kong-style diners and cafes, also known as Cha chaan teng (), dim sum teahouses, and hot pot restaurants. Many Chinatown areas also feature Chinese bakeries, boba milk tea shops, roasted meat, vegetarian cuisine, and specialized dessert shops. Chop suey is not widely available in San Francisco, and the area's chow mein is different from Midwestern chow mein. Boston Chinese cuisine in Boston results from a combination of economic and regional factors, in association with the wide Chinese academic scene. The growing Boston Chinatown accommodates Chinese-owned bus lines shuttling an increasing number of passengers to and from the numerous Chinatowns in New York City, and this has led to some exchange between Boston Chinese cuisine and that in New York. A large immigrant Fujianese immigrant population has made a home in Boston, leading to Fuzhou cuisine being readily available there. An increasing Vietnamese population has also had an influence on Chinese cuisine in Greater Boston. In addition, innovative dishes incorporating chow mein and chop suey as well as locally farmed produce and regionally procured seafood are found in Chinese as well as non-Chinese food in and around Boston. The selection of Chinese bakery products has increased markedly in the 21st century, although the range of choices in New York City remains supreme. Joyce Chen introduced northern Chinese (Mandarin) and Shanghainese dishes to Boston in the 1950s, including Peking duck, moo shu pork, hot and sour soup, and potstickers, which she called "Peking Ravioli" or "Ravs". Her restaurants would be frequented by early pioneers of the ARPANET, as well as celebrities such as John Kenneth Galbraith, James Beard, Julia Child, Henry Kissinger, Beverly Sills, and Danny Kaye. A former Harvard University president called her eating establishment "not merely a restaurant, but a cultural exchange center". In addition, her single-season PBS national television series Joyce Chen Cooks popularized some dishes which could be made at home, and she often encouraged using substitute ingredients when necessary. Philadelphia The evolving American Chinese cuisine scene in Philadelphia has similarities with the situation in both New York City and Boston. As with Boston, Philadelphia is experiencing significant Chinese immigration from New York City, to the north, and from China, the top country of birth by a significant margin for a new arrivals there . There is a growing Fujianese community in Philadelphia as well, and Fuzhou cuisine is readily available in the Philadelphia Chinatown. Also, emerging Vietnamese cuisine in Philadelphia is contributing to evolution in local Chinese cuisine, with some Chinese-American restaurants adopting Vietnamese influences or recipes. Washington, D.C. Although Washington, D.C.'s Chinese community has not achieved as high of a local profile as that in other major cities along the Mid-Atlantic United States, it is now growing, and rapidly so, due to the gentrification of DC's Chinatown and the status of Washington, D.C., as the capital of the United States. The growing Chinese community in DC. and its suburbs has revitalized the influence of Chinese cuisine in the area. Washington, D.C.'s population is 1% Chinese, making them the largest single Asian ancestry in the city. However, the Chinese community in the DC area is no longer solely concentrated in the Chinatown, which is about 15% Chinese and 25% Asian, but is mostly concentrated throughout various towns in suburban Maryland and Northern Virginia. The largest concentration of Chinese and Taiwanese in the DC area is in Rockville, Maryland, in Montgomery County. A popular dish localized in Chinese American carryouts across the DMV region consists of whole fried chicken wings served with mumbo sauce; a sweet, tangy ketchup-based condiment. In DC proper, there are Chinese-owned restaurants specializing in both Chinese American and authentic Chinese cuisine. Regional variations of Chinese cuisine that restaurants in DC specialize in include Shanghainese cuisine, Cantonese cuisine, Uyghur cuisine, Mongolian cuisine, and Sichuan cuisine. In the suburbs of DC in Maryland and Virginia, many of which have a much higher Chinese population than DC, regional variations present aside from the ones previously mentioned include Hong Kong cuisine, Hunan cuisine, Shaanxi cuisine, Taiwanese cuisine, and Yunnan cuisine. Puerto Rico Hawaii Hawaiian-Chinese food developed somewhat differently from Chinese cuisine in the continental United States. Owing to the diversity of Pacific ethnicities in Hawaii and the history of the Chinese influence in Hawaii, resident Chinese cuisine forms a component of the cuisine of Hawaii, which is a fusion of different culinary traditions. Some Chinese dishes are typically served as part of plate lunches in Hawaii. The names of foods are different as well, such as Manapua, from the Hawaiian contraction of "Mea ono pua'a" or "delicious pork item" from the dim sum bao, though the meat is not necessarily pork. Other regions Chow mein sandwich — sandwich of chow mein and gravy (Southeastern Massachusetts and Rhode Island) Chop suey sandwich — sandwich of chicken chop suey on a hamburger bun (North Shore of Massachusetts) St. Paul sandwich — egg foo young patty in plain white sandwich bread (St. Louis, Missouri) Springfield-style cashew chicken — a style of cashew chicken that combines breaded deep-fried chicken, cashew nuts, and oyster sauce (Springfield, Missouri) War/wor sue gai (boneless almond chicken) — bite-sized Southern-style fried chicken with yellow sauce (Columbus, Ohio) Yaka mein — Chinese-Creole food found in New Orleans that evolved from beef noodle soup Chain restaurants China Coast — closed in 1995; owned by General Mills Corporation, formerly 52 locations throughout the United States Leeann Chin — Minnesota and North Dakota; owned at one time by General Mills Corp. Manchu Wok — throughout the United States and Canada, as well as Guam, Korea and Japan Panda Express — throughout North America (including Canada and Mexico), plus locations in Asia and the Middle East Pei Wei Asian Diner — throughout the United States; formerly a subsidiary of P.F. Chang's P. F. Chang's China Bistro — throughout the United States; featuring California-Chinese fusion cuisine Pick Up Stix — California, Arizona, and Nevada Stir Crazy — Illinois, Missouri, Wisconsin, Minnesota, New York, Florida, Indiana, Texas, and Ohio Popular culture Many American films (for example: The Godfather; Ghostbusters; The Lost Boys; The Naked Gun; Crossing Delancey; Paid in Full; and Inside Out) involve scenes where Chinese take-out food is eaten from oyster pails. A consistent choice of cuisine in all these cases, however, might just be an indicator of its popularity. A running gag in Dallas is Cliff Barnes' fondness for inexpensive Chinese take-out food, as opposed to his nemesis J. R. Ewing frequenting fine restaurants. Among the numerous American television series and films that feature Chinese restaurants as a setting include A Christmas Story, Seinfeld (particularly the episode "The Chinese Restaurant"), Sex and the City, Big Trouble in Little China, South Park, Year of the Dragon, Lethal Weapon 4, Mickey Blue Eyes, Booty Call, Rush Hour 2, and Men in Black 3. In most cases, it is not an actual restaurant but a movie set that typifies the stereotypical American Chinese eatery, featuring "paper lanterns and intricate woodwork", with "numerous fish tanks and detailed [red] wallpaper [with gold designs]" and "golden dragons", plus "hanging ducks in the window". Cultural impact Impact on United States In 2023, there are more Chinese restaurants in the United States than all American fast food restaurants combined. Chinese American cuisine provides an option for Americans to taste Chinese food, which is adapted to both Chinese and American flavors. It allows people in America to learn more about Chinese traditional culture and customs. In this process, Chinese Americans have developed a new cuisine which is different from "traditional Chinese food," and contribute to the food diversity in America. Through running their own restaurants or eateries, first-generation Chinese immigrants eliminated discrimination against them and gained sufficient income to send the next generations to universities or colleges. For Chinese Americans, American Chinese cuisine has already become part of their childhood memories and life,which also would be a bridge between Chinese and American cultures. For example, Panda Express and P.F. Chang's, two of the most famous American Chinese restaurants in the United States that have become the symbol of American Chinese cuinsine and have gained appreciation from many Americans. In addition, American Chinese cuisine brought some new ingredients and cooking methods to the United States, such as stir-frying and steaming. Thus, many restaurants in the United States started to combine existing dishes with Chinese cooking techniques and flavors, which promoted the development of fusion cuisine.Introduction of Chinese food also triggered people's curiosity about more Asian food, such as Japanese, Thai and Singaporean food, and led to a prevalence of Asian cuisine. Impact on China Although Chinese people will regard American Chinese food as inauthentic food and less likely to have it, or they will not recognize American Chinese cuisine, in recent years, some American Chinese food restaurants have opened in some cities of China, such as Beijing and Shanghai. P.F. Chang's, a restaurant chain specialized in American Chinese food, opened a new restaurant in Shanghai, China. The CEO of this chain Michael Osanloo revealed his positive attitude towards the future of opening more chain restaurants in China because he believed that Chinese people would like to try something new. Most owners of those American Chinese restaurants opened in China are Chinese Americans. Their primary target customers were people from foreign countries and students who have had study abroad experiences. However, many native Chinese people, especially younger generations have a greater willingness to try American Chinese food. Yinhao Xu, the owner of Americanized Chinese eatery-Bamboo Chinese Fast Food in Beijing, said that he was surprised that some younger generations without overseas experiences have a higher level of acceptance of American-style Chinese cuisine. The reason for that is cultural impact; many American Chinese cuisines appear in many American shows or movies, such as Friends and The Big Bang Theory, which leads young people in China to want to try American Chinese food. Impact to other countries South Korea Woktionary, an American Chinese restaurant opened in Seoul, South Korea, provides authentic American Chinese food, such as Chow mein and Mongolian beef. Meanwhile, the head chef Kim also added new flavors to some of the dishes. At the same time, Panda Express also opened a restaurant in Seoul, South Korea. The CEO of the company indicated that many Korean customers were already expecting for their opening. Japan The first Panda Express in Japan was opened in November 2016 in Kawasaki. It is dedicated to providing the original taste of American Chinese food to Americans in Japan. It offers similar menus in Japan compared to Panda Express restaurants in the United States, such as Orange Chicken, Beijing Beef, and Fortune cookies. Nevertheless, the restaurant also tries to implement localization by offering a limited dish only in Japan: Sweet and Pungent Shrimp. See also Fusion cuisine Canadian Chinese cuisine Australian Chinese cuisine Chinese bakery products Chinese cuisine American cuisine British Chinese cuisine New Zealand Chinese cuisine Indian Chinese cuisine Fortune Cookie List of Chinese restaurants Oyster pail Citations References and further reading Studies Free download: Cookbooks Sara Bosse, Onoto Watanna, with an Introduction by Jacqueline M. Newman. Chinese-Japanese Cook Book. (1914; reprinted, Bedford, MA: Applewood Books, 2006). . . Eileen Yin-Fei Lo and Alexandra Grablewski. The Chinese Kitchen: Recipes, Techniques and Ingredients, History, and Memories from America's Leading Authority on Chinese Cooking. (New York: William Morrow, 1999). . External links "Chinese food in America History" (The Food Timeline) The Food Timeline: history notes--restaurants, chefs & foodservice Imogen Lim Restaurant Menu Collection: American menus. Vancouver Island University Library. Harley J. Spiller Collection of Chinese Restaurant Menus University of Toronto, Scarborough Library Cuisine Cuisine Chinese cuisine Hawaiian cuisine
1560
https://en.wikipedia.org/wiki/Ahmad%20Shah%20Durrani
Ahmad Shah Durrani
Ahmad Shāh Durrānī (; ), also known as Ahmad Shāh Abdālī (), was the founder of the Durrani Empire and is regarded as the founder of the modern Afghanistan. In June 1747, Ahmad Shah was appointed as King of the Afghans by a loya jirga in Kandahar, where he set up his capital. Primarily with the support of the Pashtun tribes, Ahmad Shah pushed east towards the Mughal and Maratha Empires of India, west towards the disintegrating Afsharid Empire of Iran, and north towards the Khanate of Bukhara of Turkestan. Within a few years, he extended his control from Khorasan in the west to North India in the east, and from the Amu Darya in the north to the Arabian Sea in the south. Soon after accession, Ahmad Shah adopted the epithet Shāh Durr-i-Durrān, "King, Pearl of Pearls", and changed the name of his Abdali tribe to "Durrani" after himself. The Tomb of Ahmad Shah Durrani is located in the center of Kandahar, adjacent to Kirka Sharif (Shrine of the Cloak), which contains a cloak believed to have been worn by the Islamic prophet Muhammad. Afghans often refer to Ahmad Shah as Ahmad Shāh Bābā, "Ahmad Shah the Father." Early years Ahmad's father, Mohammad Zaman Khan, was the Governor of Herat and chief of the Pashtun Abdali tribe, while his mother, Zarghona Anaa, was daughter of Khalu Khan Alakozai and belonged to the Alakozai tribe. Ahmad was born in Herat (then Sadozai Sultanate of Herat, present-day Afghanistan), or Multan (then Mughal Empire, present-day Pakistan) in 1720–1722 around the time of his father's death, when the Abdali leadership still controlled the Herat region. In June 1729, the Abdali forces under Zulfiqar had surrendered to Nader Shah Afshar, the rising new ruler of Persia. However, they soon began a rebellion and took over Herat as well as Mashad. In July 1730, he defeated Ibrahim Khan, a military commander and brother of Nader Shah. This prompted Nader Shah to retake Mashad and also intervene in the power struggle of Harat. By July 1731, Zulfiqar returned to his capital Farah where he had been serving as the governor since 1726. A year later Nadir's brother Ibrahim Khan took control of Farah. During this time Zulfiqar and the young Durrani fled to Kandahar where they took refuge with the Ghiljis. They were later made political prisoners by Hussain Hotak, the Ghilji ruler of the Kandahar region. Nader Shah had been enlisting the Abdalis in his army since around 1729. After conquering Kandahar in 1738, Durrani and his brother Zulfiqar were freed and provided with leading careers in Nader Shah's administration. Zulfiqar was made Governor of Mazandaran while Durrani remained working as Nader Shah's personal attendant. The Ghiljis, who are originally from the territories east of the Kandahar region, were expelled from Kandahar in order to resettle the Abdalis along with some Qizilbash and other Persians. Durrani proved himself in Nader Shah's service and was promoted from a personal attendant (yasāwal) to command the Abdali Regiment, a cavalry of four thousand soldiers and officers. The Abdali Regiment was part of Nader Shah's military during his invasion of the Mughal Empire in 1738. Popular history has it that the Shah could see the talent in his young commander. Later on, according to Pashtun legend, it is said that in Delhi Nader Shah summoned Durrani, and said, "Come forward Ahmad Abdali. Remember Ahmad Khan Abdali, that after me the Kingship will pass on to you. Nader Shah recruited him because of his "impressive personality and valour" also because of his "loyalty to the Persian monarch". Rise to power Nader Shah's rule abruptly ended in June 1747 when he was assassinated by his own guards. The guards involved in the assassination did so secretly so as to prevent the Abdalis from coming to their King's rescue. However, Durrani was told that the Shah had been killed by one of his wives. Despite the danger of being attacked, the Abdali contingent led by Durrani rushed either to save the Shah or to confirm what happened. Upon reaching the Shah's tent, they were only to see his body and severed head. Having served him so loyally, the Abdalis wept at having failed their leader, and headed back to Kandahar. Before the retreat to Kandahar, he had "removed" the royal seal from Nader Shah's finger and the Koh-i-Noor diamond tied "around the arm of his deceased master". On their way back to Kandahar, the Abdalis had "unanimously accepted" Durrani as their new leader. Hence he "assumed the insignia of royalty" as the "sovereign ruler of Afghanistan". One of Durrani's first acts as chief was to adopt the epithet Shāh Durr-i-Durrān, "King, Pearl of Pearls." Forming the last Afghan empire Although Ahmad Shah appointed his fellow Durrani (Abdali) clansmen for most senior military posts, his army was otherwise ethnically diverse with soldiers also from various other ethnic and tribal groups, including non-Durrani Pashtun tribes like the Ghilji and Yusufzai, and non-Pashtun groups such as Qizilbash, Hazaras, Tajiks, Uzbeks, and Baloch. He began his military conquest by capturing Qalati Ghilji from its governor Ashraf Tokhi and installed his own governor in Ghazni. He then wrestled Kabul and Peshawar from Mughal-appointed governor Nasir Khan, and conquered the area up to the Indus River. On 15 July 1747, Ahmad Shah appointed Muhammad Hashim Afridi as chief of the Afridi of Peshawar. Ahmad Shah conquered Herat in 1750, Balkh and Badakhshan in 1751, and Kashmir in 1752. He also made two campaigns into Khorasan (1750–51 and 1754–55). During the first campaign he besieged Mashhad in July 1750 but retreated after four months and on November 10 moved onto Nishapur. His forces suffered heavy casualties and were forced to retreat in early 1751. In 1754 he invaded again. In June 1754 he took Tun and on July 23 had besieged Mashhad. Mashhad fell on December 2 and although Shahrokh Shah was re-appointed as leader of Khorasan in May 1755 he was forced to cede Torshiz, Bakharz, Jam, Khaf, and Turbat-e Haidari to the Afghans. He invaded Nishapur again and after a 7-day siege the city fell on June 24, 1755, and was utterly destroyed. Indian invasions Early invasions Peshawar served as a convenient point for Ahmad Shah for his military conquests in Hindustan. From 1748 to 1767, he invaded Hindustan eight times. He first crossed the Indus River in 1748, the year after his ascension – his forces sacked and absorbed Lahore. In 1749, Ahmad Shah captured the area of Punjab around Lahore. In the same year, the Mughal ruler was induced to cede Sindh and all of the Punjab including the vital trans-Indus River to him, in order to save his capital from being attacked by the forces of the Durrani Empire Having thus gained substantial territories to the east without a fight, Ahmad Shah and his forces turned westward to take possession of Herat, which was ruled by Nader Shah's grandson, Shah Rukh. The city fell to the Afghans in 1750, after almost a year of siege and bloody conflict; the Afghan forces then pushed on into present-day Iran, capturing Nishapur and Mashhad in 1751. Following the recapture of Mashhad in 1754, Ahmad Shah visited the eighth Imam's sepulchre and ordered repairs to be made. Ahmad Shah then pardoned Shah Rukh and reconstituted Khorasan, but a tributary of the Durrani Empire. This marked the westernmost border of the Afghan Empire as set by the Pul-i-Abrisham, on the Mashhad-Tehran road. Third battle of Panipat The Mughal power in northern India had been declining since the reign of Aurangzeb, who died in 1707. In 1751–52, the Ahamdiya treaty was signed between the Marathas and Mughals, when Balaji Bajirao was the Peshwa of the Maratha Empire. Through this treaty, the Marathas controlled large parts of India from their capital at Pune and Mughal rule was restricted only to Delhi (Mughals remained the nominal heads of Delhi). Marathas were now straining to expand their area of control towards the Northwest of India. Durrani sacked the Mughal capital and withdrew with the booty he coveted. To counter the Afghans, Peshwa Balaji Bajirao sent Raghunathrao. He succeeded in ousting Timur Shah and his court from India and brought northwest of India up to Peshawar under Maratha rule. Thus, upon his return to Kandahar in 1757, Durrani chose to return to India and confront the Maratha forces to regain northwestern part of the subcontinent. In 1761, Durrani set out on his campaign to win back lost territories. The early skirmishes ended in victory for the Afghans against the Maratha garrisons in northwest India. By 1759, Durrani and his army had reached Lahore and were poised to confront the Marathas. By 1760, the Maratha groups had coalesced into a big enough army under the command of Sadashivrao Bhau. Once again, Panipat was the scene of a battle for control of northern India. The Third battle of Panipat was fought between Durrani's Afghan forces and the Maratha forces in January 1761, and resulted in a decisive Durrani victory. Central Asia The Afaqi brothers died in Badakhshan and the ruler Sultan Shah delivered their bodies to the Qing. Ahmad Shah Durrani accused Sultan Shah of having caused the Afaqi brothers to die. Durrani dispatched troops to Kokand after rumours that the Qing dynasty planned to launch an expedition to Samarkand, but the alleged expedition never happened and Ahmad Shah subsequently withdrew his forces when his attempt at an anti-Qing alliance among Central Asian states failed. Durrani then sent envoys to Beijing to discuss the situation regarding the Afaqi Khojas. Death and legacy According to some sources, Ahmad Shah may have suffered a wound on his nose during a horse-riding accident in Kabul in 1768, or he may have suffered an injury due to a flying brick striking his nose when the Harimandir Sahib was destroyed with gunpowder, Other sources state that he suffered from what Afghan sources described as a "gangrenous ulcer", which may attribute to numerous illnesses, such as Leprosy, Syphilis, or a tumor. Lee writes: "Ahmad Shah gained poor health as a result of all his campaigns. Despite all attempts to treat it, a wound in his nose remained. The ulcer in his later years began eating into his brain". Following the advice of his physicians, he would spend part of the summer in the cooler climate of the Margha plain in the Toba Achakzai range during the last few years of his life. He died of his illness on 4 June 1772 (2 Rabi' al-Awwal 1186) in Maruf, Toba Achakzai, east of Kandahar. Some other sources state that he died on 16 October 1772 He was buried in the city of Kandahar adjacent to the Shrine of the Cloak, where a large mausoleum was built. It has been described in the following way: In his tomb his epitaph is written: Durrani's victory over the Marathas influenced the history of the subcontinent and, in particular, the policies of the East India Company in the region. His refusal to continue his campaigns deeper into India prevented a clash with the company and allowed them to continue to acquire power and influence after they established complete control over the former Mughal province of Bengal in 1793. However, fear of another Afghan invasion would influence Company policy-makers for almost half a century after the Battle of Panipat. The acknowledgment of Durrani's military accomplishments is reflected in an intelligence report made by Company officials on the Battle of Panipat, which referred to Ahmad Shah as the 'King of Kings'. This fear led in 1798 to a Company envoy being sent to the Persian court in part to instigate the Persians in their claims on Herat to forestall a possible Afghan invasion of India that might have halted Company expansion. Mountstuart Elphinstone wrote of Ahmad Shah: His successors, beginning with his son Timur Shah and ending with Shuja Shah Durrani, proved largely incapable of governing the last Afghan empire and faced with advancing enemies on all sides. Much of the territory conquered by Ahmad Shah fell to others by the end of the 19th century. Timur Shah would consolidate the holdings of the Durrani Empire, and fight off civil war and rebellion throughout his reign, he would also lead multiple campaigns into Punjab to try and repeat his fathers success. After the death of Timur Shah, his son, Zaman Shah Durrani ascended to the throne, throughout his reign he would lose the outlying territories but also alienated some Pashtun tribes and those of other Durrani lineages. Zaman Shah would lead campaigns into Punjab, capturing Lahore, however due to internal strife, he was forced to withdraw on all attempts. Zaman Shah would later be deposed by Mahmud Shah Durrani, his brother, and the Durrani Realm would continue to disintegrate in the following years from progressive succession crises, usually between Timur Shah's sons, with Mahmud Shah Durrani, Zaman Shah Durrani, and Shah Shuja Durrani. Afghanistan would remain disunited Until Dost Mohammad Khan's ascendancy in 1826, chaos reigned in Afghanistan, which effectively ceased to exist as a single entity, disintegrating into a fragmented collection of small countries or units. Dost Mohammad throughout his reign had focused on re-uniting Afghanistan and had succeeded in doing so, with the Herat Campaign of 1862-63 in the recapture of Herat, and the eventual conquest of the Principality of Qandahar. In Pakistan, a short-range ballistic missile Abdali-I, is named in the honour of Ahmad Shah Abdali. Languages Similar to earlier Persianate rulers, Ahmad Shah Durrani rarely wrote by himself. Instead, for textual composition in his name, he turned to scribes, secretaries, and a group of authors known as munshis. The sole written records from Ahmad Shah's reign are his official biography and a letter he wrote to the Ottoman court; both are written in Persian but not in Ahmad Shah's hand. The modern historian Shah Mahmoud Hanifi says that Ahmad Shah's diwan compendium of Pashto poetry, which is kept in the British Library, has notations and provenance information that raise serious concerns about what the book is aggressively claimed to be, namely, evidence of Ahmad Shah's Pashtunness. For his son Sulaiman, a Shia who served as the governor of Qandahar, Ahmad Shah is claimed to have ordered a Pashto language textbook. Ahmad Shah is not known to have spoken Pashto, and his tenacious literary bond with Pashto was not upheld by his successors. Abdur Rahman Khan, who paid for a Pashto translation of the minutes of his meeting with British colonial official Lord Dufferin in 1885, was the next state ruler to leave a record of his interaction with Pashto more than a century later. Durrani's poetry Durrani wrote a collection of odes in his native Pashto. He was also the author of several poems in Persian. One of his most famous Pashto poems was Love of a Nation: Personal life During Nader Shah's invasion of India in 1739, Ahmad Shah also accompanied him and stayed some days in the Red Fort of Delhi. When he was standing "outside the Jali gate near Diwan-i-Am", Asaf Jah I saw him. He was "an expert in physiognomy" and predicted that Ahmad Shah was "destined to become a king". When Nader Shah learned of it, he "purportedly clipped" his ears with his dagger and made the remark "When you become a king, this will remind you of me". According to other sources, Nader Shah did not believe in it and asked him to be kind to his descendants "on the attaintment of royalty". In popular culture In the 1994 television series The Great Maratha, the character of Ahmad Shah Durrani is portrayed by Bob Christo. In the 2019 Bollywood war drama Panipat film, Ahmad Shah Abdali appears as the primary antagonist who invaded Maratha Empire, and is portrayed by Sanjay Dutt. In 'Panipat' 1988 novel written by Vishwas Patil about Third Battle of Panipat (1761) Ahamed Shah Abdali appears as a notorious invading Afgani Shah. Patil later wrote a stage play on his this novel titled Ranagan (). See also List of monarchs of Afghanistan References Notes Bibliography Caroe, Olaf (1958). The Pathans: 500 B.C.–A.D. 1957. Oxford in Asia Historical Reprints. Oxford University Press, 1983. . Clements, Frank. Conflict in Afghanistan: a historical encyclopedia. ABC-CLIO, 2003. . Dupree, Nancy Hatch. An Historical Guide to Afghanistan. 2nd Edition. Revised and Enlarged. Afghan Air Authority, Afghan Tourist Organization, 1977. Elphinstone, Mountstuart. 1819. An account of the kingdom of Caubul, and its dependencies in Persia, Tartary, and India: Comprising a view of the Afghaun nation, and a history of the Dooraunee monarchy. Printed for Longman, Hurst, Rees, Orme, and Brown, and J. Murry, 1819. Griffiths, John C. (1981). Afghanistan: a history of conflict. Carlton Books, 2001. . Habibi, Abdul Hai. 2003. "Afghanistan: An Abridged History." Fenestra Books. . Hopkins, B. D. 2008. The Making of Modern Afghanistan. Palgrave Macmillan, 2008. . Malleson, George Bruce (1878). History of Afghanistan, from the Earliest Period to the Outbreak of the War of 1878. Elibron Classic Replica Edition. Adamant Media Corporation, 2005. . Romano, Amy. A Historical Atlas of Afghanistan. The Rosen Publishing Group, 2003. . Singh, Ganda (1959). Ahmad Shah Durrani, father of modern Afghanistan. Asia Publishing House, Bombay. (PDF version archiveurl=https://web.archive.org/web/20130207183925/https://web.archive.org/web/20130207183925/http://www.khyber.org/books/pdf/ahmad-shah-baba.pdf 66 MB) Vogelsang, Willem. The Afghans. Wiley-Blackwell, 2002. Oxford, UK & Massachusette, US. . Alikuzai, Hamid Wahed: A Concise History of Afghanistan A Concise History of Afghanistan in 25 Volumes in 25 Volumes, US. 2013, Vol. 14, p. 62, Further reading External links Abdali Tribe History Third Battle of Panipat, 1761 Famous Diamonds: The Koh-I-Noor Invasions of Ahmad Shah Abdali The story of the Koh-i Noor 1722 births 1772 deaths 18th-century Afghan monarchs Emirs of Afghanistan Ahmad Shah 18th-century Afghan poets Afsharid generals Pashtun people Pashto-language poets People from Herat People from Kandahar People from Multan Afghan Muslims 18th-century monarchs in Asia
1566
https://en.wikipedia.org/wiki/Akkadian%20Empire
Akkadian Empire
The Akkadian Empire () was the first ancient empire of Mesopotamia, succeeding the long-lived civilization of Sumer. Centered on the city of Akkad () and its surrounding region, the empire would unite Akkadian and Sumerian speakers under one rule and exercised significant influence across Mesopotamia, the Levant, and Anatolia, sending military expeditions as far south as Dilmun and Magan (modern Saudi Arabia, Bahrain, and Oman) in the Arabian Peninsula. The Akkadian Empire reached its political peak between the 24th and 22nd centuries BC, following the conquests by its founder Sargon of Akkad. Under Sargon and his successors, the Akkadian language was briefly imposed on neighboring conquered states such as Elam and Gutium. Akkad is sometimes regarded as the first empire in history, though the meaning of this term is not precise, and there are earlier Sumerian claimants. Sources Contemporary sources Epigraphic sources from the Sargonic (Akkadian Empire) period are in relatively short supply, partly because the capital Akkad, like the capitals of the later Mitanni and Sealand, has not yet been located, though there has been much speculation. Some cuneiform tablets have been excavated at cities under Akkadian Empire control like Eshnunna and Tell Agrab. Other tablets, lamentably, have become available on the antiquities market and are held in museums and private collections such as those from the Akkadian governor in Adab. Internal evidence allows their dating to the Sargonic period and sometimes to the original location. Archives are especially important to historians and only a few have become available. The Me-sag Archive, which commenced publication in 1958, is considered one of the most significant collections. The tablets, about 500 in number with about half published, are held primarily at the Babylonian Collection of the Yale University and Baghdad Museum with a few others scattered about. The tablets date to the period of late in the reign of Naram-Sin to early in the reign of Shar-kali-shari. They are believed to be from a town between Umma and Lagash and Me-sag to be the governor of Umma. An archive of 47 tablets was found at the excavation of Tell el-Suleimah in the Hamrin Basin. Various royal inscriptions by the Akkadian rulers have also been found. Most of the original examples are short, or very fragmentary like the Victory Stele of Naram-Sin and the Sargonic victory stele from Telloh. A few longer ones are known because of later copies made, often from the much later Old Babylonian period. While these are assumed to be mostly accurate, it is difficult to know if they had been edited to reflect current political conditions. One of the longer surviving examples is the Bassetki Statue, the copper base of a Narim-Sin statue: A number of fragments of royal statues of Manishtushu all bearing portions of a "standard inscription". Aside from a few minor short inscriptions this is the only known contemporary source for this ruler. An excerpt: Before the Akkadian Empire, calendar years were marked by Regnal Numbers. During Sargonic times, a system of year-names was used. This practice continued until the end of the Old Babylonian period, for example, "Year in which the divine Hammu[rabi] the king Esznunna destroyed by a flood.” Afterwards, Regnal Numbers were used by all succeeding kingdoms. During the Akkadian Empire 3 of the presumed 40 Sargon year-names are known, 1 (presumed 9) of Rimush, 20 (presumed 56) of Naram-Sin, and 18 (presumed 18) of Shar-kali-shari. Recently, a single year-name had been found "In the year that Dūr-Maništusu was established.” There are also, perhaps, a dozen more known, which cannot be firmly linked to a ruler. Especially with the paucity of other inscriptions, year-names are extremely important in determining the history of the Akkadian Empire. As an example, from one year-name, we know that the empire was in conflict with the Gutians long before its end. It attests the name of a Gutian ruler and marks the construction of two temples in Babylon as recognition of Akkadian victory. The final contemporary source are seals and their sealing dates. These are especially important here, as markers, with the shortage of other Akkadian Empire epigraphics and very useful to historians. As an example, two seals and one sealing were found in the Royal Cemetery at Ur which contained the name of Sargons's daughter En-hedu-ana. This provided confirmation of her existence. The seals read "En-hedu-ana, daughter of Sargon: Ilum-pal[il] (is) her coiffeur" and "Adda, estate supervisor/majordomo of En-hedu-ana". At Tell Mozan (ancient Urkesh) brought to light a clay sealing of Tar'am-Agade (Akkad loves <her>), a previously unknown daughter of Naram-Sin, who was possibly married to an unidentified local endan (ruler). Later copies and literary compositions So great was the Akkadian Empire, especially Sargon and Narim-Sin, that its history was passed down for millenia. This ranged on one end to purported copies of still existing Sargonic period inscriptions to literary tales made up from the whole cloth at the other. A few examples: Great Rebellion Against Naram-Sin – At one point in his reign much of the Empire, especially in the old mainly Sumerian city-states, rose up against Naram-Sin. The revolt was crushed but the echoes of the event were passed down in history. Some of the tales, like "Naram-Sin and the Enemy Hordes" (Old Babylonian – purported to be a copy of an inscription at the temple of Nergal in Cutha) and "Gula-AN and the Seventeen Kings against Naram-Sin" were literary compositions which further developed and changed the themes. The earliest examplar, from the Old Babylonian period, is found in several incomplete tablets and fragments, which differ somewhat, purporting to be copies of an inscription on a statue of Naram-Sin standing in the Ekur temple of Enlil at Nippur. Because it aligns with known contemporary inscriptions and year name it is considered authentic, which the usual Mesopotamian slant that something going wrong means you displeased the gods. Cursing of Agade – A purely literary composition which was handed down for millennia in Mesopotamia. Composed in the Ur III period, a century or at most two after the events, it is essentially agitprop. After a long period of Akkadian dominance the Sumerians from the south ar back in ascendancy. The Ur rule is sometimes called the Neo-Sumerian Empire. This composition lays all the troubles before the rise of Ur at the feet of the Akkadian Empire (because Naram-Sin leveled the Ekur temple of Enlil while rebuilding it causing the eight chief deities of Mesopotamia to withdraw their support and protection from Akkad). While basically fiction, it is still useful to historians. There were a number of these, passed down as part of scribel tradition including The Birth Legend of Sargon (Neo-Assyrian), Weidner Chronicle, and the Geographical Treatise on Sargon of Akkad's Empire. Archaeology Identifying architectural remains is hindered by the fact that there are sometimes no clear distinctions between features thought to stem from the preceding Early Dynastic period, and those thought to be Akkadian. Likewise, material that is thought to be Akkadian continues to be in use into the Ur III period. There is a similar issue with cuneiform tablets. In the early Akkadian Empire tablets and the signs on them are much like those from earlier periods, before developing into the much different Classical Sargonic style. With the capital, Akkad, still unlocated, archaeological remains of the empire are still to be found, mainly at the cities they established regional governors. An example would be Adab where Naram-Sin established direct imperial control after Adab joined the "great revolt". After destroying the city of Mari the Akkadian Empire rebuilt it as an administrative center with an imperial governor. The city of Nuzi was established by the Akkadians and a number of economic and administrative texts were found there. Similarly, there are Marad, Nippur, Tutub and Ebla. Excavation at the modern site of Tell Brak has suggested that the Akkadians rebuilt a city ("Brak" or "Nagar") on this site, for use as an administrative center. The city included two large buildings including a complex with temple, offices, courtyard, and large ovens. Dating and periodization The Akkadian period is generally dated to 2334–2154 BC (according to the middle chronology). The short-chronology dates of 2270–2083 BC are now considered less likely. It was preceded by the Early Dynastic Period of Mesopotamia (ED) and succeeded by the Ur III Period, although both transitions are blurry. For example, it is likely that the rise of Sargon of Akkad coincided with the late ED Period and that the final Akkadian kings ruled simultaneously with the Gutian kings alongside rulers at the city-states of both Uruk and Lagash. The Akkadian Period is contemporary with EB IV (in Israel), EB IVA and EJ IV (in Syria), and EB IIIB (in Turkey). Timeline of rulers The relative order of Akkadian kings is clear, while noting that the Ur III version of the Sumerian King List inverts the order of Rimush and Manishtushu. The absolute dates of their reigns are approximate (as with all dates prior to the Late Bronze Age collapse c. 1200 BC). History and development of the empire Pre-Sargonic Akkad The Akkadian Empire takes its name from the region and the city of Akkad, both of which were localized in the general confluence area of the Tigris and Euphrates Rivers. Although the city of Akkad has not yet been identified on the ground, it is known from various textual sources. Among these is at least one text predating the reign of Sargon. Together with the fact that the name Akkad is of non-Akkadian origin, this suggests that the city of Akkad may have already been occupied in pre-Sargonic times. Sargon of Akkad The Bible refers to Akkad in Genesis 10:10–12, which states: "The beginning of his Nimrod's kingdom was Babel, and Erech, and Accad, and Calneh, in the land of Shinar. Out of that land he went forth into Assyria, and built Nineveh, and Rehoboth-Ir, and Calah, and Resen between Nineveh and Calah (the same is the great city)." Nimrod's historical identity is unknown or debated, but Nimrod has been identified as Sargon of Akkad by some, and others have compared him with the legendary Gilgamesh, king of Uruk (Erech). Sargon of Akkad defeated and captured Lugal-zage-si in the Battle of Uruk and conquered his empire. The earliest records in the Akkadian language date to the time of Sargon. Sargon was claimed to be the son of La'ibum or Itti-Bel, a humble gardener, and possibly a hierodule, or priestess to Ishtar or Inanna. One legend related to Sargon in Neo-Assyrian times says that Later claims made on behalf of Sargon were that his mother was an "entu" priestess (high priestess). The claims might have been made to ensure a pedigree of nobility, since only a highly placed family could achieve such a position. Originally a cupbearer (Rabshakeh) to a king of Kish with a Semitic name, Ur-Zababa, Sargon thus became a gardener, responsible for the task of clearing out irrigation canals. The royal cupbearer at this time was in fact a prominent political position, close to the king and with various high level responsibilities not suggested by the title of the position itself. This gave him access to a disciplined corps of workers, who also may have served as his first soldiers. Displacing Ur-Zababa, Sargon was crowned king, and he entered upon a career of foreign conquest. Four times he invaded Syria and Canaan, and he spent three years thoroughly subduing the countries of "the west" to unite them with Mesopotamia "into a single empire". However, Sargon took this process further, conquering many of the surrounding regions to create an empire that reached westward as far as the Mediterranean Sea and perhaps Cyprus (Kaptara); northward as far as the mountains (a later Hittite text asserts he fought the Hattian king Nurdaggal of Burushanda, well into Anatolia); eastward over Elam; and as far south as Magan (Oman) — a region over which he reigned for purportedly 56 years, though only four "year-names" survive. He consolidated his dominion over his territories by replacing the earlier opposing rulers with noble citizens of Akkad, his native city where loyalty would thus be ensured. Trade extended from the silver mines of Anatolia to the lapis lazuli mines in modern Afghanistan, the cedars of Lebanon and the copper of Magan. This consolidation of the city-states of Sumer and Akkad reflected the growing economic and political power of Mesopotamia. The empire's breadbasket was the rain-fed agricultural system and a chain of fortresses was built to control the imperial wheat production. Images of Sargon were erected on the shores of the Mediterranean, in token of his victories, and cities and palaces were built at home with the spoils of the conquered lands. Elam and the northern part of Mesopotamia were also subjugated, and rebellions in Sumer were put down. Contract tablets have been found dated in the years of the campaigns against Canaan and against Sarlak, king of Gutium. He also boasted of having subjugated the "four-quarters" — the lands surrounding Akkad to the north, the south (Sumer), the east (Elam), and the west (Martu). Some of the earliest historiographic texts (ABC 19, 20) suggest he rebuilt the city of Babylon (Bab-ilu) in its new location near Akkad. Sargon, throughout his long life, showed special deference to the Sumerian deities, particularly Inanna (Ishtar), his patroness, and Zababa, the warrior god of Kish. He called himself "The anointed priest of Anu" and "the great ensi of Enlil" and his daughter, Enheduanna, was installed as priestess to Nanna at the temple in Ur. Troubles multiplied toward the end of his reign. A later Babylonian text states: It refers to his campaign in "Elam", where he defeated a coalition army led by the King of Awan and forced the vanquished to become his vassals. Also shortly after, another revolt took place: Rimush and Manishtushu Sargon had crushed opposition even at old age. These difficulties broke out again in the reign of his sons, where revolts broke out during the nine-year reign of Rimush (2278–2270 BC), who fought hard to retain the empire, and was successful until he was assassinated by some of his own courtiers. According to his inscriptions, he faced widespread revolts, and had to reconquer the cities of Ur, Umma, Adab, Lagash, Der, and Kazallu from rebellious ensis: Rimush introduced mass slaughter and large scale destruction of the Sumerian city-states, and maintained meticulous records of his destructions. Most of the major Sumerian cities were destroyed, and Sumerian human losses were enormous: Rimush's elder brother, Manishtushu (2269–2255 BC) succeeded him. The latter seems to have fought a sea battle against 32 kings who had gathered against him and took control over their pre-Arab country, consisting of modern-day United Arab Emirates and Oman. Despite the success, like his brother he seems to have been assassinated in a palace conspiracy. Naram-Sin Manishtushu's son and successor, Naram-Sin (2254–2218 BC), due to vast military conquests, assumed the imperial title "King Naram-Sin, king of the four-quarters" (Lugal Naram-Sîn, Šar kibrat 'arbaim), the four-quarters as a reference to the entire world. He was also for the first time in Sumerian culture, addressed as "the god (Sumerian = DINGIR, Akkadian = ilu) of Agade" (Akkad), in opposition to the previous religious belief that kings were only representatives of the people towards the gods. He also faced revolts at the start of his reign, but quickly crushed them. Naram-Sin also recorded the Akkadian conquest of Ebla as well as Armanum and its king. To better police Syria, he built a royal residence at Tell Brak, a crossroads at the heart of the Khabur River basin of the Jezirah. Naram-Sin campaigned against Magan which also revolted; Naram-Sin "marched against Magan and personally caught Mandannu, its king", where he instated garrisons to protect the main roads. The chief threat seemed to be coming from the northern Zagros Mountains, the Lulubis and the Gutians. A campaign against the Lullubi led to the carving of the "Victory Stele of Naram-Suen", now in the Louvre. Hittite sources claim Naram-Sin of Akkad even ventured into Anatolia, battling the Hittite and Hurrian kings Pamba of Hatti, Zipani of Kanesh, and 15 others. The economy was highly planned. Grain was cleaned, and rations of grain and oil were distributed in standardized vessels made by the city's potters. Taxes were paid in produce and labour on public walls, including city walls, temples, irrigation canals and waterways, producing huge agricultural surpluses. This newfound Akkadian wealth may have been based upon benign climatic conditions, huge agricultural surpluses and the confiscation of the wealth of other peoples. In later Assyrian and Babylonian texts, the name Akkad, together with Sumer, appears as part of the royal title, as in the Sumerian LUGAL KI-EN-GI KI-URI or Akkadian Šar māt Šumeri u Akkadi, translating to "king of Sumer and Akkad". This title was assumed by the king who seized control of Nippur, the intellectual and religious center of southern Mesopotamia. During the Akkadian period, the Akkadian language became the lingua franca of the Middle East, and was officially used for administration, although the Sumerian language remained as a spoken and literary language. The spread of Akkadian stretched from Syria to Elam, and even the Elamite language was temporarily written in Mesopotamian cuneiform. Akkadian texts later found their way to far-off places, from Egypt (in the Amarna Period) and Anatolia, to Persia (Behistun). Submission of Sumerian kings The submission of some Sumerian rulers to the Akkadian Empire, is recorded in the seal inscriptions of Sumerian rulers such as Lugal-ushumgal, governor (ensi) of Lagash ("Shirpula"), circa 2230–2210 BC. Several inscriptions of Lugal-ushumgal are known, particularly seal impressions, which refer to him as governor of Lagash and at the time a vassal (, arad, "servant" or "slave") of Naram-Sin, as well as his successor Shar-kali-sharri. One of these seals proclaims: It can be considered that Lugal-ushumgal was a collaborator of the Akkadian Empire, as was Meskigal, ruler of Adab. Later however, Lugal-ushumgal was succeeded by Puzer-Mama who, as Akkadian power waned, achieved independence from Shar-Kali-Sharri, assuming the title of "King of Lagash" and starting the illustrious Second Dynasty of Lagash. Collapse The empire of Akkad likely fell in the 22nd century BC, within 180 years of its founding, ushering in a "Dark Age" with no prominent imperial authority until the Third Dynasty of Ur. The region's political structure may have reverted to the status quo ante of local governance by city-states. By the end of Sharkalisharri's reign, the empire had begun to unravel. After several years of chaos (and four kings), Shu-turul and Dudu appear to have restored some centralized authority for several decades; however, they were unable to prevent the empire from eventually collapsing outright, eventually ceding power to Gutians, based in Adab, who had been conquered by Akkad during the reign of Sharkalisharri. Little is known about the Gutian period, or how long it endured. Cuneiform sources suggest that the Gutians' administration showed little concern for maintaining agriculture, written records, or public safety; they reputedly released all farm animals to roam about Mesopotamia freely and soon brought about famine and rocketing grain prices. The Sumerian king Ur-Nammu (2112–2095 BC) cleared the Gutians from Mesopotamia during his reign. The Sumerian King List, describing the Akkadian Empire after the death of Shar-kali-shari, states: However, there are no known year-names or other archaeological evidence verifying any of these later kings of Akkad or Uruk, apart from several artefact referencing king Dudu of Akkad and Shu-turul. The named kings of Uruk may have been contemporaries of the last kings of Akkad, but in any event could not have been very prominent. The period between BC and 2004 BC is known as the Ur III period. Documents again began to be written in Sumerian, although Sumerian was becoming a purely literary or liturgical language, much as Latin later would be in Medieval Europe. One explanation for the end of the Akkadian empire is simply that the Akkadian dynasty could not maintain its political supremacy over other independently powerful city-states. Natural causes: drought, seasonal weather patterns One theory, which remains controversial, associates regional decline at the end of the Akkadian period (and of the First Intermediary Period following the Old Kingdom in Ancient Egypt) with rapidly increasing aridity, and failing rainfall in the region of the Ancient Near East, caused by a global centennial-scale drought, sometimes called the 4.2 kiloyear event. Harvey Weiss has shown that Peter B. de Menocal has shown "there was an influence of the North Atlantic Oscillation on the streamflow of the Tigris and Euphrates at this time, which led to the collapse of the Akkadian Empire". More recent analysis of simulations from the HadCM3 climate model indicate that there was a shift to a more arid climate on a timescale that is consistent with the collapse of the empire. Excavation at Tell Leilan suggests that this site was abandoned soon after the city's massive walls were constructed, its temple rebuilt and its grain production reorganized. The debris, dust, and sand that followed show no trace of human activity. Soil samples show fine wind-blown sand, no trace of earthworm activity, reduced rainfall and indications of a drier and windier climate. Evidence shows that skeleton-thin sheep and cattle died of drought, and up to 28,000 people abandoned the site, presumably seeking wetter areas elsewhere. Tell Brak shrank in size by 75%. Trade collapsed. Nomadic herders such as the Amorites moved herds closer to reliable water suppliers, bringing them into conflict with Akkadian populations. This climate-induced collapse seems to have affected the whole of the Middle East, and to have coincided with the collapse of the Egyptian Old Kingdom. This collapse of rain-fed agriculture in the Upper Country meant the loss to southern Mesopotamia of the agrarian subsidies which had kept the Akkadian Empire solvent. Water levels within the Tigris and Euphrates fell 1.5 meters beneath the level of 2600 BC, and although they stabilized for a time during the following Ur III period, rivalries between pastoralists and farmers increased. Attempts were undertaken to prevent the former from herding their flocks in agricultural lands, such as the building of a wall known as the "Repeller of the Amorites" between the Tigris and Euphrates under the Ur III ruler Shu-Sin. Such attempts led to increased political instability; meanwhile, severe depression occurred to re-establish demographic equilibrium with the less favorable climatic conditions. Richard Zettler has critiqued the drought theory, observing that the chronology of the Akkadian empire is very uncertain and that available evidence is not sufficient to show its economic dependence on the northern areas excavated by Weiss and others. He also criticizes Weiss for taking Akkadian writings literally to describe certain catastrophic events. According to Joan Oates, at Tell Brak, the soil "signal" associated with the drought lies below the level of Naram-Sin's palace. However, evidence may suggest a tightening of Akkadian control following the Brak 'event', for example, the construction of the heavily fortified 'palace' itself and the apparent introduction of greater numbers of Akkadian as opposed to local officials, perhaps a reflection of unrest in the countryside of the type that often follows some natural catastrophe. Furthermore, Brak remained occupied and functional after the fall of the Akkadians. In 2019, a study by Hokkaido University on fossil corals in Oman provides an evidence that prolonged winter shamal seasons led to the salinization of the irrigated fields; hence, a dramatic decrease in crop production triggered a widespread famine and eventually the collapse of the ancient Akkadian Empire. Government The Akkadian government formed a "classical standard" with which all future Mesopotamian states compared themselves. Traditionally, the ensi was the highest functionary of the Sumerian city-states. In later traditions, one became an ensi by marrying the goddess Inanna, legitimising the rulership through divine consent. Initially, the monarchical lugal (lu = man, gal =Great) was subordinate to the priestly ensi, and was appointed at times of troubles, but by later dynastic times, it was the lugal who had emerged as the preeminent role, having his own "é" (= house) or "palace", independent from the temple establishment. By the time of Mesalim, whichever dynasty controlled the city of Kish was recognised as šar kiššati (= king of Kish), and was considered preeminent in Sumer, possibly because this was where the two rivers approached, and whoever controlled Kish ultimately controlled the irrigation systems of the other cities downstream. As Sargon extended his conquest from the "Lower Sea" (Persian Gulf), to the "Upper Sea" (Mediterranean), it was felt that he ruled "the totality of the lands under heaven", or "from sunrise to sunset", as contemporary texts put it. Under Sargon, the ensis generally retained their positions, but were seen more as provincial governors. The title šar kiššati became recognised as meaning "lord of the universe". Sargon is even recorded as having organised naval expeditions to Dilmun (Bahrain) and Magan, amongst the first organised military naval expeditions in history. Whether he also did in the case of the Mediterranean with the kingdom of Kaptara (possibly Cyprus), as claimed in later documents, is more questionable. With Naram-Sin, Sargon's grandson, this went further than with Sargon, with the king not only being called "Lord of the Four-Quarters (of the Earth)", but also elevated to the ranks of the dingir (= gods), with his own temple establishment. Previously a ruler could, like Gilgamesh, become divine after death but the Akkadian kings, from Naram-Sin onward, were considered gods on earth in their lifetimes. Their portraits showed them of larger size than mere mortals and at some distance from their retainers. One strategy adopted by both Sargon and Naram-Sin, to maintain control of the country, was to install their daughters, Enheduanna and Emmenanna respectively, as high priestess to Sin, the Akkadian version of the Sumerian moon deity, Nanna, at Ur, in the extreme south of Sumer; to install sons as provincial ensi governors in strategic locations; and to marry their daughters to rulers of peripheral parts of the Empire (Urkesh and Marhashe). A well documented case of the latter is that of Naram-Sin's daughter Tar'am-Agade at Urkesh. Records at the Brak administrative complex suggest that the Akkadians appointed locals as tax collectors. Economy The population of Akkad, like nearly all pre-modern states, was entirely dependent upon the agricultural systems of the region, which seem to have had two principal centres: the irrigated farmlands of southern Iraq that traditionally had a yield of 30 grains returned for each grain sown and the rain-fed agriculture of northern Iraq, known as the "Upper Country." Southern Iraq during Akkadian period seems to have been approaching its modern rainfall level of less than per year, with the result that agriculture was totally dependent upon irrigation. Before the Akkadian period, the progressive salinisation of the soils, produced by poorly drained irrigation, had been reducing yields of wheat in the southern part of the country, leading to the conversion to more salt-tolerant barley growing. Urban populations there had peaked already by 2,600 BC, and demographic pressures were high, contributing to the rise of militarism apparent immediately before the Akkadian period (as seen in the Stele of the Vultures of Eannatum). Warfare between city states had led to a population decline, from which Akkad provided a temporary respite. It was this high degree of agricultural productivity in the south that enabled the growth of the highest population densities in the world at this time, giving Akkad its military advantage. The water table in this region was very high and replenished regularly—by winter storms in the headwaters of the Tigris and Euphrates from October to March and from snow-melt from March to July. Flood levels, that had been stable from about 3,000 to 2,600 BC, had started falling, and by the Akkadian period were a half-meter to a meter lower than recorded previously. Even so, the flat country and weather uncertainties made flooding much more unpredictable than in the case of the Nile; serious deluges seem to have been a regular occurrence, requiring constant maintenance of irrigation ditches and drainage systems. Farmers were recruited into regiments for this work from August to October—a period of food shortage—under the control of city temple authorities, thus acting as a form of unemployment relief. Gwendolyn Leick has suggested that this was Sargon's original employment for the king of Kish, giving him experience in effectively organising large groups of men; a tablet reads, "Sargon, the king, to whom Enlil permitted no rival—5,400 warriors ate bread daily before him". Harvest was in the late spring and during the dry summer months. Nomadic Amorites from the northwest would pasture their flocks of sheep and goats to graze on the crop residue and be watered from the river and irrigation canals. For this privilege, they would have to pay a tax in wool, meat, milk, and cheese to the temples, who would distribute these products to the bureaucracy and priesthood. In good years, all would go well, but in bad years, wild winter pastures would be in short supply, nomads would seek to pasture their flocks in the grain fields, and conflicts with farmers would result. It would appear that the subsidizing of southern populations by the import of wheat from the north of the Empire temporarily overcame this problem, and it seems to have allowed economic recovery and a growing population within this region. Foreign trade As a result, Sumer and Akkad had a surplus of agricultural products but was short of almost everything else, particularly metal ores, timber and building stone, all of which had to be imported. The spread of the Akkadian state as far as the "silver mountain" (possibly the Taurus Mountains), the "cedars" of Lebanon, and the copper deposits of Magan, was largely motivated by the goal of securing control over these imports. One tablet, an Old Babylonian Period copy of an original inscription, reads: International trade developed during the Akkadian period. Indus-Mesopotamia relations also seem to have expanded: Sargon of Akkad (circa 2300 or 2250 BC), was the first Mesopotamian ruler to make an explicit reference to the region of Meluhha, which is generally understood as being the Baluchistan or the Indus area. Culture Akkadian art In art, there was a great emphasis on the kings of the dynasty, alongside much that continued earlier Sumerian art. Little architecture remains. In large works and small ones such as seals, the degree of realism was considerably increased, but the seals show a "grim world of cruel conflict, of danger and uncertainty, a world in which man is subjected without appeal to the incomprehensible acts of distant and fearful divinities who he must serve but cannot love. This sombre mood ... remained characteristic of Mesopotamian art..." Akkadian sculpture is remarkable for its fineness and realism, which shows a clear advancement compared to the previous period of Sumerian art. Seals The Akkadians used visual arts as a vehicle of ideology. They developed a new style for cylinder seals by reusing traditional animal decorations but organizing them around inscriptions, which often became central parts of the layout. The figures also became more sculptural and naturalistic. New elements were also included, especially in relation to the rich Akkadian mythology. Language During the 3rd millennium BC, there developed a very intimate cultural symbiosis between the Sumerians and the Akkadians, which included widespread bilingualism. The influence of Sumerian on Akkadian (and vice versa) is evident in all areas, from lexical borrowing on a massive scale, to syntactic, morphological, and phonological convergence. This has prompted scholars to refer to Sumerian and Akkadian in the third millennium as a sprachbund. Akkadian gradually replaced Sumerian as a spoken language somewhere around 2000 BC (the exact dating being a matter of debate), but Sumerian continued to be used as a sacred, ceremonial, literary, and scientific language in Mesopotamia until the 1st century AD. Poet–priestess Enheduanna Sumerian literature continued in rich development during the Akkadian period. Enheduanna, the "wife (Sumerian dam = high priestess) of Nanna [the Sumerian moon god] and daughter of Sargon" of the temple of Sin at Ur, who lived –2250 BC, is the first poet in history whose name is known. Her known works include hymns to the goddess Inanna, the Exaltation of Inanna and In-nin sa-gur-ra. A third work, the Temple Hymns, a collection of specific hymns, addresses the sacred temples and their occupants, the deity to whom they were consecrated. The works of this poet are significant, because although they start out using the third person, they shift to the first person voice of the poet herself, and they mark a significant development in the use of cuneiform. As poet, princess, and priestess, she was a person who, according to William W. Hallo, "set standards in all three of her roles for many succeeding centuries" In the Exultation of Inanna, The kings of Akkad were legendary among later Mesopotamian civilizations, with Sargon understood as the prototype of a strong and wise leader, and his grandson Naram-Sin considered the wicked and impious leader (Unheilsherrscher in the analysis of Hans Gustav Güterbock) who brought ruin upon his kingdom. Technology A tablet from the periods reads, "(From the earliest days) no-one had made a statue of lead, (but) Rimush king of Kish, had a statue of himself made of lead. It stood before Enlil; and it recited his (Rimush's) virtues to the idu of the gods". The copper Bassetki Statue, cast with the lost wax method, testifies to the high level of skill that craftsmen achieved during the Akkadian period. See also List of cities of the ancient Near East List of Mesopotamian deities History of Mesopotamia List of Mesopotamian dynasties Notes Bibliography Liverani, Mario, ed. (1993). Akkad: The First World Empire: Structure, Ideology Traditions. Padova: Sargon srl. Oates, Joan (2004). "Archaeology in Mesopotamia: Digging Deeper at Tell Brak". 2004 Albert Reckitt Archaeological Lecture. In Proceedings of the British Academy: 2004 Lectures; Oxford University Press, 2005. . Further reading Gough, M.A, Historical Perception in the Sargonic Literary Tradition. The Implication of Copied Texts, Rosetta 1, pp 1–9, 2006 Paszke, Marcin Z, "From Sargon To Narām-Sîn: some remarks on Akkadian military activity in the II nd half of the III rd millennium bc. The example of eastern campaigns", Acta Archaeologica Lodziensia 68, pp. 75–83, 2022 E. A. Speiser, "Some Factors in the Collapse of Akkad", Journal of the American Oriental Society, vol. 72, no. 3, pp. 97–101, (Jul. - Sep. 1952) External links Iraq's Ancient Past – Penn Museum Year Names of Narim-Sin – CDLI Year Named of Shar-kali-Sharri – CDLI Site on Enheduanna at Virginia Tech University (archived 12 December 2009) States and territories established in the 3rd millennium BC States and territories disestablished in the 3rd millennium BC Assyrian geography Ancient Mesopotamia Ancient Upper Mesopotamia Ancient Levant 24th-century BC establishments 3rd-millennium BC disestablishments Former monarchies of Asia Nimrod Former empires
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https://en.wikipedia.org/wiki/Alaric%20I
Alaric I
Alaric I (; , , "ruler of all"; c. 370 – 411 AD) was the first king of the Visigoths, from 395 to 410. He rose to leadership of the Goths who came to occupy Moesia—territory acquired a couple of decades earlier by a combined force of Goths and Alans after the Battle of Adrianople. Alaric began his career under the Gothic soldier Gainas and later joined the Roman army. Once an ally of Rome under the Roman emperor Theodosius, Alaric helped defeat the Franks and other allies of a would-be Roman usurper. Despite losing many thousands of his men, he received little recognition from Rome and left the Roman army disappointed. After the death of Theodosius and the disintegration of the Roman armies in 395, he is described as king of the Visigoths. As the leader of the only effective field force remaining in the Balkans, he sought Roman legitimacy, never quite achieving a position acceptable to himself or to the Roman authorities. He operated mainly against the successive Western Roman regimes, and marched into Italy, where he died. He is responsible for the sack of Rome in 410; one of several notable events in the Western Roman Empire's eventual decline. Early life, federate status in the Balkans According to Jordanes, a 6th-century Roman bureaucrat of Gothic origin—who later turned his hand to history—Alaric was born on Peuce Island at the mouth of the Danube Delta in present-day Romania and belonged to the noble Balti dynasty of the Thervingian Goths. There is no way to verify this claim. Historian Douglas Boin does not make such an unequivocal assessment about Alaric's Gothic heritage and instead claims he came from either the Thervingi or the Greuthung tribes. When the Goths suffered setbacks against the Huns, they made a mass migration across the Danube, and fought a war with Rome. Alaric was probably a child during this period who grew up along Rome's periphery. Alaric's upbringing was shaped by living along the border of Roman territory in a region that the Romans viewed as a veritable "backwater"; some four centuries before, the Roman poet Ovid regarded the area along the Danube and Black Sea where Alaric was reared as a land of "barbarians", among "the most remote in the vast world." Alaric's childhood in the Balkans, where the Goths had settled by way of an agreement with Theodosius, was spent in the company of veterans who had fought at the Battle of Adrianople in 378, during which they had annihilated much of the Eastern army and killed Emperor Valens. Imperial campaigns against the Visigoths were conducted until a treaty was reached in 382. This treaty was the first foedus on imperial Roman soil and required these semi-autonomous Germanic tribes—among whom Alaric was raised—to supply troops for the Roman army in exchange for peace, control of cultivatable land, and freedom from Roman direct administrative control. Correspondingly, there was hardly a region along the Roman frontier during Alaric's day without Gothic slaves and servants of one form or another. For several subsequent decades, many Goths like Alaric were "called up into regular units of the eastern field army" while others served as auxiliaries in campaigns led by Theodosius against the western usurpers Magnus Maximus and Eugenius. Rebellion against Rome, rise to Gothic leadership A new phase in the relationship between the Goths and the empire resulted from the treaty signed in 382, as more and more Goths attained aristocratic rank from their service in the imperial army. Alaric began his military career under the Gothic soldier Gainas, and later joined the Roman army. He first appeared as leader of a mixed band of Goths and allied peoples, who invaded Thrace in 391 but were stopped by the half-Vandal Roman General Stilicho. While the Roman poet Claudian belittled Alaric as "a little-known menace" terrorizing southern Thrace during this time, Alaric's abilities and forces were formidable enough to prevent the Roman emperor Theodosius from crossing the Hebrus River. Service under Theodosius I By 392, Alaric had entered Roman military service, which coincided with a reduction of hostilities between Goths and Romans. In 394, he led a Gothic force that helped Emperor Theodosius defeat the Frankish usurper Arbogast—fighting at the behest of Eugenius—at the Battle of Frigidus. Despite sacrificing around 10,000 of his men, who had been victims of Theodosius' callous tactical decision to overwhelm the enemies front lines using Gothic foederati, Alaric received little recognition from the emperor. Alaric was among the few who survived the protracted and bloody affair. Many Romans considered it their "gain" and a victory that so many Goths had died during the Battle of Frigidus River. Alaric biographer Douglas Boin (2020) posited that seeing ten thousand of his (Alaric's) dead kinsmen likely elicited questions about what kind of ruler Theodosius actually had been and whether remaining in direct Roman service was best for men like him. Refused the reward he expected, which included a promotion to the position of magister militum and command of regular Roman units, Alaric mutinied and began to march against Constantinople. On 17 January 395, Theodosius died of an illness, leaving his two young and incapable sons Arcadius and Honorius in Stilicho's guardianship. Modern writers regard Alaric as king of the Visigoths from 395. According to historian Peter Heather, it is not entirely clear in the sources if Alaric rose to prominence at the time the Goths revolted following Theodosius's death, or if he had already risen within his tribe as early as the war against Eugenius. Whatever the circumstances, Jordanes recorded that the new king persuaded his people to "seek a kingdom by their own exertions rather than serve others in idleness." Semi-independent action in Eastern Roman interests, Eastern Roman recognition Whether or not Alaric was a member of an ancient Germanic royal clan—as claimed by Jordanes and debated by historians—is less important than his emergence as a leader, the first of his kind since Fritigern. Theodosius's death left the Roman field armies collapsing and the Empire divided again between his two sons, one taking the eastern and the other the western portion of the Empire. Stilicho made himself master of the West and attempted to establish control in the East as well, and led an army into Greece. Alaric rebelled again. Historian Roger Collins points out that while the rivalries created by the two halves of the Empire vying for power worked to Alaric's advantage and that of his people, simply being called to authority by the Gothic people did not solve the practicalities of their needs for survival. He needed Roman authority in order to be supplied by Roman cities. Alaric took his Gothic army on what Stilicho's propagandist Claudian described as a "pillaging campaign" that began first in the East. Historian Thomas Burns's interpretation is that Alaric and his men were recruited by Rufinus's Eastern regime in Constantinople, and sent to Thessaly to stave off Stilicho's threat. No battle took place. Alaric's forces made their way down to Athens and along the coast, where he sought to force a new peace upon the Romans. In 396, he marched through Thermopylae and sacked Athens, where archaeological evidence shows widespread damage to the city. Stilicho's propagandist Claudian accuses his troops of plundering for the next year or so as far south as the mountainous Peloponnese peninsula, and reports that only Stilicho's surprise attack with his western field army (having sailed from Italy) stemmed the plundering as he pushed Alaric's forces north into Epirus. Zosimus adds that Stilicho's troops destroyed and pillaged too, and let Alaric's men escape with their plunder. Stilicho was forced to send some of his Eastern forces home. They went to Constantinople under the command of one Gainas, a Goth with a large Gothic following. On arrival, Gainas murdered Rufinus, and was appointed magister militum for Thrace by Eutropius, the new supreme minister and the only eunuch consul of Rome, who, Zosimus claims, controlled Arcadius "as if he were a sheep". A poem by Synesius advises Arcadius to display manliness and remove a "skin-clad savage" (probably referring to Alaric) from the councils of power and his barbarians from the Roman army. We do not know if Arcadius ever became aware of this advice, but it had no recorded effect. Stilicho obtained a few more troops from the German frontier and continued to campaign indecisively against the Eastern empire; again he was opposed by Alaric and his men. During the next year, 397, Eutropius personally led his troops to victory over some Huns who were marauding in Asia Minor. With his position thus strengthened he declared Stilicho a public enemy, and he established Alaric as magister militum per Illyricum Alaric thus acquired entitlement to gold and grain for his followers and negotiations were underway for a more permanent settlement. Stilicho's supporters in Milan were outraged at this seeming betrayal; meanwhile, Eutropius was celebrated in 398 by a parade through Constantinople for having achieved victory over the "wolves of the North". Alaric's people were relatively quiet for the next couple of years. In 399, Eutropius fell from power. The new Eastern regime now felt that they could dispense with Alaric's services and they nominally transferred Alaric's province to the West. This administrative change removed Alaric's Roman rank and his entitlement to legal provisioning for his men, leaving his army—the only significant force in the ravaged Balkans—as a problem for Stilicho. In search of Western Roman recognition; invading Italy First invasion of Italy ( 401–403) According to historian Michael Kulikowski, sometime in the spring of 402 Alaric decided to invade Italy, but no sources from antiquity indicate to what purpose. Burns suggests that Alaric was probably desperate for provisions. Using Claudian as his source, historian Guy Halsall reports that Alaric's attack actually began in late 401, but since Stilicho was in Raetia "dealing with frontier issues" the two did not first confront one another in Italy until 402. Alaric's entry into Italy followed the route identified in the poetry of Claudian, as he crossed the peninsula's Alpine frontier near the city of Aquileia. For a period of six to nine months, there were reports of Gothic attacks along the northern Italian roads, where Alaric was spotted by Roman townspeople. Along the route on Via Postumia, Alaric first encountered Stilicho. Two battles were fought. The first was at Pollentia on Easter Sunday, where Stilicho (according to Claudian) achieved an impressive victory, taking Alaric's wife and children prisoner, and more significantly, seizing much of the treasure that Alaric had amassed over the previous five years' worth of plundering. Pursuing the retreating forces of Alaric, Stilicho offered to return the prisoners but was refused. The second battle was at Verona, where Alaric was defeated for a second time. Stilicho once again offered Alaric a truce and allowed him to withdraw from Italy. Kulikowski explains this confusing, if not outright conciliatory behavior by stating, "given Stilicho's cold war with Constantinople, it would have been foolish to destroy as biddable and violent a potential weapon as Alaric might well prove to be". Halsall's observations are similar, as he contends that the Roman general's "decision to permit Alaric's withdrawal into Pannonia makes sense if we see Alaric's force entering Stilicho's service, and Stilicho's victory being less total than Claudian would have us believe". Perhaps more revealing is a report from the Greek historian Zosimus—writing a half a century later—that indicates an agreement was concluded between Stilicho and Alaric in 405, which suggests Alaric being in "western service at that point", likely stemming from arrangements made back in 402. Between 404 and 405, Alaric remained in one of the four Pannonian provinces, from where he could "play East off against West while potentially threatening both". Historian A.D. Lee observes, "Alaric's return to the north-west Balkans brought only temporary respite to Italy, for in 405 another substantial body of Goths and other barbarians, this time from outside the empire, crossed the middle Danube and advanced into northern Italy, where they plundered the countryside and besieged cities and towns" under their leader Radagaisus. Although the imperial government was struggling to muster enough troops to contain these barbarian invasions, Stilicho managed to stifle the threat posed by the tribes under Radagaisus, when the latter split his forces into three separate groups. Stilicho cornered Radagaisus near Florence and starved the invaders into submission. Meanwhile, Alaric—bestowed with codicils of magister militum by Stilicho and now supplied by the West—awaited for one side or the other to incite him to action as Stilicho faced further difficulties from more barbarians. Second invasion of Italy, agreement with Western Roman regime Sometime in 406 and into 407, more large groups of barbarians, consisting primarily of Vandals, Sueves and Alans, crossed the Rhine into Gaul while about the same time a rebellion occurred in Britain. Under a common soldier named Constantine it spread to Gaul. Burdened by so many enemies, Stilicho's position was strained. During this crisis in 407, Alaric again marched on Italy, taking a position in Noricum (modern Austria), where he demanded a sum of 4,000 pounds of gold to buy off another full-scale invasion. The Roman Senate loathed the idea of supporting Alaric; Zosimus observed that one senator famously declaimed Non est ista pax, sed pactio servitutis ("This is not peace, but a pact of servitude"). Stilicho paid Alaric the 4,000 pounds of gold nevertheless. This agreement, sensible in view of the military situation, fatally weakened Stilicho's standing at Honorius's court. Twice Stilicho had allowed Alaric to escape his grasp, and Radagaisus had advanced all the way to the outskirts of Florence. Renewed hostilities after Western Roman coup In the East, Arcadius died on 1 May 408 and was replaced by his son Theodosius II; Stilicho seems to have planned to march to Constantinople, and to install there a regime loyal to himself. He may also have intended to give Alaric a senior official position and send him against the rebels in Gaul. Before Stilicho could do so, while he was away at Ticinum at the head of a small detachment, a bloody coup against his supporters took place at Honorius's court. It was led by Honorius's minister, Olympius. Stilicho's small escort of Goths and Huns was commanded by a Goth, Sarus, whose Gothic troops massacred the Hun contingent in their sleep, and then withdrew towards the cities in which their own families were billeted. Stilicho ordered that Sarus's Goths should not be admitted, but, now without an army, he was forced to flee for sanctuary. Agents of Olympius promised Stilicho his life, but instead betrayed and killed him. Alaric was again declared an enemy of the emperor. Olympius's men then massacred the families of the federate troops (as presumed supporters of Stilicho, although they had probably rebelled against him), and the troops defected en masse to Alaric. Many thousands of barbarian auxiliaries, along with their wives and children, joined Alaric in Noricum. The conspirators seem to have let their main army disintegrate and had no policy except hunting down supporters of Stilicho. Italy was left without effective indigenous defence forces thereafter. As a declared 'enemy of the emperor', Alaric was denied the legitimacy that he needed to collect taxes and hold cities without large garrisons, which he could not afford to detach. He again offered to move his men, this time to Pannonia, in exchange for a modest sum of money and the modest title of Comes, but he was refused because Olympius's regime regarded him as a supporter of Stilicho. First siege of Rome, agreed ransom When Alaric was rebuffed, he led his force of around 30,000 men—many newly enlisted and understandably motivated—on a march toward Rome to avenge their murdered families. He moved across the Julian Alps into Italy, probably using the route and supplies arranged for him by Stilicho, bypassing the imperial court in Ravenna which was protected by widespread marshland and had a port, and in September 408 he menaced the city of Rome, imposing a strict blockade. No blood was shed this time; Alaric relied on hunger as his most powerful weapon. When the ambassadors of the Senate, entreating for peace, tried to intimidate him with hints of what the despairing citizens might accomplish, he laughed and gave his celebrated answer: "The thicker the hay, the easier mowed!" After much bargaining, the famine-stricken citizens agreed to pay a ransom of 5,000 pounds of gold, 30,000 pounds of silver, 4,000 silken tunics, 3,000 hides dyed scarlet, and 3,000 pounds of pepper. Alaric also recruited some 40,000 freed Gothic slaves. Thus ended Alaric's first siege of Rome. Failed agreement with the Western Romans, Alaric sets up his own emperor After having provisionally agreed to the terms offered by Alaric for lifting the blockade, Honorius recanted; historian A.D. Lee highlights that one of the points of contention for the emperor was Alaric's expectation of being named head of the Roman Army, a post Honorius was not prepared to grant to Alaric. When this title was not bestowed onto Alaric, he proceeded to not only "besiege Rome again in late 409, but also to proclaim a leading senator, Priscus Attalus, as a rival emperor, from whom Alaric then received the appointment" he desired. Meanwhile, Alaric's newly appointed "emperor" Attalus, who seems not to have understood the limits of his power or his dependence on Alaric, failed to take Alaric's advice and lost the grain supply in Africa to a pro-Honorian comes Africae, Heraclian. Then, sometime in 409, Attalus—accompanied by Alaric—marched on Ravenna and after receiving unprecedented terms and concessions from the legitimate emperor Honorius, refused him and instead demanded that Honorius be deposed and exiled. Fearing for his safety, Honorius made preparations to flee to Ravenna when ships carrying 4,000 troops arrived from Constantinople, restoring his resolve. Now that Honorius no longer felt the need to negotiate, Alaric (regretting his choice of puppet emperor) deposed Attalus, perhaps to re-open negotiations with Ravenna. Sack of Rome Negotiations with Honorius might have succeeded had it not been for another intervention by Sarus, of the Amal family, and therefore a hereditary enemy of Alaric and his house. He attacked Alaric's men. Why Sarus, who had been in imperial service for years under Stilicho, acted at this moment remains a mystery, but Alaric interpreted this attack as directed by Ravenna and as bad faith from Honorius. No longer would negotiations suffice for Alaric, as his patience had reached its end, which led him to march on Rome for a third and final time. On 24 August 410, Alaric and his forces began the sack of Rome, an assault that lasted three days. After hearing reports that Alaric had entered the city—possibly aided by Gothic slaves inside—there were reports that Emperor Honorius (safe in Ravenna) broke into "wailing and lamentation" but quickly calmed once "it was explained to him that it was the city of Rome that had met its end and not 'Roma'," his pet fowl. Writing from Bethlehem, St. Jerome (Letter 127.12, to the lady Principia) lamented: "A dreadful rumour reached us from the West. We heard that Rome was besieged, that the citizens were buying their safety with gold … The city which had taken the whole world was itself taken; nay, it fell by famine before it fell to the sword." Nonetheless, Christian apologists also cited how Alaric ordered that anyone who took shelter in a Church was to be spared. When liturgical vessels were taken from the basilica of St. Peter and Alaric heard of this, he ordered them returned and had them ceremoniously restored in the church. If the account from the historian Orosius can be seen as accurate, there was even a celebratory recognition of Christian unity by way of a procession through the streets where Romans and barbarians alike "raised a hymn to God in public"; historian Edward James concludes that such stories are likely more political rhetoric of the "noble" barbarians than a reflection of historical reality. According to historian Patrick Geary, Roman booty was not the focus of Alaric's sack of Rome; he came for needed food supplies. Historian Stephen Mitchell asserts that Alaric's followers seemed incapable of feeding themselves and relied on provisions "supplied by the Roman authorities." Whatever Alaric's intentions were cannot be known entirely, but Kulikowski certainly sees the issue of available treasure in a different light, writing that "For three days, Alaric's Goths sacked the city, stripping it of the wealth of centuries." The barbarian invaders were not gentle in their treatment of property as substantial damage was still evident into the sixth century. Certainly the Roman world was shaken by the fall of the Eternal City to barbarian invaders, but as Guy Halsall emphasizes, "Rome's fall had less striking political effects. Alaric, unable to treat with Honorius, remained in the political cold." Kulikowski sees the situation similarly, commenting: But for Alaric the sack of Rome was an admission of defeat, a catastrophic failure. Everything he had hoped for, had fought for over the course of a decade and a half, went up in flames with the capital of the ancient world. Imperial office, a legitimate place for himself and his followers inside the empire, these were now forever out of reach. He might seize what he wanted, as he had seized Rome, but he would never be given it by right. The sack of Rome solved nothing and when the looting was over Alaric's men still had nowhere to live and fewer future prospects than ever before. Still, the importance of Alaric cannot be "overestimated" according to Halsall, since he had desired and obtained a Roman command even though he was a barbarian; his real misfortune was being caught between the rivalry of the Eastern and Western empires and their court intrigue. According to historian Peter Brown, when one compares Alaric with other barbarians, "he was almost an Elder Statesman." Nonetheless, Alaric's respect for Roman institutions as a former servant to its highest office did not stay his hand in violently sacking the city that had for centuries exemplified Roman glory, leaving behind physical destruction and social disruption, while Alaric took clerics and even the emperor's sister, Galla Placidia, with him when he left the city. Many other Italian communities beyond the city of Rome itself fell victim to the forces under Alaric, as Procopius (Wars 3.2.11–13) writing in the sixth century later relates: For they destroyed all the cities which they captured, especially those south of the Ionian Gulf, so completely that nothing has been left to my time to know them by, unless, indeed, it might be one tower or gate or some such thing which chanced to remain. And they killed all the people, as many as came in their way, both old and young alike, sparing neither women nor children. Wherefore even up to the present time Italy is sparsely populated. Whether Alaric's forces wrought the level of destruction described by Procopius or not cannot be known, but evidence speaks to a significant population decrease, as the number of people on the food dole dropped from 800,000 in 408 to 500,000 by 419. Rome's fall to the barbarians was as much a psychological blow to the empire as anything else, since some Romans citizens saw the collapse as resulting from the conversion to Christianity, while Christian apologists like Augustine (writing City of God) responded in turn. Lamenting Rome's capture, famed Christian theologian Jerome, wrote how "day and night" he could not stop thinking of everyone's safety, and moreover, how Alaric had extinguished "the bright light of all the world." Some contemporary Christian observers even saw Alaric—a professed Christian—as God's wrath upon a still pagan Rome. Move to southern Italy, death from disease Not only had Rome's sack been a significant blow to the Roman people's morale, they had also endured two years' worth of trauma brought about by fear, hunger (due to blockades), and illness. However, the Goths were not long in the city of Rome, as only three days after the sack, Alaric marched his men south to Campania, from where he intended to sail to Sicily—probably to obtain grain and other supplies—when a storm destroyed his fleet. During the early months of 411, while on his northward return journey through Italy, Alaric took ill and died at Consentia in Bruttium. His cause of death was likely fever, and his body was, according to legend, buried under the riverbed of the Busento in accordance with the pagan practices of the Visigothic people. The stream was temporarily turned aside from its course while the grave was dug, wherein the Gothic chief and some of his most precious spoils were interred. When the work was finished, the river was turned back into its usual channel and the captives by whose hands the labor had been accomplished were put to death that none might learn their secret. Aftermath Alaric was succeeded in the command of the Gothic army by his brother-in-law, Ataulf, who married Honorius' sister Galla Placidia three years later. Following in the wake of Alaric's leadership, which Kulikowski claims, had given his people "a sense of community that survived his own death...Alaric's Goths remained together inside the empire, going on to settle in Gaul. There, in the province of Aquitaine, they put down roots and created the first autonomous barbarian kingdom inside the frontiers of the Roman empire." The Goths were able to settle in Aquitaine only after Honorius granted the once Roman province to them, sometime in 418 or 419. Not long after Alaric's exploits in Rome and Athaulf's settlement in Aquitaine, there is a "rapid emergence of Germanic barbarian groups in the West" who begin controlling many western provinces. These barbarian peoples included: Vandals in Spain and Africa, Visigoths in Spain and Aquitaine, Burgundians along the upper Rhine and southern Gaul, and Franks on the lower Rhine and in northern and central Gaul. Sources The chief authorities on the career of Alaric are: the historian Orosius and the poet Claudian, both contemporary, neither disinterested; Zosimus, a historian who lived probably about half a century after Alaric's death; and Jordanes, a Goth who wrote the history of his nation in 551, basing his work on Cassiodorus's Gothic History. See also Alaric II Gaiseric Odoacer References Notes Citations Bibliography Online External links Alaric I Edward Gibbon, History of the Decline and Fall of the Roman Empire, Chapter 30 and Chapter 31. The Legend of Alaric's Burial For a modern-day novel exploring the historical sources relating to Alaric's riverbed grave, see Alaric's Gold by Robert Fortune |- 410 deaths 5th-century Visigothic monarchs Balt dynasty People from Tulcea County 5th-century Arian Christians Ancient Italian history Gothic warriors 4th-century monarchs in Europe Year of birth unknown 4th-century Gothic people 390s in the Byzantine Empire
1573
https://en.wikipedia.org/wiki/Albertus%20Magnus
Albertus Magnus
Albertus Magnus ( – 15 November 1280), also known as Saint Albert the Great or Albert of Cologne, was a German Dominican friar, philosopher, scientist, and bishop. Later canonized as a Catholic saint, he was known during his lifetime as Doctor universalis and Doctor expertus and, late in his life, the sobriquet Magnus was appended to his name. Scholars such as James A. Weisheipl and Joachim R. Söder have referred to him as the greatest German philosopher and theologian of the Middle Ages. The Catholic Church distinguishes him as one of the 37 Doctors of the Church. Biography It seems likely that Albert was born sometime before 1200, given well-attested evidence that he was aged over 80 on his death in 1280. Two later sources say that Albert was about 87 on his death, which has led 1193 to be commonly given as the date of Albert's birth, but this information does not have enough evidence to be confirmed. Albert was probably born in Lauingen (now in Bavaria), since he called himself 'Albert of Lauingen', but this might simply be a family name. Most probably his family was of ministerial class; his familiar connection with (being son of the count) the Bollstädt noble family is almost certainly mere conjecture by 15th century hagiographers. Albert was probably educated principally at the University of Padua, where he received instruction in Aristotle's writings. A late account by Rudolph de Novamagia refers to Albertus' encounter with the Blessed Virgin Mary, who convinced him to enter the Holy Orders. In 1223 (or 1229), he became a member of the Dominican Order, and studied theology at Bologna and elsewhere. Selected to fill the position of lecturer at Cologne, Germany, where the Dominicans had a house, he taught for several years there, as well as in Regensburg, Freiburg, Strasbourg, and Hildesheim. During his first tenure as lecturer at Cologne, Albert wrote his Summa de bono after having a discussion with Philip the Chancellor concerning the transcendental properties of being. In 1245, Albert became master of theology under Gueric of Saint-Quentin, the first German Dominican to achieve this distinction. Following this turn of events, Albert was able to teach theology at the University of Paris as a full-time professor, holding the seat of the Chair of Theology at the College of St. James. During this time Thomas Aquinas began to study under Albertus. Albert was the first to comment on virtually all of the writings of Aristotle, thus making them accessible to wider academic debate. The study of Aristotle brought him to study and comment on the teachings of Muslim academics, notably Avicenna and Averroes, and this would bring him into the heart of academic debate. In 1254, Albert was made provincial of the Dominican Order and fulfilled the duties of the office with great care and efficiency. During his tenure, he publicly defended the Dominicans against attacks by the secular faculty of the University of Paris, commented on John the Evangelist, and answered what he perceived as errors of the Islamic philosopher Averroes. In 1259, Albert took part in the General Chapter of the Dominicans at Valenciennes together with Thomas Aquinas, masters Bonushomo Britto, Florentius, and Peter (later Pope Innocent V), establishing a ratio studiorum or program of studies for the Dominicans that featured the study of philosophy as an innovation for those not sufficiently trained to study theology. This innovation initiated the tradition of Dominican scholastic philosophy put into practice, for example, in 1265 at the Order's studium provinciale at the convent of Santa Sabina in Rome, out of which would develop the Pontifical University of Saint Thomas Aquinas, the "Angelicum". In 1260, Pope Alexander IV made him bishop of Regensburg, an office from which he resigned after three years. During the exercise of his duties he enhanced his reputation for humility by refusing to ride a horse, in accord with the dictates of the Order, instead traversing his huge diocese on foot. In 1263, Pope Urban IV relieved him of the duties of bishop and asked him to preach the eighth Crusade in German-speaking countries. After this, he was especially known for acting as a mediator between conflicting parties. In Cologne, he is known not only for being the founder of Germany's oldest university there, but also for "the big verdict" (der Große Schied) of 1258, which brought an end to the conflict between the citizens of Cologne and the archbishop. Among the last of his labors was the defense of the orthodoxy of his former pupil, Thomas Aquinas, whose death in 1274 grieved Albert (the story that he travelled to Paris in person to defend the teachings of Aquinas can not be confirmed). Albert was a scientist, philosopher, astrologer, theologian, spiritual writer, ecumenist, and diplomat. Under the auspices of Humbert of Romans, Albert molded the curriculum of studies for all Dominican students, introduced Aristotle to the classroom and probed the work of Neoplatonists, such as Plotinus. Indeed, it was the thirty years of work done by Aquinas and himself that allowed for the inclusion of Aristotelian study in the curriculum of Dominican schools. After suffering a collapse of health in 1278, he died on 15 November 1280 in the Dominican convent in Cologne, Germany. Since 15 November 1954 his relics are in a Roman sarcophagus in the crypt of the Dominican St. Andrew's Church in Cologne. Although his body was claimed to be incorrupt at the first exhumation three years after his death, at the exhumation in 1483 only a skeleton remained. Albert was beatified in 1622. He was canonized and proclaimed a Doctor of the Church on 16 December 1931 by Pope Pius XI and the patron saint of natural scientists in 1941. St. Albert's feast day is November 15. Writings Albert's writings collected in 1899 went to thirty-eight volumes. These displayed his prolific habits and encyclopedic knowledge of topics such as logic, theology, botany, geography, astronomy, astrology, mineralogy, alchemy, zoology, physiology, phrenology, justice, law, friendship, and love. He digested, interpreted, and systematized the whole of Aristotle's works, gleaned from the Latin translations and notes of the Arabian commentators, in accordance with Church doctrine. Most modern knowledge of Aristotle was preserved and presented by Albert. His principal theological works are a commentary in three volumes on the Books of the Sentences of Peter Lombard (Magister Sententiarum), and the Summa Theologiae in two volumes. The latter is in substance a more didactic repetition of the former. Albert's activity, however, was more philosophical than theological (see Scholasticism). The philosophical works, occupying the first six and the last of the 21 volumes, are generally divided according to the Aristotelian scheme of the sciences, and consist of interpretations and condensations of Aristotle's relative works, with supplementary discussions upon contemporary topics, and occasional divergences from the opinions of the master. Albert believed that Aristotle's approach to natural philosophy did not pose any obstacle to the development of a Christian philosophical view of the natural order. Albert's knowledge of natural science was considerable and for the age remarkably accurate. His industry in every department was great: not only did he produce commentaries and paraphrases of the entire Aristotelian corpus, including his scientific works, but Albert also added to and improved upon them. His books on topics like botany, zoology, and minerals included information from ancient sources, but also results of his own empirical investigations. These investigations pushed several of the special sciences forward, beyond the reliance on classical texts. In the case of embryology, for example, it has been claimed that little of value was written between Aristotle and Albert, who managed to identify organs within eggs. Furthermore, Albert also effectively invented entire special sciences, where Aristotle has not covered a topic. For example, prior to Albert, there was no systematic study of minerals. For the breadth of these achievements, he was bestowed the name Doctor Universalis. Much of Albert's empirical contributions to the natural sciences have been superseded, but his general approach to science may be surprisingly modern. For example, in De Mineralibus (Book II, Tractate ii, Ch. 1) Albert claims, "For it is [the task] of natural science not simply to accept what we are told but to inquire into the causes of natural things." Alchemy In the centuries since his death, many stories arose about Albert as an alchemist and magician. "Much of the modern confusion results from the fact that later works, particularly the alchemical work known as the Secreta Alberti or the Experimenta Alberti, were falsely attributed to Albertus by their authors to increase the prestige of the text through association." On the subject of alchemy and chemistry, many treatises relating to alchemy have been attributed to him, though in his authentic writings he had little to say on the subject, and then mostly through commentary on Aristotle. For example, in his commentary, De mineralibus, he refers to the power of stones, but does not elaborate on what these powers might be. A wide range of Pseudo-Albertine works dealing with alchemy exist, though, showing the belief developed in the generations following Albert's death that he had mastered alchemy, one of the fundamental sciences of the Middle Ages. These include Metals and Materials; the Secrets of Chemistry; the Origin of Metals; the Origins of Compounds, and a Concordance which is a collection of Observations on the philosopher's stone; and other alchemy-chemistry topics, collected under the name of Theatrum Chemicum. He is credited with the discovery of the element arsenic and experimented with photosensitive chemicals, including silver nitrate. He did believe that stones had occult properties, as he related in his work De mineralibus. However, there is scant evidence that he personally performed alchemical experiments. According to legend, Albert is said to have discovered the philosopher's stone and passed it on to his pupil Thomas Aquinas, shortly before his death. Albert does not confirm he discovered the stone in his writings, but he did record that he witnessed the creation of gold by "transmutation." Given that Thomas Aquinas died six years before Albert's death, this legend as stated is unlikely. Astronomy Albert was deeply interested in astronomy, as has been articulated by scholars such as Paola Zambelli and Scott Hendrix. Throughout the Middle Ages –and well into the early modern period– astrology was widely accepted by scientists and intellectuals who held the view that life on earth is effectively a microcosm within the macrocosm (the latter being the cosmos itself). It was believed that correspondence therefore exists between the two and thus the celestial bodies follow patterns and cycles analogous to those on earth. With this worldview, it seemed reasonable to assert that astrology could be used to predict the probable future of a human being. Albert argued that an understanding of the celestial influences affecting us could help us to live our lives more in accord with Christian precepts. The most comprehensive statement of his astrological beliefs is to be found in two separates works that he authored around 1260, known as the Speculum astronomiae and the De Fato. However, details of these beliefs can be found in almost everything he wrote, from his early De natura boni to his last work, the Summa theologiae. His speculum was critiqued by Gerard of Silteo. Matter and form Albert believed that all natural things were compositions of matter and form, he referred to it as quod est and quo est. Albert also believed that God alone is the absolute ruling entity. Albert's version of hylomorphism is very similar to the Aristotelian doctrine. Music Albert is known for his commentary on the musical practice of his times. Most of his written musical observations are found in his commentary on Aristotle's Poetics. He rejected the idea of "music of the spheres" as ridiculous: movement of astronomical bodies, he supposed, is incapable of generating sound. He wrote extensively on proportions in music, and on the three different subjective levels on which plainchant could work on the human soul: purging of the impure; illumination leading to contemplation; and nourishing perfection through contemplation. Of particular interest to 20th-century music theorists is the attention he paid to silence as an integral part of music. Metaphysics of morals Both of his early treatises, De natura boni and De bono, start with a metaphysical investigation into the concepts of the good in general and the physical good. Albert refers to the physical good as bonum naturae. Albert does this before directly dealing with the moral concepts of metaphysics. In Albert's later works, he says in order to understand human or moral goodness, the individual must first recognize what it means to be good and do good deeds. This procedure reflects Albert's preoccupations with neo-Platonic theories of good as well as the doctrines of Pseudo-Dionysius. Albert's view was highly valued by the Catholic Church and his peers. Natural law Albert devoted the last tractatus of De Bono to a theory of justice and natural law. Albert places God as the pinnacle of justice and natural law. God legislates and divine authority is supreme. Up until his time, it was the only work specifically devoted to natural law written by a theologian or philosopher. Friendship Albert mentions friendship in his work, De bono, as well as presenting his ideals and morals of friendship in the very beginning of Tractatus II. Later in his life he published Super Ethica. With his development of friendship throughout his work it is evident that friendship ideals and morals took relevance as his life went on. Albert comments on Aristotle's view of friendship with a quote from Cicero, who writes, "friendship is nothing other than the harmony between things divine and human, with goodwill and love". Albert agrees with this commentary but he also adds in harmony or agreement. Albert calls this harmony, consensio, itself a certain kind of movement within the human spirit. Albert fully agrees with Aristotle in the sense that friendship is a virtue. Albert relates the inherent metaphysical contentedness between friendship and moral goodness. Albert describes several levels of goodness; the useful (utile), the pleasurable (delectabile) and the authentic or unqualified good (honestum). Then in turn there are three levels of friendship based on each of those levels, namely friendship based on usefulness (amicitia utilis), friendship based on pleasure (amicitia delectabilis), and friendship rooted in unqualified goodness (amicitia honesti; amicitia quae fundatur super honestum). Cultural references The iconography of the tympanum and archivolts of the late 13th-century portal of Strasbourg Cathedral was inspired by Albert's writings. Albert is frequently mentioned by Dante, who made his doctrine of free will the basis of his ethical system. In his Divine Comedy, Dante places Albertus with his pupil Thomas Aquinas among the great lovers of wisdom (Spiriti Sapienti) in the Heaven of the Sun. In The Concept of Anxiety, Søren Kierkegaard wrote that Albert, "arrogantly boasted of his speculation before the deity and suddenly became stupid." Kierkegaard cites Gotthard Oswald Marbach whom he quotes as saying "Albertus repente ex asino factus philosophus et ex philosopho asinus" [Albert was suddenly transformed from an ass into a philosopher and from a philosopher into an ass]. In Mary Shelley's Frankenstein, the titular Frankenstein studies the works of Albertus Magnus. Johann Eduard Erdmann considers Albert greater and more original than his pupil Aquinas. In Open All Hours, Arkwright invents St Albert's day so Grandville can check customers pockets. Influence and tribute A number of schools have been named after Albert, including Albertus Magnus High School in Bardonia, New York; Albertus Magnus Lyceum in River Forest, Illinois; and Albertus Magnus College in New Haven, Connecticut. Albertus Magnus Science Hall at Thomas Aquinas College, in Santa Paula, California, is named in honor of Albert. The main science buildings at Providence College and Aquinas College in Grand Rapids, Michigan, are also named after him. The central square at the campus of the University of Cologne features a statue of Albert and is named after him. The Academy for Science and Design in New Hampshire honored Albert by naming one of its four houses Magnus House. As a tribute to the scholar's contributions to the law, the University of Houston Law Center displays a statue of Albert. It is located on the campus of the University of Houston. The Albertus-Magnus-Gymnasium is found in Rottweil, Germany. In Managua, Nicaragua, the Albertus Magnus International Institute, a business and economic development research center, was founded in 2004. In the Philippines, the Albertus Magnus Building at the University of Santo Tomas that houses the Conservatory of Music, College of Tourism and Hospitality Management, College of Education, and UST Education High School is named in his honor. The Saint Albert the Great Science Academy in San Carlos City, Pangasinan, which offers preschool, elementary and high school education, takes pride in having St. Albert as their patron saint. Its main building was named Albertus Magnus Hall in 2008. San Alberto Magno Academy in Tubao, La Union is also dedicated in his honor. This century-old Catholic high school continues to live on its vision-mission up to this day, offering Senior High school courses. Due to his contributions to natural philosophy, the bacterium Agrobacterium albertimagni, the plant species Alberta magna, the crustacean Bodigiella albertimagni, the fossil brachiopod Albasphe albertimagni, and the asteroid 20006 Albertus Magnus were named after him. Numerous Catholic elementary and secondary schools are named for him, including schools in Toronto; Calgary; Cologne; and Dayton, Ohio. The Albertus typeface is named after him. At the University of Notre Dame du Lac in Notre Dame, Indiana, the Zahm Hall Chapel is dedicated to St. Albert the Great. Fr. John Zahm, C.S.C., after whom the men's residence hall is named, looked to St. Albert's example of using religion to illumine scientific discovery. Fr. Zahm's work with the Bible and evolution is sometimes seen as a continuation of St. Albert's legacy. The second largest student's fraternity of the Netherlands, located in the city of Groningen, is named Albertus Magnus, in honor of the saint. The Colegio Cientifico y Artistico de San Alberto, Hopelawn, New Jersey, USA with a sister school in Nueva Ecija, Philippines was founded in 1986 in honor of him who thought and taught that religion, the sciences and the arts may be advocated as subjects which should not contradict each other but should support one another to achieve wisdom and reason. The Vosloorus catholic parish (located in Vosloorus Extension One, Ekurhuleni, Gauteng, South Africa) is named after the saint. The catholic parish in Leopoldshafen, near Karlsruhe in Germany is also named after him also considering the huge research center of the Karlsruhe Institute of Technology nearby, as he is the patron saint of scientists. Since the death of King Albert I, the King's Feast is celebrated in Belgium on Albert's feast day. Edinburgh's Catholic Chaplaincy serving the city's universities is named after St Albert. Sant'Alberto Magno is a titular church in Rome. Bibliography Translations On Fate, (De Fato) translated by D.P. Curtin (Philadelphia, PA: Dalcassian Publishing Company: 2023). On the Body of the Lord, translated by Sr. Albert Marie Surmanski, OP (Washington, D.C.: Catholic University of America Press: 2017). On the Causes of the Properties of the Elements, translated by Irven M. Resnick (Milwaukee: Marquette University Press, 2010) [translation of Liber de causis proprietatum elementorum] Questions concerning Aristotle's on Animals, translated by Irven M. Resnick and Kenneth F. Kitchell Jr. (Washington, D.C.: Catholic University of America Press, 2008) [translation of Quaestiones super De animalibus] The Cardinal Virtues: Aquinas, Albert, and Philip the Chancellor, translated by R. E. Houser (Toronto: Pontifical Institute of Mediæval Studies, 2004) [contains translations of Parisian Summa, part six: On the good and Commentary on the Sentences of Peter Lombard, book 3, dist. 33 & 36] The Commentary of Albertus Magnus on Book 1 of Euclid's Elements of Geometry, edited by Anthony Lo Bello (Boston: Brill Academic Publishers, 2003) [translation of Priumus Euclidis cum commento Alberti] On Animals: A Medieval Summa Zoologica, translated by Kenneth F. Kitchell Jr. and Irven Michael Resnick (Baltimore; London: Johns Hopkins University Press, 1999) [translation of De animalibus] Paola Zambelli, The Speculum Astronomiae and Its Enigma: Astrology, Theology, and Science in Albertus Magnus and His Contemporaries (Dordrecht; Boston: Kluwer Academic Publishers, 1992) [includes Latin text and English translation of Speculum astronomiae] Albert & Thomas: Selected Writings, translated by Simon Tugwell, Classics of Western Spirituality (New York: Paulist Press, 1988) [contains translation of Super Dionysii Mysticam theologiam] On Union with God, translated by a Benedictine of Princethorpe Priory (London: Burns Oates & Washbourne, 1911) [reprinted as (Felinfach: Llanerch Enterprises, 1991) and (London: Continuum, 2000)] [translation of De adherendo Deo] See also Christian mysticism List of Catholic saints List of Roman Catholic scientist-clerics Saint Albert the Great, patron saint archive Science in the Middle Ages Notes References Citations Sources Sighart, Joachim (1876), Albert the Great : his life and scholastic labours: from original documents. Further reading Collins, David J. "Albertus, Magnus or Magus? Magic, Natural Philosophy, and Religious Reform in the Late Middle Ages." Renaissance Quarterly 63, no. 1 (2010): 1–44. Honnefelder, Ludger (ed.) Albertus Magnus and the Beginnings of the Medieval Reception of Aristotle in the Latin West. From Richardus Rufus to Franciscus de Mayronis, (collection of essays in German and English), Münster Aschendorff, 2005. Jong, Jonathan. "Albert the Great: Patron Saint of Scientists", in: St Mary Magdalen School of Theology, Thinking Faithfully. Kovach, Francis J. & Shahan, Robert W. Albert the Great. Commemorative Essays, Norman: University of Oklahoma Press, 1980. Lemay, Helen Rodnite. Women's Secrets: A Translation of Pseudo-Albertus Magnus's De secretis mulierum with Commentaries. SUNY Series in Medieval Studies. Albany: SUNY Press, 1992. Miteva, Evelina. "The Soul between Body and Immortality: The 13th Century Debate on the Definition of the Human Rational Soul as Form and Substance", in: Philosophia: E-Journal of Philosophy and Culture, 1/2012. . Resnick, Irven (ed.), A Companion to Albert the Great: Theology, Philosophy, and the Sciences, Leiden, Brill, 2013. Resnick, Irven e Kitchell Jr, Kenneth (eds.), Albert the Great: A Selective Annotated Bibliography, (1900–2000), Tempe, Arizona Center for Medieval and Renaissance Studies, 2004. External links Alberti Magni Works in Latin Online Albertus Magnus on Astrology & Magic "Albertus Magnus & Prognostication by the Stars" Albertus Magnus: "Secrets of the Virtues of Herbs, Stones and Certain Beasts", London, 1604, full online version. Albertus Magnus – De Adhaerendo Deo – On Cleaving to God Online Galleries, History of Science Collections, University of Oklahoma Libraries – High resolution images of works by Albertus Magnus in .jpg and .tiff format. Albertus Magnus works at SOMNI in the collection of the Duke of Calabria. Alberti Magni De laudibus beate Mariae Virginis, Italian digitized codex of 1476 with a completed transcription of his work "Liber de laudibus gloriosissime Dei genitricis Marie" Albertus Magnus De mirabili scientia Dei, Italian digitized codex of 1484 with a transcription of the first part of his Summa Theologicae. Works of Alberto Magno at the National Digital Library of Portugal 1280 deaths 13th-century Roman Catholic bishops in Bavaria 13th-century Christian mystics 13th-century German philosophers 13th-century Christian saints 13th-century German Catholic theologians Aristotelian philosophers People from Lauingen Roman Catholic bishops of Regensburg Dominican bishops Natural philosophers Discoverers of chemical elements Doctors of the Church German Dominicans University of Padua alumni Academic staff of the University of Paris German astrologers 13th-century astrologers German entomologists Canonizations by Pope Pius XI German Roman Catholic saints Latin commentators on Aristotle Catholic philosophers Scholastic philosophers Catholic clergy scientists Dominican mystics Dominican saints Incorrupt saints Year of birth unknown German male non-fiction writers Alsatian saints 13th-century writers in Latin 13th-century alchemists 13th-century jurists Provincial superiors Writers about religion and science Natural law ethicists
1575
https://en.wikipedia.org/wiki/Alboin
Alboin
Alboin (530s – 28 June 572) was king of the Lombards from about 560 until 572. During his reign the Lombards ended their migrations by settling in Italy, the northern part of which Alboin conquered between 569 and 572. He had a lasting effect on Italy and the Pannonian Basin; in the former his invasion marked the beginning of centuries of Lombard rule, and in the latter his defeat of the Gepids and his departure from Pannonia ended the dominance there of the Germanic peoples. The period of Alboin's reign as king in Pannonia following the death of his father, Audoin, was one of confrontation and conflict between the Lombards and their main neighbors, the Gepids. The Gepids initially gained the upper hand, but in 567, thanks to his alliance with the Avars, Alboin inflicted a decisive defeat on his enemies, whose lands the Avars subsequently occupied. The increasing power of his new neighbours caused Alboin some unease however, and he therefore decided to leave Pannonia for Italy, hoping to take advantage of the Byzantine Empire's vulnerability in defending its territory in the wake of the Gothic War. After gathering a large coalition of peoples, Alboin crossed the Julian Alps in 568, entering an almost undefended Italy. He rapidly took control of most of Venetia and Liguria. In 569, unopposed, he took northern Italy's main city, Milan. Pavia offered stiff resistance however, and was taken only after a siege lasting three years. During that time Alboin turned his attention to Tuscany, but signs of factionalism among his supporters and Alboin's diminishing control over his army increasingly began to manifest themselves. Alboin was assassinated on 28 June 572, in a coup d'état instigated by the Byzantines. It was organized by the king's foster brother, Helmichis, with the support of Alboin's wife, Rosamund, daughter of the Gepid king whom Alboin had killed some years earlier. The coup failed in the face of opposition from a majority of the Lombards, who elected Cleph as Alboin's successor, forcing Helmichis and Rosamund to flee to Ravenna under imperial protection. Alboin's death deprived the Lombards of the only leader who could have kept the newborn Germanic entity together, the last in the line of hero-kings who had led the Lombards through their migrations from the vale of the Elbe to Italy. For many centuries following his death Alboin's heroism and his success in battle were celebrated in Saxon and Bavarian epic poetry. Etymology The name Alboin derives from the Proto-Germanic roots *albiz ("elf") and *winiz ("friend"); it is thus cognate with the Old English name Ælfwine. He was known in Latin as Alboinus and in Greek as Ἀλβοΐνος (Alboinos). In modern Italian he is Alboino and in modern Lombard Albuì. Father's rule The Lombards under King Wacho had migrated towards the east into Pannonia, taking advantage of the difficulties facing the Ostrogothic Kingdom in Italy following the death of its founder, Theodoric, in 526. Wacho's death in about 540 brought his son Walthari to the throne, but, as the latter was still a minor, the kingdom was governed in his stead by Alboin's father, Audoin, of the Gausian clan. Seven years later Walthari died, giving Audoin the opportunity to crown himself and overthrow the reigning Lethings. Alboin was probably born in the 530s in Pannonia, the son of Audoin and his wife, Rodelinda. She may have been the niece of King Theodoric and betrothed to Audoin through the mediation of Emperor Justinian. Like his father, Alboin was raised a pagan, although Audoin had at one point attempted to gain Byzantine support against his neighbours by professing himself a Christian. Alboin took as his first wife the Christian Chlothsind, daughter of the Frankish King Chlothar. This marriage, which took place soon after the death of the Frankish ruler Theudebald in 555, is thought to reflect Audoin's decision to distance himself from the Byzantines, traditional allies of the Lombards, who had been lukewarm when it came to supporting Audoin against the Gepids. The new Frankish alliance was important because of the Franks' known hostility to the Byzantine empire, providing the Lombards with more than one option. However, the Prosopography of the Later Roman Empire interprets events and sources differently, believing that Alboin married Chlothsind when already a king in or shortly before 561, the year of Chlothar's death. Alboin first distinguished himself on the battlefield in a clash with the Gepids. At the Battle of Asfeld (552), he killed Turismod, son of the Gepid king Thurisind, in a victory that resulted in the Emperor Justinian's intervention to maintain equilibrium between the rival regional powers. After the battle, according to a tradition reported by Paul the Deacon, to be granted the right to sit at his father's table, Alboin had to ask for the hospitality of a foreign king and have him donate his weapons, as was customary. For this initiation, he went to the court of Thurisind, where the Gepid king gave him Turismod's arms. Walter Goffart believes it is probable that in this narrative Paul was making use of an oral tradition, and is sceptical that it can be dismissed as merely a typical topos of an epic poem. Reign in Pannonia Alboin came to the throne after the death of his father, sometime between 560 and 565. As was customary among the Lombards, Alboin took the crown after an election by the tribe's freemen, who traditionally selected the king from the dead sovereign's clan. Shortly afterwards, in 565, a new war erupted with the Gepids, now led by Cunimund, Thurisind's son. The cause of the conflict is uncertain, as the sources are divided; the Lombard Paul the Deacon accuses the Gepids, while the Byzantine historian Menander Protector places the blame on Alboin, an interpretation favoured by historian Walter Pohl. An account of the war by the Byzantine Theophylact Simocatta sentimentalises the reasons behind the conflict, claiming it originated with Alboin's vain courting and subsequent kidnapping of Cunimund's daughter Rosamund, that Alboin proceeded then to marry. The tale is treated with scepticism by Walter Goffart, who observes that it conflicts with the Origo Gentis Langobardorum, where she was captured only after the death of her father. The Gepids obtained the support of the Emperor in exchange for a promise to cede him the region of Sirmium, the seat of the Gepid kings. Thus in 565 or 566 Justinian's successor Justin II sent his son-in-law Baduarius as magister militum (field commander) to lead a Byzantine army against Alboin in support of Cunimund, ending in the Lombards' complete defeat. Faced with the possibility of annihilation, Alboin made an alliance in 566 with the Avars under Bayan I, at the expense of some tough conditions: the Avars demanded a tenth of the Lombards' cattle, half of the war booty, and on the war's conclusion all of the lands held by the Gepids. The Lombards played on the pre-existing hostility between the Avars and the Byzantines, claiming that the latter were allied with the Gepids. Cunimund, on the other hand, encountered hostility when he once again asked the Emperor for military assistance, as the Byzantines had been angered by the Gepids' failure to cede Sirmium to them, as had been agreed. Moreover, Justin II was moving away from the foreign policy of Justinian, and believed in dealing more strictly with bordering states and peoples. Attempts to mollify Justin II with tributes failed, and as a result the Byzantines kept themselves neutral if not outright supportive of the Avars. In 567 the allies made their final move against Cunimund, with Alboin invading the Gepids' lands from the northwest while Bayan attacked from the northeast. Cunimund attempted to prevent the two armies joining up by moving against the Lombards and clashing with Alboin somewhere between the Tibiscus and Danube rivers. The Gepids were defeated in the ensuing battle, their king slain by Alboin, and Cunimund's daughter Rosamund taken captive, according to references in the Origo. The full destruction of the Gepid kingdom was completed by the Avars, who overcame the Gepids in the east. As a result, the Gepids ceased to exist as an independent people, and were partly absorbed by the Lombards and the Avars. Some time before 568, Alboin's first wife Chlothsind died, and after his victory against Cunimund Alboin married Rosamund, to establish a bond with the remaining Gepids. The war also marked a watershed in the geo-political history of the region, as together with the Lombard migration the following year, it signalled the end of six centuries of Germanic dominance in the Pannonian Basin. Preparations and departure from Pannonia Despite his success against the Gepids, Alboin had failed to greatly increase his power, and was now faced with a much stronger threat from the Avars. Historians consider this the decisive factor in convincing Alboin to undertake a migration, even though there are indications that before the war with the Gepids a decision was maturing to leave for Italy, a country thousands of Lombards had seen in the 550s when hired by the Byzantines to fight in the Gothic War. Additionally, the Lombards would have known of the weakness of Byzantine Italy, which had endured a number of problems after being retaken from the Goths. In particular the so-called Plague of Justinian had ravaged the region and conflict remained endemic, with the Three-Chapter Controversy sparking religious opposition and administration at a standstill after the able governor of the peninsula, Narses, was recalled. Nevertheless, the Lombards viewed Italy as a rich land which promised great booty, assets Alboin used to gather together a horde which included not only Lombards but many other peoples of the region, including Heruli, Suebi, Gepids, Thuringii, Bulgars, Sarmatians, the remaining Romans and a few Ostrogoths. But the most important group, other than the Lombards, were the Saxons, of whom 20,000 male warriors with their families participated in the trek. These Saxons were tributaries to the Frankish King Sigebert, and their participation indicates that Alboin had the support of the Franks for his venture. The precise size of the heterogeneous group gathered by Alboin is impossible to know, and many different estimates have been made. Neil Christie considers 150,000 to be a realistic size, a number which would make the Lombards a more numerous force than the Ostrogoths on the eve of their invasion of Italy. Jörg Jarnut proposes 100,000–150,000 as an approximation; Wilfried Menghen in Die Langobarden estimates 150,000 to 200,000; while Stefano Gasparri cautiously judges the peoples united by Alboin to be somewhere between 100,000 and 300,000. As a precautionary move Alboin strengthened his alliance with the Avars, signing what Paul calls a foedus perpetuum ("perpetual treaty") and what is referred to in the 9th-century Historia Langobardorum codicis Gothani as a pactum et foedus amicitiae ("pact and treaty of friendship"), adding that the treaty was put down on paper. By the conditions accepted in the treaty, the Avars were to take possession of Pannonia and the Lombards were promised military support in Italy should the need arise; also, for a period of 200 years the Lombards were to maintain the right to reclaim their former territories if the plan to conquer Italy failed, thus leaving Alboin with an alternative open. The accord also had the advantage of protecting Alboin's rear, as an Avar-occupied Pannonia would make it difficult for the Byzantines to bring forces to Italy by land. The agreement proved immensely successful, and relations with the Avars were almost uninterruptedly friendly during the lifetime of the Lombard Kingdom. A further cause of the Lombard migration into Italy may have been an invitation from Narses. According to a controversial tradition reported by several medieval sources, Narses, out of spite for having been removed by Justinian's successor Justin II, called the Lombards to Italy. Often dismissed as an unreliable tradition, it has been studied with attention by modern scholars, in particular Neil Christie, who see in it a possible record of a formal invitation by the Byzantine state to settle in northern Italy as foederati, to help protect the region against the Franks, an arrangement that may have been disowned by Justin II after Narses' removal. March to Italy The Lombard migration started on Easter Monday, 2 April 568. The decision to combine the departure with a Christian celebration can be understood in the context of Alboin's recent conversion to Arian Christianity, as attested by the presence of Arian Gothic missionaries at his court. The conversion is likely to have been motivated mostly by political considerations, and intended to consolidate the migration's cohesion, distinguishing the migrants from the Catholic Romans. It also connected Alboin and his people to the Gothic heritage, and in this way obtain the support of the Ostrogoths serving in the Byzantine army as foederati. It has been speculated that Alboin's migration could have been partly the result of a call from surviving Ostrogoths in Italy. The season chosen for leaving Pannonia was unusually early; the Germanic peoples generally waited until autumn before beginning a migration, giving themselves time to do the harvesting and replenish their granaries for the march. The reason behind the spring departure could be the anxiety induced by the neighboring Avars, despite the friendship treaty. Nomadic peoples like the Avars also waited for autumn to begin their military campaigns, as they needed enough forage for their horses. A sign of this anxiety can also be seen in the decision taken by Alboin to ravage Pannonia, which created a safety zone between the Lombards and the Avars. The road followed by Alboin to reach Italy has been the subject of controversy, as is the length of the trek. According to Neil Christie the Lombards divided themselves into migrational groups, with a vanguard scouting the road, probably following the Poetovio – Celeia – Emona – Forum Iulii route, while the wagons and most of the people proceeded slowly behind because of the goods and chattels they brought with them, and possibly also because they were waiting for the Saxons to join them on the road. By September raiding parties were looting Venetia, but it was probably only in 569 that the Julian Alps were crossed at the Vipava Valley; the eyewitness Secundus of Non gives the date as 20 or 21 May. The 569 date for the entry into Italy is not void of difficulties however, and Jörg Jarnut believes the conquest of most of Venetia had already been completed in 568. According to Carlo Guido Mor, a major difficulty remains in explaining how Alboin could have reached Milan on 3 September assuming he had passed the border only in the May of the same year. Invasion of Italy Foundation of the Duchy of Friuli The Lombards penetrated into Italy without meeting any resistance from the border troops (milities limitanei). The Byzantine military resources available on the spot were scant and of dubious loyalty, and the border forts may well have been left unmanned. What seems certain is that archaeological excavations have found no sign of violent confrontation in the sites that have been excavated. This agrees with Paul the Deacon's narrative, who speaks of a Lombard takeover in Friuli "without any hindrance". The first town to fall into the Lombards' hands was Forum Iulii (Cividale del Friuli), the seat of the local magister militum. Alboin chose this walled town close to the frontier to be capital of the Duchy of Friuli and made his nephew and shield bearer, Gisulf, duke of the region, with the specific duty of defending the borders from Byzantine or Avar attacks from the east. Gisulf obtained from his uncle the right to choose for his duchy those farae, or clans, that he preferred. Alboin's decision to create a duchy and designate a duke were both important innovations; until then, the Lombards had never had dukes or duchies based on a walled town. The innovation adopted was part of Alboin's borrowing of Roman and Ostrogothic administrative models, as in Late Antiquity the comes civitatis (city count) was the main local authority, with full administrative powers in his region. But the shift from count (comes) to duke (dux) and from county (comitatus) to duchy (ducatus) also signalled the progressive militarization of Italy. The selection of a fortified town as the centre for the new duchy was also an important change from the time in Pannonia, for while urbanized settlements had previously been ignored by the Lombards, now a considerable part of the nobility settled itself in Forum Iulii, a pattern that was repeated regularly by the Lombards in their other duchies. Conquest of Milan From Forum Iulii, Alboin next reached Aquileia, the most important road junction in the northeast, and the administrative capital of Venetia. The imminent arrival of the Lombards had a considerable impact on the city's population; the Patriarch of Aquileia Paulinus fled with his clergy and flock to the island of Grado in Byzantine-controlled territory. From Aquileia, Alboin took the Via Postumia and swept through Venetia, taking in rapid succession Tarvisium (Treviso), Vicentia (Vicenza), Verona, Brixia (Brescia) and Bergomum (Bergamo). The Lombards faced difficulties only in taking Opitergium (Oderzo), which Alboin decided to avoid, as he similarly avoided tackling the main Venetian towns closer to the coast on the Via Annia, such as Altinum, Patavium (Padova), Mons Silicis (Monselice), Mantua and Cremona. The invasion of Venetia generated a considerable level of turmoil, spurring waves of refugees from the Lombard-controlled interior to the Byzantine-held coast, often led by their bishops, and resulting in new settlements such as Torcello and Heraclia. Alboin moved west in his march, invading the region of Liguria (north-west Italy) and reaching its capital Mediolanum (Milan) on 3 September 569, only to find it already abandoned by the vicarius Italiae (vicar of Italy), the authority entrusted with the administration of the diocese of Annonarian Italy. Archbishop Honoratus, his clergy, and part of the laity accompanied the vicarius Italiae to find a safe haven in the Byzantine port of Genua (Genoa). Alboin counted the years of his reign from the capture of Milan, when he assumed the title of dominus Italiae (Lord of Italy). His success also meant the collapse of Byzantine defences in the northern part of the Po plain, and large movements of refugees to Byzantine areas. Several explanations have been advanced to explain the swiftness and ease of the initial Lombard advance in northern Italy. It has been suggested that the towns' doors may have been opened by the betrayal of the Gothic auxiliaries in the Byzantine army, but historians generally hold that Lombard success occurred because Italy was not considered by Byzantium as a vital part of the empire, especially at a time when the empire was imperilled by the attacks of Avars and Slavs in the Balkans and Sassanids in the east. The Byzantine decision not to contest the Lombard invasion reflects the desire of Justinian's successors to reorient the core of the Empire's policies eastward. Impact of the migration on Annonarian Italy The impact of the Lombard migration on the Late Roman aristocracy was disruptive, especially in combination with the Gothic War; the latter conflict had finished in the north only in 562, when the last Gothic stronghold, Verona, was taken. Many men of means (Paul's possessores) either lost their lives or their goods, but the exact extent of the despoliation of the Roman aristocracy is a subject of heated debate. The clergy was also greatly affected. The Lombards were mostly pagans, and displayed little respect for the clergy and Church property. Many churchmen left their sees to escape from the Lombards, like the two most senior bishops in the north, Honoratus and Paulinus. However, most of the suffragan bishops in the north sought an accommodation with the Lombards, as did in 569 the bishop of Tarvisium, Felix, when he journeyed to the Piave river to parley with Alboin, obtaining respect for the Church and its goods in return for this act of homage. It seems certain that many sees maintained an uninterrupted episcopal succession through the turmoil of the invasion and the following years. The transition was eased by the hostility existing among the northern Italian bishops towards the papacy and the empire due to the religious dispute involving the "Three-Chapter Controversy". In Lombard territory, churchmen were at least sure to avoid imperial religious persecution. In the view of Pierre Riché, the disappearance of 220 bishops' seats indicates that the Lombard migration was a crippling catastrophe for the Church. Yet according to Walter Pohl the regions directly occupied by Alboin suffered less devastation and had a relatively robust survival rate for towns, whereas the occupation of territory by autonomous military bands interested mainly in raiding and looting had a more severe impact, with the bishoprics in such places rarely surviving. Siege of Ticinum The first attested instance of strong resistance to Alboin's migration took place at the town of Ticinum (Pavia), which he started to besiege in 569 and captured only after three years. The town was of strategic importance, sitting at the confluence of the rivers Po and Ticino and connected by waterways to Ravenna, the capital of Byzantine Italy and the seat of the Praetorian prefecture of Italy. Its fall cut direct communications between the garrisons stationed on the Alpes Maritimae and the Adriatic coast. Careful to maintain the initiative against the Byzantines, by 570 Alboin had taken their last defences in northern Italy except for the coastal areas of Liguria and Venetia and a few isolated inland centres such as Augusta Praetoria (Aosta), Segusio (Susa), and the island of Amacina in the Larius Lucus (Lake Como). During Alboin's kingship the Lombards crossed the Apennines and plundered Tuscia, but historians are not in full agreement as to whether this took place under his guidance and if this constituted anything more than raiding. According to Herwig Wolfram, it was probably only in 578–579 that Tuscany was conquered, but Jörg Jarnut and others believe this began in some form under Alboin, although it was not completed by the time of his death. Alboin's problems in maintaining control over his people worsened during the siege of Ticinum. The nature of the Lombard monarchy made it difficult for a ruler to exert the same degree of authority over his subjects as had been exercised by Theodoric over his Goths, and the structure of the army gave great authority to the military commanders or duces, who led each band (fara) of warriors. Additionally, the difficulties encountered by Alboin in building a solid political entity resulted from a lack of imperial legitimacy, as unlike the Ostrogoths, they had not entered Italy as foederati but as enemies of the Empire. The king's disintegrating authority over his army was also manifested in the invasion of Frankish Burgundy which from 569 or 570 was subject to yearly raids on a major scale. The Lombard attacks were ultimately repelled following Mummolus' victory at Embrun. These attacks had lasting political consequences, souring the previously cordial Lombard-Frankish relations and opening the door to an alliance between the Empire and the Franks against the Lombards, a coalition agreed to by Guntram in about 571. Alboin is generally thought not to have been behind this invasion, but an alternative interpretation of the transalpine raids presented by Gian Piero Bognetti is that Alboin may actually have been involved in the offensive on Guntram as part of an alliance with the Frankish king of Austrasia, Sigebert I. This view is met with scepticism by scholars such as Chris Wickham. The weakening of royal authority may also have resulted in the conquest of much of southern Italy by the Lombards, in which modern scholars believe Alboin played no role at all, probably taking place in 570 or 571 under the auspices of individual warlords. However it is far from certain that the Lombard takeover occurred during those years, as very little is known of Faroald and Zotto's respective rises to power in Spoletium (Spoleto) and Beneventum (Benevento). Assassination Earliest narratives Ticinum eventually fell to the Lombards in either May or June 572. Alboin had in the meantime chosen Verona as his seat, establishing himself and his treasure in a royal palace built there by Theodoric. This choice may have been another attempt to link himself with the Gothic king. It was in this palace that Alboin was killed on 28 June 572. In the account given by Paul the Deacon, the most detailed narrative on Alboin's death, history and saga intermingle almost inextricably. Much earlier and shorter is the story told by Marius of Aventicum in his Chronica, written about a decade after Alboin's murder. According to his version the king was killed in a conspiracy by a man close to him, called Hilmegis (Paul's Helmechis), with the connivance of the queen. Helmichis then married the widow, but the two were forced to escape to Byzantine Ravenna, taking with them the royal treasure and part of the army, which hints at the cooperation of Byzantium. Roger Collins describes Marius as an especially reliable source because of his early date and his having lived close to Lombard Italy. Also contemporary is Gregory of Tours' account presented in the Historia Francorum, and echoed by the later Fredegar. Gregory's account diverges in several respects from most other sources. In his tale it is told how Alboin married the daughter of a man he had slain, and how she waited for a suitable occasion for revenge, eventually poisoning him. She had previously fallen in love with one of her husband's servants, and after the assassination tried to escape with him, but they were captured and killed. However, historians including Walter Goffart place little trust in this narrative. Goffart notes other similar doubtful stories in the Historia and calls its account of Alboin's demise "a suitably ironic tale of the doings of depraved humanity". Skull cup Elements present in Marius' account are echoed in Paul's Historia Langobardorum, which also contains distinctive features. One of the best known aspects unavailable in any other source is that of the skull cup. In Paul, the events that led to Alboin's downfall unfold in Verona. During a great feast, Alboin gets drunk and orders his wife Rosamund to drink from his cup, made from the skull of his father-in-law Cunimund after he had slain him in 567 and married Rosamund. Alboin "invited her to drink merrily with her father". This reignited the queen's determination to avenge her father. The tale has been often dismissed as a fable and Paul was conscious of the risk of disbelief. For this reason, he insists that he saw the skull cup personally during the 740s in the royal palace of Ticinum in the hands of king Ratchis. The use of skull cups has been noticed among nomadic peoples and, in particular, among the Lombards' neighbors, the Avars. Skull cups are believed to be part of a shamanistic ritual, where drinking from the cup was considered a way to assume the dead man's powers. In this context, Stefano Gasparri and Wilfried Menghen see in Cunimund's skull cup the sign of nomadic cultural influences on the Lombards: by drinking from his enemy's skull Alboin was taking his vital strength. As for the offering of the skull to Rosamund, that may have been a ritual request of complete submission of the queen and her people to the Lombards, and thus a cause of shame or humiliation. Alternatively, it may have been a rite to appease the dead through the offering of a libation. In the latter interpretation, the queen's answer reveals her determination not to let the wound opened by the killing of her father be healed through a ritual act, thus openly displaying her thirst for revenge. The episode is read in a radically different way by Walter Goffart. According to him, the whole story assumes an allegorical meaning, with Paul intent on telling an edifying story of the downfall of the hero and his expulsion from the promised land, because of his human weakness. In this story, the skull cup plays a key role as it unites original sin and barbarism. Goffart does not exclude the possibility that Paul had really seen the skull, but believes that by the 740s the connection between sin and barbarism as exemplified by the skull cup had already been established. Death In her plan to kill her husband Rosamund found an ally in Helmichis, the king's foster brother and spatharius (arms bearer). According to Paul the queen then recruited the king's cubicularius (bedchamberlain), Peredeo, into the plot, after having seduced him. When Alboin retired for his midday rest on 28 June, care was taken to leave the door open and unguarded. Alboin's sword was also removed, leaving him defenceless when Peredeo entered his room and killed him. Alboin's remains were allegedly buried beneath the palace steps. Peredeo's figure and role is mostly introduced by Paul; the Origo had for the first time mentioned his name as "Peritheus", but there his role had been different, as he was not the assassin, but the instigator of the assassination. In the vein of his reading of the skull cup, Goffart sees Peredeo not as a historical figure but as an allegorical character: he notes a similarity between Peredeo's name and the Latin word perditus, meaning "lost", a representation of those Lombards who entered into the service of the Empire. Alboin's death had a lasting impact, as it deprived the Lombards of the only leader they had that could have kept together the newborn Germanic entity. His end also represents the death of the last of the line of hero-kings that had led the Lombards through their migrations from the Elbe to Italy. His fame survived him for many centuries in epic poetry, with Saxons and Bavarians celebrating his prowess in battle, his heroism, and the magical properties of his weapons. Aftermath To complete the coup d'état and legitimize his claim to the throne, Helmichis married the queen, whose high standing arose not only from being the king's widow but also from being the most prominent member of the remaining Gepid nation, and as such her support was a guarantee of the Gepids' loyalty to Helmichis. The latter could also count on the support of the Lombard garrison of Verona, where many may have opposed Alboin's aggressive policy and could have cultivated the hope of reaching an entente with the Empire. The Byzantines were almost certainly deeply involved in the plot. It was in their interest to stem the Lombard tide by bringing a pro-Byzantine regime into power in Verona, and possibly in the long run break the unity of the Lombards' kingdom, winning over the dukes with honors and emoluments. The coup ultimately failed, as it met with the resistance of most of the warriors, who were opposed to the king's assassination. As a result, the Lombard garrison in Ticinum proclaimed Duke Cleph the new king, and Helmichis, rather than going to war against overwhelming odds, escaped to Ravenna with Longinus' assistance, taking with him his wife, his troops, the royal treasure and Alboin's daughter Albsuinda. In Ravenna the two lovers became estranged and killed each other. Subsequently, Longinus sent Albsuinda and the treasure to Constantinople. Cleph kept the throne for only 18 months before being assassinated by a slave. Possibly he too was killed at the instigation of the Byzantines, who had every interest in avoiding a hostile and solid leadership among the Lombards. An important success for the Byzantines was that no king was proclaimed to succeed Cleph, opening a decade of interregnum, thus making them more vulnerable to attacks from Franks and Byzantines. It was only when faced with the danger of annihilation by the Franks in 584 that the dukes elected a new king in the person of Authari, son of Cleph, who began the definitive consolidation and centralization of the Lombard kingdom while the remaining imperial territories were reorganized under the control of an exarch in Ravenna with the capacity to defend the country without the Emperor's assistance. The consolidation of Byzantine and Lombard dominions had long-lasting consequences for Italy, as the region was from that moment on fragmented among multiple rulers until Italian unification in 1871. Cultural references Alboin, together with other tribal leaders is mentioned in the 10th century Old English poem called Widsith (lines 70–75) : The historical period also formed the basis of the 1961 Italian adventure film Sword of the Conqueror (Italian: Rosmunda e Alboino, German title Alboin, König der Langobarden), with Jack Palance as Alboin. There have been several artistic depictions of events from Alboin's life including Peter Paul Rubens' Alboin and Rosamunde (1615); Charles Landseer's Assassination of Alboin, King of the Lombards (1856); and Fortunino Matania's illustration Rosamund captive before King Alboin of the Lombards (1942). See also List of kings of the Lombards Notes References Amory, Patrick. People and Identity in Ostrogothic Italy, 489–554. Cambridge: Cambridge University Press, 2003, . Ausenda, Giorgio. "Current issues and future directions in the study of Franks and Alamanni in the Merovingian period", Franks and Alamanni in the Merovingian Period: An Ethnographic Perspective. Ian Wood (ed.). Woodbridge: Boydell, 1998, pp. 371–455. . Azzara, Claudio. L'Italia dei barbari. Bologna: il Mulino, 2009, 978-88-15-08812-3. Bertolini, Paolo. "Alboino, re dei Longobardi", Dizionario Biografico degli Italiani. Alberto M. Ghisalberti (ed.). v. 2, Rome: Istituto dell'Enciclopedia Treccani, 1960, pp. 34–38. Christie, Neil. The Lombards: The Ancient Longobards. Oxford: Wiley-Blackwell, 1995 [1998], . Collins, Roger. Early Medieval Europe 300–1000. London: Macmillan, 1991, . Gasparri, Stefano. "I longobardi: alle origini del medioevo italiano". Storia Dossier, (1990) 42, Florence: Giunti. . Goffart, Walter. The Narrators of Barbarian History (A.D. 550–800): Jordanes, Gregory of Tours, Bede, and Paul the Deacon. Princeton: Princeton University Press, 1988, . Gregory of Tours. History of the Franks. Ernest Brehaut (translator). New York: Columbia University Press, 1916. Humphries, Mark. "Italy, A. D. 425–605", Cambridge Ancient History – Volume XIV: Late Antiquity: Empire and Successors, A. D. 425–600. Averil Cameron, Bryan Ward-Perkins and Michael Whitby (eds.). Cambridge: Cambridge University Press, 2001, pp. 525–552. . Lane, Frederic C.. Storia di Venezia. Turin: Einaudi, 1973 [1991], . Madden, Thomas F. "Aquileia", Medieval Italy: an encyclopedia. Christopher Kleinhenz (ed.). v. 1, New York: Routledge, 2004, pp. 44–45. . Martindale, John R. (ed.), Prosopography of the Later Roman Empire – Volume III: A.D. 527–641, Cambridge: Cambridge University Press, 1992, . Moorhead, John. "Ostrogothic Italy and the Lombard invasions", The New Cambridge Medieval History: Volume I c. 500 – c. 700. Paul Fouracre (ed.). Cambridge: Cambridge University Press, 2005, pp. 140–162. . Ostrogorsky, Georg. Storia dell'impero bizantino. Turin: Einaudi, 1963 [1993], . Palmieri, Stefano. "Duchi, Principi e Vescovi nella Longobardia meridionale", Longobardia e longobardi nell'Italia meridionale: le istituzioni ecclesiastiche. Giancarlo Andenna e Giorgio Picasso (eds.). Milan: Vita e Pensiero, 1996, pp. 43–99. . Paul the Deacon. History of the Langobards. William Dudley Foulke (translator). Philadelphia: University of Pennsylvania Press, 1907. Pohl, Walter. "The Empire and the Lombards: treaties and negotiations in the sixth century", Kingdoms of the Empire: the integration of barbarians in late Antiquity. Walter Pohl (ed.). Leiden: Brill, 1997, pp. 75–134. . Richards, Jeffrey. The Popes and the Papacy in the Early Middle Ages, 476–752. London: Routledge, 1979, . Rovagnati, Sergio. I Longobardi. Milan: Xenia, 2003, . Schutz, Herbert. Tools, Weapons and Ornaments: Germanic Material Culture in Pre-Carolingian Central Europe, 400–750. Leiden: Brill, 2001, . Whitby, Michael. "The successors of Justinian", The Cambridge Ancient History – Volume XIV. pp. 86–112. Wickham, Chris. Early Medieval Italy: Central Power and Local Society 400–1000. Ann Arbor: University of Michigan Press, 1981 [1989], . Wickham, Chris. Framing the Early Middle Ages: Europe and the Mediterranean, 400–800. Oxford: Oxford University Press, 2005, . Wolfram, Herwig. The Roman Empire and Its Germanic Peoples. Berkeley: University of California Press, 1990 [1997], . External links 530s births 572 deaths Year of birth uncertain 6th-century Lombard monarchs 6th-century murdered monarchs Lombard warriors Gausian dynasty Regicides
1576
https://en.wikipedia.org/wiki/Afonso%20de%20Albuquerque
Afonso de Albuquerque
Afonso de Albuquerque, 1st Duke of Goa ( – 16 December 1515), was a Portuguese general, admiral, and statesman. He served as viceroy of Portuguese India from 1509 to 1515, during which he expanded Portuguese influence across the Indian Ocean and built a reputation as a fierce and skilled military commander. Albuquerque advanced the three-fold Portuguese grand scheme of combating Islam, spreading Christianity, and securing the trade of spices by establishing a Portuguese Asian empire. Among his achievements, Albuquerque managed to conquer Goa and was the first European of the Renaissance to raid the Persian Gulf, and he led the first voyage by a European fleet into the Red Sea. He is generally considered a highly effective military commander, and "probably the greatest naval commander of the age", given his successful strategy — he attempted to close all the Indian Ocean naval passages to the Atlantic, Red Sea, Persian Gulf, and to the Pacific, transforming it into a Portuguese mare clausum. He was appointed head of the "fleet of the Arabian and Persian sea" in 1506. Many of the conflicts in which he was directly involved took place in the Indian Ocean, in the Persian Gulf regions for control of the trade routes, and on the coasts of India. His military brilliance in these initial campaigns enabled Portugal to become the first global empire in history. He led the Portuguese forces in numerous battles, including the conquest of Goa in 1510 and the capture of Malacca in 1511. During the last five years of his life, he turned to administration, where his actions as the second governor of Portuguese India were crucial to the longevity of the Portuguese Empire. He oversaw expeditions that resulted in establishing diplomatic contacts with the Ayutthaya Kingdom through his envoy Duarte Fernandes, with Pegu in Myanmar, and Timor and the Moluccas through a voyage headed by António de Abreu and Francisco Serrão. He laid the path for European trade with Ming China through Rafael Perestrello. He also aided in establishing diplomatic relations with Ethiopia, and established diplomatic ties with Persia during the Safavid dynasty. Throughout his career, he received epithets such as "the Terrible", "the Great", "the Lion of the Seas", "the Portuguese Mars", and "the Caesar of the East". Early life Afonso de Albuquerque was born in 1453 in Alhandra, near Lisbon. He was the second son of Gonçalo de Albuquerque, Lord of Vila Verde dos Francos, and Dona Leonor de Menezes. His father held an important position at court and was connected by remote illegitimate descent with the Portuguese monarchy. He was a descendant of King Denis’s illegitimate son, Afonso Sanches, Lord of Albuquerque. He was educated in mathematics and Latin at the court of Afonso V of Portugal, where he befriended Prince John, the future King John II of Portugal. Early military service In 1471, under the command of Afonso V, he was present at the conquest of Tangier and Arzila in Morocco, and he served there as an officer for some years. In 1476, he accompanied Prince John in wars against Castile, including the Battle of Toro. He participated in the campaign on the Italian peninsula in 1480 to assist Ferdinand I of Naples in repelling the Ottoman invasion of Otranto. On his return in 1481, when John was crowned as King John II, Albuquerque was made master of the horse and chief equerry () to the king, a post which he held throughout John's reign. In 1489, he returned to military campaigning in North Africa, as commander of defense in the Graciosa fortress, an island in the river Luco near the city of Larache. In 1490 Albuquerque was part of the guard of John II. He returned to Arzila in 1495, where his younger brother Martim died fighting by his side. First expedition to India, 1503 When King Manuel I of Portugal ascended to the throne following the death of his cousin John II, he held a cautious attitude towards Albuquerque, who was a close friend of his predecessor and seventeen years Manuel's senior. Eight years later, on 6 April 1503 Albuquerque was sent on his first expedition to India together with his cousin Francisco de Albuquerque. Each commanded three ships, sailing with Duarte Pacheco Pereira and Nicolau Coelho. They engaged in several battles against the forces of the Zamorin of Calicut (Calecute, Kozhikode) and succeeded in establishing the king of Cochin (Cohim, Kochi) securely on his throne. In return, the king of Cochin gave the Portuguese permission to build the Portuguese fort Immanuel (Fort Kochi) and establish trade relations with Quilon (Coulão, Kollam). This laid the foundation for the eastern Portuguese Empire. Second expedition to India, 1506 Albuquerque returned home in July 1504 and was well received by King Manuel I. After he assisted with the creation of a strategy for the Portuguese efforts in the east, King Manuel entrusted him with the command of a squadron of five vessels in the fleet of sixteen sailing for India in early 1506, headed by Tristão da Cunha. The aim of the expedition was to conquer Socotra and build a fortress there, hoping to close the trade in the Red Sea. Albuquerque went as "chief-captain for the Coast of Arabia", sailing under da Cunha's orders until reaching Mozambique. He carried a sealed letter with a secret mission ordered by the king: after fulfilling the first mission, he was to replace the first viceroy of India, Francisco de Almeida, whose term ended two years later. Before departing, he legitimized his son Brás ("Braz" in the old Portuguese spelling), born to a common Portuguese woman named Joana Vicente in 1500. First conquest of Socotra and Ormuz, 1507 The fleet left Lisbon on 6 April 1506. Albuquerque piloted his ship himself, having lost his appointed pilot on departure. In Mozambique Channel, they rescued Captain João da Nova, who had encountered difficulties on his return from India; da Nova and his ship, the Frol de la mar, joined da Cunha's fleet. From Malindi, da Cunha sent envoys to Ethiopia, which at the time was thought to be closer to India than it actually is, under the aegis of Albuquerque. After failing to reach Ethiopia, he managed to land the envoys in Filuk. After successful attacks on Arab cities on the East African coast, the expedition conquered the island of Socotra and built a fortress at Suq, hoping to establish a base to stop the Red Sea commerce to the Indian Ocean. However, Socotra was abandoned four years later, as it was eventually realised to be a poor location for a base. At Socotra, they parted ways: Tristão da Cunha sailed for India, where he would relieve the Portuguese besieged at Cannanore, while Afonso took seven ships and 500 men to Ormuz in the Persian Gulf, one of the chief eastern centers of commerce. On his way, he conquered the cities of Curiati (Kuryat), Muscat in July 1507, and Khor Fakkan, accepting the submission of the cities of Kalhat and Sohar. He arrived at Hormuz on 25 September and soon captured the city, which agreed to become a tributary state of the Portuguese king. Ormuz was then a tributary state of Shah Ismail of Persia. In a famous episode, shortly after its conquest, Albuquerque was confronted by Persian envoys, who demanded the payment of the due tribute from him instead. He ordered them to be given a stock of cannonballs, arrows and weapons, retorting that "such was the currency struck in Portugal to pay the tribute demanded from the dominions of King Manuel". According to Brás de Albuquerque, it was Shah Ismael who first addressed Albuquerque as "Lion of the seas". Afonso began building the Fort of Our Lady of Victory (later renamed Fort of Our Lady of the Conception) on Hormuz Island, engaging his men of all ranks in the work. However, some of his officers, claiming that Afonso was exceeding his orders, revolted against the heavy work and climate and departed for India. With his fleet reduced to two ships and left without supplies, he was unable to maintain his position. In January 1508, he was forced to abandon Ormuz. He raided coastal villages to resupply the settlement of Socotra, returned to Ormuz, and then headed to India. Arrest at Cannanore, 1509 Afonso arrived at Cannanore on the Malabar coast in December 1508, where he opened the sealed letter that he had received from the king before the viceroy, Dom Francisco de Almeida, which named him as governor to succeed Almeida. The viceroy, supported by the officers who had abandoned Afonso at Ormuz, had a matching royal order but declined to yield. He protested that his term ended only in January and stated his intention to avenge his son's death by fighting the Mamluk fleet of Mirocem, refusing Afonso's offer to fight the Mamluk fleet himself. Afonso avoided confrontation, which could have led to civil war, and moved to Kochi, India, to await further instruction from the king. Increasingly isolated, he wrote to Diogo Lopes de Sequeira, who arrived in India with a new fleet, but was ignored as Sequeira joined Almeida. At the same time, Afonso refused approaches from opponents of Almeida who encouraged him to seize power. On 3 February 1509, Almeida fought the naval Battle of Diu against a joint fleet of Mamluks, Ottomans, the Zamorin of Calicut, and the Sultan of Gujarat. His victory was decisive: the Ottomans and Mamluks abandoned the Indian Ocean, easing the way for Portuguese rule there for the next century. In August, after a petition from Afonso's former officers with the support of Diogo Lopes de Sequeira claiming him unfit for governance, Afonso was sent in custody to St. Angelo Fort in Cannanore. There he remained under what he considered as imprisonment. Governor of Portuguese India, 1509–1515 Afonso was released after three months' confinement, on the arrival at Cannanore of the Marshal of Portugal Fernando Coutinho with a large fleet sent by the king. Coutinho was the most important Portuguese noble to visit India up to that point. He brought an armada of fifteen ships and 3,000 men to defend Afonso's rights, and to take Calicut. On 4 November 1509, Afonso became the second Governor of Portuguese India, a position he would hold until his death. Almeida set off to return to Portugal, but he was killed before he got there in a skirmish with the Khoekhoe. Upon his assuming office, Afonso intended to dominate the Muslim world and control the Spice trade. Initially, King Manuel I and his council in Lisbon tried to distribute the power by outlining three areas of jurisdiction in the Indian Ocean. In 1509, the nobleman Diogo Lopes de Sequeira was sent with a fleet to Southeast Asia, to seek an agreement with Sultan Mahmud Shah of Malacca, but failed and returned to Portugal. To Jorge de Aguiar was given the region between the Cape of Good Hope and Gujarat. He was succeeded by Duarte de Lemos, but left for Cochin and then for Portugal, leaving his fleet to Afonso. Conquest of Goa, 1510 In January 1510, obeying the orders from the king and aware of the absence of the Zamorin, Afonso advanced on Calicut. The attack was initially successful, but unravelled when Marshal Coutinho, infuriated by Albuquerque's success against Calicut and desiring glory for himself, attacked the Zamorin's palace against Albuquerque's advice, and was ambushed. During the retreat, Afonso was badly wounded and was forced to flee to the ships, barely escaping with his life, while Coutinho was killed. Soon after the failed attack, Afonso assembled a fleet of 23 ships and 1200 men. Contemporary reports state that he wanted to fight the Egyptian Mamluk Sultanate fleet in the Red Sea or return to Hormuz. However, he had been informed by Timoji (a privateer in the service of the Hindu Vijayanagara Empire) that it would be easier to fight them in Goa, where they had sheltered after the Battle of Diu, and also of the illness of the Sultan Yusuf Adil Shah, and war between the Deccan sultanates. So he relied on surprise in the capture of Goa from the Sultanate of Bijapur. A first assault took place in Goa from 4 March to 20 May 1510. After the initial occupation, feeling unable to hold the city given the poor condition of its fortifications, the cooling of Hindu residents' support and insubordination among his ranks following an attack by Ismail Adil Shah, Afonso refused a truce offered by the Sultan and abandoned the city in August. His fleet was scattered, and a palace revolt in Kochi hindered his recovery, so he headed to Fort Anjediva. New ships arrived from Portugal, which were intended for the nobleman Diogo Mendes de Vasconcelos at Malacca, who had been given a rival command of the region. Three months later, on 25 November Afonso reappeared at Goa with a renovated fleet. Diogo Mendes de Vasconcelos was compelled to accompany him with the reinforcements for Malacca and about 300 Malabari reinforcements from Cannanore. In less than a day, they took Goa from Ismail Adil Shah and his Ottoman allies, who surrendered on 10 December. It is estimated that 6000 of the 9000 Muslim defenders of the city died, either in the fierce battle in the streets or by drowning while trying to escape. Afonso regained the support of the Hindu population, although he frustrated the initial expectations of Timoji, who aspired to become governor. Afonso rewarded him by appointing him chief "Aguazil" of the city, an administrator and representative of the Hindu and Muslim people, as a knowledgeable interpreter of the local customs. He then made an agreement to lower the yearly tribute. In Goa, Afonso established the first Portuguese mint in the East, after Timoja's merchants had complained of the scarcity of currency, taking it as an opportunity to solidify the territorial conquest. The new coin, based on the existing local coins, showed a cross on the obverse and an armillary sphere (or "esfera"), King Manuel's badge, on the reverse. Gold cruzados or manueis, silver esferas and alf-esferas, and bronze "leais" were issued. Albuquerque founded at Goa the Hospital Real de Goa or Royal Hospital of Goa, by the Church of Santa Catarina. Upon hearing that the doctors were extorting the sickly with excessive fees, Albuquerque summoned them, declaring that "You charge a physician's pay and don't know what disease the men who serve our lord the King suffer from. Thus, I want to teach you what is it that they die from" and put them to work building the city walls all day till nightfall before releasing them. Despite constant attacks, Goa became the center of Portuguese India, with the conquest triggering the compliance of neighbouring kingdoms: the Sultan of Gujarat and the Zamorin of Calicut sent embassies, offering alliances and local grants to fortify. Afonso then used Goa to secure the spice trade in favor of Portugal and sell Persian horses to Vijayanagara and Hindu princes in return for their assistance. Conquest of Malacca, 1511 Afonso explained to his armies why the Portuguese wanted to capture Malacca: "The King of Portugal has often commanded me to go to the Straits, because...this was the best place to intercept the trade which the Moslems...carry on in these parts. So it was to do Our Lord's service that we were brought here; by taking Malacca, we would close the Straits so that never again would the Moslems be able to bring their spices by this route.... I am very sure that, if this Malacca trade is taken out of their hands, Cairo and Mecca will be completely lost." (The Commentaries of the Great Afonso de Albuquerque) In February 1511, through a friendly Hindu merchant, Nina Chatu, Afonso received a letter from Rui de Araújo, one of the nineteen Portuguese held at Malacca since 1509. It urged moving forward with the largest possible fleet to demand their release, and gave details of the fortifications. Afonso showed it to Diogo Mendes de Vasconcelos, as an argument to advance as a joint fleet. In April 1511, after fortifying Goa, he gathered a force of about 900 Portuguese, 200 Hindu mercenaries and about eighteen ships. He then sailed to Malacca against orders and despite the protest of Diogo Mendes, who claimed command of the expedition. Afonso eventually centralized the Portuguese government in the Indian Ocean. After the Malaccan conquest, he wrote a letter to the king to explain his disagreement with Diogo Mendes, suggesting that further divisions could be harmful to the Portuguese in India. Under his command was Ferdinand Magellan, who had participated in the failed embassy of Diogo Lopes de Sequeira in 1509. After a false start towards the Red Sea, they sailed to the Strait of Malacca. It was the richest city that the Portuguese tried to take, and a focal point in the trade network where Malay traders met Gujarati, Chinese, Japanese, Javanese, Bengali, Persian and Arabic, among others, described by Tomé Pires as of invaluable richness. Despite its wealth, it was mostly a wooden-built city, with few masonry buildings but was defended by a mercenary force estimated at 20,000 men and more than 2000 pieces of artillery. Its greatest weakness was the unpopularity of the government of Sultan Mahmud Shah, who favoured Muslims, arousing dissatisfaction amongst other merchants. Afonso made a bold approach to the city, his ships decorated with banners, firing cannon volleys. He declared himself lord of all the navigation, demanded the Sultan release the prisoners and pay for damages, and demanded consent to build a fortified trading post. The Sultan eventually freed the prisoners, but was unimpressed by the small Portuguese contingent. Afonso then burned some ships at the port and four coastal buildings as a demonstration. The city being divided by the Malacca River, the connecting bridge was a strategic point, so at dawn on 25 July, the Portuguese landed and fought a tough battle, facing poisoned arrows, taking the bridge in the evening. After fruitlessly waiting for the Sultan's reaction, they returned to the ships and prepared a junk (offered by Chinese merchants), filling it with men, artillery and sandbags. Commanded by António de Abreu, it sailed upriver at high tide to the bridge. The day after, all had landed. After a fierce fight during which the Sultan appeared with an army of war elephants, the defenders were dispersed and the Sultan fled. Afonso waited for the reaction of the Sultan. Merchants approached, asking for Portuguese protection. They were given banners to mark their premises, a sign that they would not be looted. On 15 August, the Portuguese attacked again, but the Sultan had fled the city. Under strict orders, they looted the city, but respected the banners. Afonso prepared Malacca's defenses against a Malay counterattack, building a fortress, assigning his men to shifts and using stones from the mosque and the cemetery. Despite the delays caused by heat and malaria, it was completed in November 1511, its surviving door now known as "A Famosa" ('the famous'). It was possibly then that Afonso had a large stone engraved with the names of the participants in the conquest. To quell disagreements over the order of the names, he had it set facing the wall, with the single inscription Lapidem quem reprobaverunt aedificantes (Latin for "The stone the builders rejected", from David's prophecy, Psalm 118:22–23) on the front. He settled the Portuguese administration, reappointing Rui de Araújo as factor, a post assigned before his 1509 arrest, and appointing rich merchant Nina Chatu to replace the previous Bendahara. Besides assisting in the governance of the city and the first Portuguese coinage, he provided the junks for several diplomatic missions. Meanwhile, Afonso arrested and had executed the powerful Javanese merchant Utimuti Raja who, after being appointed to a position in the Portuguese administration as representative of the Javanese population, had maintained contacts with the exiled royal family. Shipwreck on the Flor de la mar, 1511 On 20 November 1511 Afonso sailed from Malacca to the coast of Malabar on the old Flor de la Mar carrack that had served to support the conquest of Malacca. Despite its unsound condition, he used it to transport the treasure amassed in the conquest, given its large capacity. He wanted to give the court of King Manuel a show of Malaccan treasures. There were also offerings from the Ayutthaya Kingdom (Thailand) to the king of Portugal, and all his own fortune. On the voyage, the Flor de la Mar was wrecked in a storm, and Afonso barely escaped drowning. Missions from Malacca Embassies to Pegu, Sumatra and Siam, 1511 Most Muslim and Gujarati merchants having fled the city, Afonso invested in diplomatic efforts demonstrating generosity to Southeast Asian merchants, like the Chinese, to encourage good relations with the Portuguese. Trade and diplomatic missions were sent to continental kingdoms: Rui Nunes da Cunha was sent to Pegu (Burma), from where King Binyaram sent back a friendly emissary to Kochi in 1514 and Sumatra, Sumatran kings of Kampar and Indragiri sending emissaries to Afonso accepting the new power, as vassal states of Malacca. Knowing of Siamese ambitions over Malacca, Afonso sent Duarte Fernandes in a diplomatic mission to the Ayutthaya Kingdom (Thailand), returning in a Chinese junk. He was one of the Portuguese who had been arrested in Malacca, having gathered knowledge about the culture of the region. There he was the first European to arrive, establishing amicable relations between the kingdom of Portugal and the court of the king of Siam Ramathibodi II, returning with a Siamese envoy bearing gifts and letters to Afonso and the king of Portugal. Expedition to the "spice islands" (Maluku islands), 1512 In November, after having secured Malacca and learning the location of the then secret "spice islands", Afonso sent three ships to find them, led by trusted António de Abreu with deputy commander Francisco Serrão. Malay sailors were recruited to guide them through Java, the Lesser Sunda Islands and the Ambon Island to Banda Islands, where they arrived in early 1512. There they remained for a month, buying and filling their ships with nutmeg and cloves. António de Abreu then sailed to Amboina whilst Serrão sailed towards the Moluccas, but he was shipwrecked near Seram. Sultan Abu Lais of Ternate heard of their stranding, and, seeing a chance to ally himself with a powerful foreign nation, brought them to Ternate in 1512 where they were permitted to build a fort on the island, the , built in 1522. Return to Cochin and Goa Afonso returned from Malacca to Cochin, but could not sail to Goa as it faced a serious revolt headed by the forces of Ismael Adil Shah, the Sultan of Bijapur, commanded by Rasul Khan and his countrymen. During Afonso's absence from Malacca, the Portuguese who opposed the taking of Goa had waived its possession, even writing to the king that it would be best to let it go. Held up by the monsoon and with few forces available, Afonso had to wait for the arrival of reinforcement fleets headed by his nephew D. Garcia de Noronha, and Jorge de Mello Pereira. While at Cochin, Albuquerque started a school. In a private letter to King Manuel I, he stated that he had found a chest full of books with which to teach the children of married Portuguese settlers (casados) and Christian converts, of which there were about a hundred, to read and write. On 10 September 1512, Afonso sailed from Cochin to Goa with fourteen ships carrying 1,700 soldiers. Determined to recapture the fortress, he ordered trenches dug and a wall breached. But on the day of the planned final assault, Rasul Khan surrendered. Afonso demanded the fort be handed over with its artillery, ammunition and horses, and the deserters to be given up. Some had joined Rasul Khan when the Portuguese were forced to flee Goa in May 1510, others during the recent siege. Rasul Khan consented, on condition that their lives be spared. Afonso agreed and he left Goa. He did spare the lives of the deserters, but had them horribly mutilated. One such renegade was Fernão Lopes, bound for Portugal in custody, who escaped at the island of Saint Helena and led a 'Robinson Crusoe' life for many years. After such measures the town became the most prosperous Portuguese settlement in India. Campaign in the Red Sea, 1513 In December 1512 an envoy from Ethiopia arrived at Goa. Mateus was sent by the regent queen Eleni, following the arrival of the Portuguese from Socotra in 1507, as an ambassador for the king of Portugal in search of a coalition to help face growing Muslim influence. He was received in Goa with great honour by Afonso, as a long-sought "Prester John" envoy. His arrival was announced by King Manuel to Pope Leo X in 1513. Although Mateus faced the distrust of Afonso's rivals, who tried to prove he was some impostor or Muslim spy, Afonso sent him to Portugal. The king is described as having wept with joy at their report. In February 1513, while Mateus was in Portugal, Afonso sailed to the Red Sea with a force of about 1000 Portuguese and 400 Malabaris. He was under orders to secure that channel for Portugal. Socotra had proved ineffective to control the Red Sea entrance and was abandoned, and Afonso's hint that Massawa could be a good Portuguese base might have been influenced by Mateus' reports. Knowing that the Mamluks were preparing a second fleet at Suez, he wanted to advance before reinforcements arrived in Aden, and accordingly laid siege to the city. Aden was a fortified city, but although he had scaling ladders they broke during the chaotic attack. After half a day of fierce battle, Afonso was forced to retreat. He cruised the Red Sea inside the Bab al-Mandab, with the first European fleet to have sailed this route. He attempted to reach Jeddah, but the winds were unfavourable and so he sheltered at Kamaran island in May, until sickness among the men and lack of fresh water forced him to retreat. In August 1513, after a second attempt to reach Aden, he returned to India with no substantial results. In order to destroy the power of Egypt, he wrote to King Manuel of the idea of diverting the course of the Nile river to render the whole country barren. He also intended to steal the body of the Islamic prophet, Muhammad, and hold it for ransom until all Muslims had left the Holy Land. Although Albuquerque's expedition failed to reach Suez, such an incursion into the Red Sea by a Christian fleet for the first time in history stunned the Muslim world, and panic spread in Cairo. Submission of Calicut Albuquerque achieved during his term a favourable end to hostilities between the Portuguese and the Zamorin of Calicut, which had lasted since the massacre of the Portuguese in Calicut in 1502. As naval trade faltered and vassals defected, with no foreseeable solutions to the conflict with the Portuguese, the court of the Zamorin fell to in-fighting. The ruling Zamorin was assassinated and replaced by a rival, under the instigation of Albuquerque, permitting peace talks to commence. The Portuguese were allowed to build a fortress in Calicut itself, and acquired rights to obtain as much pepper and ginger as they wished, at stipulated prices, and half the customs duties of Calicut as yearly tribute. Construction of the fortress began immediately, under the supervision of chief architect Tomás Fernandes. Administration and diplomacy in Goa, 1514 With peace concluded, in 1514 Afonso devoted himself to governing Goa and receiving embassies from Indian governors, strengthening the city and encouraging marriages of Portuguese men and local women. At that time, Portuguese women were barred from traveling overseas in order to maintain discipline among the men on board the ships. In 1511 under a policy which Afonso promulgated, the Portuguese government encouraged their explorers to marry local women. To promote settlement, the King of Portugal granted freeman status and exemption from Crown taxes to Portuguese men (known as casados, or "married men") who ventured overseas and married local women. With Afonso's encouragement, mixed marriages flourished, giving birth to Portuguese-Indians or mestiços. He appointed local people for positions in the Portuguese administration and did not interfere with local traditions (except "sati", the practice of immolating widows, which he banned). In March 1514 King Manuel sent to Pope Leo X a huge and exotic embassy led by Tristão da Cunha, who toured the streets of Rome in an extravagant procession of animals from the colonies and wealth from the Indies. His reputation reached its peak, laying foundations of the Portuguese Empire in the East. In early 1514, Afonso sent ambassadors to Gujarat's Sultan Muzaffar Shah II, ruler of Cambay, to seek permission to build a fort on Diu, India. The mission returned without an agreement, but diplomatic gifts were exchanged, including an Indian rhinoceros, Afonso sent the rhino to King Manuel, making it the first living example of a rhinoceros seen in Europe since the Roman Empire. Conquest of Ormuz and Illness In 1513, at Cannanore, Afonso was visited by a Persian ambassador from Shah Ismail I, who had sent ambassadors to Gujarat, Ormuz and Bijapur. The shah's ambassador to Bijapur invited Afonso to send back an envoy to Persia. Miguel Ferreira was sent via Ormuz to Tabriz, where he had several interviews with the shah about common goals of defeating the Mamluk sultan. At the same time, Albuquerque decided to conclude the effective conquest of Hormuz. He had learned that after the Portuguese retreat in 1507, a young king was reigning under the influence of a powerful Persian vizier, Reis Hamed, whom the king greatly feared. At Ormuz in March 1515, Afonso met the king and asked the vizier to be present. He then had him immediately stabbed and killed by his entourage, thus "freeing" the terrified king, so the island in the Persian Gulf yielded to him without resistance and remained a vassal state of the Portuguese Empire. Ormuz itself would not be Persian territory for another century, until an English-Persian alliance finally expelled the Portuguese in 1622. At Ormuz, Afonso met with Miguel Ferreira, returning with rich presents and an ambassador, carrying a letter from the Persian potentate Shah Ismael, inviting Afonso to become a leading lord in Persia. There he remained, engaging in diplomatic efforts, receiving envoys and overseeing the construction of the new fortress, while becoming increasingly ill. His illness was reported as early as September 1515. In November 1515, he embarked on a journey back to Goa. Death At this time, his political enemies at the Portuguese court were planning his downfall. They had lost no opportunity in stirring up the jealousy of King Manuel against him, insinuating that Afonso intended to usurp power in Portuguese India. While on his return voyage from Ormuz in the Persian Gulf, near the harbor of Chaul, he received news of a Portuguese fleet arriving from Europe, bearing dispatches announcing that he was to be replaced by his personal foe, Lopo Soares de Albergaria. Realizing the plot that his enemies had moved against him, profoundly disillusioned, he voiced his bitterness: "Grave must be my sins before the King, for I am in ill favor with the King for love of the men, and with the men for love of the King." Feeling himself near death, he donned the surcoat of the Order of Santiago, of which he was a knight, and drew up his will, appointed the captain and senior officials of Ormuz, and organized a final council with his captains to decide the main matters affecting the Portuguese State of India. He wrote a brief letter to King Manuel, asking him to confer onto his natural son "all of the high honors and rewards" that Afonso had received, and assuring Manuel of his loyalty. On 16 December 1515, Afonso de Albuquerque died within sight of Goa. As his death was known, in the city "great wailing arose", and many took to the streets to witness his body carried on a chair by his main captains, in a procession lit by torches amidst the crowd. Afonso's body was buried in Goa, according to his will, in the Church of Nossa Senhora da Serra (Our Lady of the Hill), which he had been built in 1513 to thank the Madonna for his escape from Kamaran island. That night, the population of Goa, both Hindu and Portuguese, gathered to mourn his death. In Portugal, King Manuel's zigzagging policies continued, still trapped by the constraints of real-time medieval communication between Lisbon and India and unaware that Afonso was dead. Hearing rumours that the Mamluk Sultan of Egypt was preparing a magnificent army at Suez to prevent the conquest of Ormuz, he repented of having replaced Afonso, and in March 1516 urgently wrote to Albergaria to return the command of all operations to Afonso and provide him with resources to face the Egyptian threat. He organized a new Portuguese navy in Asia, with orders that Afonso (if he was still in India), be made commander-in-chief against the Sultan of Cairo's armies. Manuel would afterwards learn that Afonso had died many months earlier, and that his reversed decision had been delivered many months too late. After 51 years, in 1566, his body was moved to Nossa Senhora da Graça church in Lisbon, which was ruined and rebuilt after the 1755 Great Lisbon earthquake. Legacy King Manuel I of Portugal was belatedly convinced of Afonso's loyalty, and endeavoured to atone for his lack of confidence in Afonso by heaping honours upon his son, Brás de Albuquerque (1500–1580), whom he renamed "Afonso" in memory of the father. Afonso de Albuquerque was a prolific writer, having sent numerous letters during his governorship, covering topics from minor issues to major strategies. In 1557 his son published his biography under the title Commentarios do Grande Affonso d'Alboquerque. In 1572, Afonso's actions were described in The Lusiads, the Portuguese main epic poem by Luís Vaz de Camões (Canto X, strophes 40–49). The poet praises his achievements, but has the muses frown upon the harsh rule of his men, of whom Camões was almost a contemporary fellow. In 1934, Afonso was celebrated by Fernando Pessoa in Mensagem, a symbolist epic. In the first part of this work, called "Brasão" (Coat-of-Arms), he relates Portuguese historical protagonists to each of the fields in the Portuguese coat-of-arms, Afonso being one of the wings of the griffin headed by Henry the Navigator, the other wing being King John II. A variety of mango, which was created by Portuguese Jesuits in Goa via grafting techniques, was named in his honour. Numerous homages have been paid to Afonso; he is featured in the Padrão dos Descobrimentos monument; there is a square named after him in Lisbon, which also features a bronze statue, and two Portuguese Navy ships have been named in his honour: the sloop NRP Afonso de Albuquerque (1884) and the warship NRP Afonso de Albuquerque. Titles and honours Captain-Major of the Sea of Arabia 2nd Governor of India 1st Duke of Goa A knight of the Portuguese Order of Saint James of the Sword Fidalgo of the Royal Household Notes References Citations Bibliography In other languages Albuquerque, Afonso de, D. Manuel I, António Baião, "Cartas para el-rei d". Manuel I", Editora Livraria Sá de Costa (1957) Primary sources External links Paul Lunde, The coming of the Portuguese, 2006, Saudi Aramco World Works of Afonso de Albuquerque at the National Digital Library of Portugal Portuguese explorers Explorers of Asia Explorers of India Viceroys of Portuguese India Date of birth unknown 1450s births 1515 deaths Portuguese admirals Portuguese colonial governors and administrators Portuguese generals Portuguese Renaissance writers Portuguese Roman Catholics People from Vila Franca de Xira Colonial Goa Colonial Kerala Maritime history of Portugal Portuguese in Kerala History of Kollam Shipwreck survivors 1510s in Portuguese India 16th-century Portuguese people Portuguese nobility
1577
https://en.wikipedia.org/wiki/Alcaeus%20of%20Mytilene
Alcaeus of Mytilene
Alcaeus of Mytilene (; , Alkaios ho Mutilēnaios; – BC) was a lyric poet from the Greek island of Lesbos who is credited with inventing the Alcaic stanza. He was included in the canonical list of nine lyric poets by the scholars of Hellenistic Alexandria. He was a contemporary of Sappho, with whom he may have exchanged poems. He was born into the aristocratic governing class of Mytilene, the main city of Lesbos, where he was involved in political disputes and feuds. Biography The broad outlines of the poet's life are well known. He was born into the aristocratic, warrior class that dominated Mytilene, the strongest city-state on the island of Lesbos and, by the end of the seventh century BC, the most influential of all the North Aegean Greek cities, with a strong navy and colonies securing its trade-routes in the Hellespont. The city had long been ruled by kings born to the Penthilid clan but, during the poet's life, the Penthilids were a spent force and rival aristocrats and their factions contended with each other for supreme power. Alcaeus and his older brothers were passionately involved in the struggle but experienced little success. Their political adventures can be understood in terms of three tyrants who came and went in succession: Melanchrus – he was overthrown sometime between 612 BC and 609 BC by a faction that, in addition to the brothers of Alcaeus, included Pittacus (later renowned as one of the Seven Sages of Greece); Alcaeus at that time was too young to be actively involved; Myrsilus – it is not known when he came to power but some verses by Alcaeus (frag. 129) indicate that the poet, his brothers and Pittacus made plans to overthrow him and that Pittacus subsequently betrayed them; Alcaeus and his brothers fled into exile where the poet later wrote a drinking song in celebration of the news of the tyrant's death (frag. 332); Pittacus – the dominant political figure of his time, he was voted supreme power by the political assembly of Mytilene and appears to have governed well (590-580 BC), even allowing Alcaeus and his faction to return home in peace. Sometime before 600 BC, Mytilene fought Athens for control of Sigeion and Alcaeus was old enough to participate in the fighting. According to the historian Herodotus, the poet threw away his shield to make good his escape from the victorious Athenians then celebrated the occasion in a poem that he later sent to his friend, Melanippus. It is thought that Alcaeus travelled widely during his years in exile, including at least one visit to Egypt. His older brother, Antimenidas, appears to have served as a mercenary in the army of Nebuchadnezzar II and probably took part in the conquest of Askelon. Alcaeus wrote verses in celebration of Antimenides' return, including mention of his valour in slaying the larger opponent (frag. 350), and he proudly describes the military hardware that adorned their family home (frag. 357). Alcaeus was a contemporary and a countryman of Sappho and, since both poets composed for the entertainment of Mytilenean friends, they had many opportunities to associate with each other on a quite regular basis, such as at the Kallisteia, an annual festival celebrating the island's federation under Mytilene, held at the 'Messon' (referred to as temenos in frs. 129 and 130), where Sappho performed publicly with female choirs. Alcaeus' reference to Sappho in terms more typical of a divinity, as holy/pure, honey-smiling Sappho (fr. 384), may owe its inspiration to her performances at the festival. The Lesbian or Aeolic school of poetry "reached in the songs of Sappho and Alcaeus that high point of brilliancy to which it never after-wards approached" and it was assumed by later Greek critics and during the early centuries of the Christian era that the two poets were in fact lovers, a theme which became a favourite subject in art (as in the urn pictured above). Poetry The poetic works of Alcaeus were collected into ten books, with elaborate commentaries, by the Alexandrian scholars Aristophanes of Byzantium and Aristarchus of Samothrace sometime in the 3rd century BC, and yet his verses today exist only in fragmentary form, varying in size from mere phrases, such as wine, window into a man (fr. 333) to entire groups of verses and stanzas, such as those quoted below (fr. 346). Alexandrian scholars numbered him in their canonic nine (one lyric poet per Muse). Among these, Pindar was held by many ancient critics to be pre-eminent, but some gave precedence to Alcaeus instead. The canonic nine are traditionally divided into two groups, with Alcaeus, Sappho and Anacreon, being 'monodists' or 'solo-singers', with the following characteristics: They composed and performed personally for friends and associates on topics of immediate interest to them; They wrote in their native dialects (Alcaeus and Sappho in Aeolic dialect, Anacreon in Ionic); They preferred quite short, metrically simple stanzas or 'strophes' which they re-used in many poems – hence the 'Alcaic' and 'Sapphic' stanzas, named after the two poets who perfected them or possibly invented them. The other six of the canonic nine composed verses for public occasions, performed by choruses and professional singers and typically featuring complex metrical arrangements that were never reproduced in other verses. However, this division into two groups is considered by some modern scholars to be too simplistic and often it is practically impossible to know whether a lyric composition was sung or recited, or whether or not it was accompanied by musical instruments and dance. Even the private reflections of Alcaeus, ostensibly sung at dinner parties, still retain a public function. Critics often seek to understand Alcaeus in comparison with Sappho: The Roman poet, Horace, also compared the two, describing Alcaeus as "more full-throatedly singing" – see Horace's tribute below. Alcaeus himself seems to underscore the difference between his own 'down-to-earth' style and Sappho's more 'celestial' qualities when he describes her almost as a goddess (as cited above), and yet it has been argued that both poets were concerned with a balance between the divine and the profane, each emphasising different elements in that balance. Dionysius of Halicarnassus exhorts us to "Observe in Alcaeus the sublimity, brevity and sweetness coupled with stern power, his splendid figures, and his clearness which was unimpaired by the dialect; and above all mark his manner of expressing his sentiments on public affairs", while Quintilian, after commending Alcaeus for his excellence "in that part of his works where he inveighs against tyrants and contributes to good morals; in his language he is concise, exalted, careful and often like an orator"; goes on to add: "but he descended into wantonness and amours, though better fitted for higher things". Poetic genres The works of Alcaeus are conventionally grouped according to five genres. Political songs: Alcaeus often composed on a political theme, covering the power struggles on Lesbos with the passion and vigour of a partisan, cursing his opponents, rejoicing in their deaths, delivering blood-curdling homilies on the consequences of political inaction and exhorting his comrades to heroic defiance, as in one of his 'ship of state' allegories. Commenting on Alcaeus as a political poet, the scholar Dionysius of Halicarnassus once observed that "if you removed the meter you would find political rhetoric". Drinking songs: According to the grammarian Athenaeus, Alcaeus made every occasion an excuse for drinking and he has provided posterity several quotes in proof of it. Alcaeus exhorts his friends to drink in celebration of a tyrant's death, to drink away their sorrows, to drink because life is short and along the lines in vino veritas, to drink through winter storms and to drink through the heat of summer. The latter poem in fact paraphrases verses from Hesiod, re-casting them in Asclepiad meter and Aeolian dialect. Hymns: Alcaeus sang about the gods in the spirit of the Homeric hymns, to entertain his companions rather than to glorify the gods and in the same meters that he used for his 'secular' lyrics. There are for example fragments in 'Sapphic' meter praising the Dioscuri, Hermes and the river Hebrus (a river significant in Lesbian mythology since it was down its waters that the head of Orpheus was believed to have floated singing, eventually crossing the sea to Lesbos and ending up in a temple of Apollo, as a symbol of Lesbian supremacy in song). According to Porphyrion, the hymn to Hermes was imitated by Horace in one of his own 'sapphic' odes (C.1.10: Mercuri, facunde nepos Atlantis). Love songs: Almost all Alcaeus' amorous verses, mentioned with disapproval by Quintilian above, have vanished without trace. There is a brief reference to his love poetry in a passage by Cicero. Horace, who often wrote in imitation of Alcaeus, sketches in verse one of the Lesbian poet's favourite subjects – Lycus of the black hair and eyes (C.1.32.11–12: nigris oculis nigroque/crine decorum). It is possible that Alcaeus wrote amorously about Sappho, as indicated in an earlier quote. Miscellaneous: Alcaeus wrote on such a wide variety of subjects and themes that contradictions in his character emerge. The grammarian Athenaeus quoted some verses about perfumed ointments to prove just how unwarlike Alcaeus could be and he quoted his description of the armour adorning the walls of his house as proof that he could be unusually warlike for a lyric poet. Other examples of his readiness for both warlike and unwarlike subjects are lyrics celebrating his brother's heroic exploits as a Babylonian mercenary and lyrics sung in a rare meter (Sapphic Ionic in minore) in the voice of a distressed girl, "Wretched me, who share in all ills!" – possibly imitated by Horace in an ode in the same meter (C.3.12: Miserarum est neque amori dare ludum neque dulci). He also wrote Sapphic stanzas on Homeric themes but in un-Homeric style, comparing Helen of Troy unfavourably with Thetis, the mother of Achilles. A drinking poem (fr. 346) The following verses demonstrate some key characteristics of the Alcaic style (square brackets indicate uncertainties in the ancient text): The Greek meter here is relatively simple, comprising the Greater Asclepiad, adroitly used to convey, for example, the rhythm of jostling cups (). The language of the poem is typically direct and concise and comprises short sentences — the first line is in fact a model of condensed meaning, comprising an exhortation ("Let's drink!"), a rhetorical question ("Why are we waiting for the lamps?") and a justifying statement ("Only an inch of daylight left"). The meaning is clear and uncomplicated, the subject is drawn from personal experience, and there is an absence of poetic ornament, such as simile or metaphor. Like many of his poems (e.g., frs. 38, 326, 338, 347, 350), it begins with a verb (in this case "Let's drink!") and it includes a proverbial expression ("Only an inch of daylight left") though it is possible that he coined it himself. A hymn (fr. 34) Alcaeus rarely used metaphor or simile and yet he had a fondness for the allegory of the storm-tossed ship of state. The following fragment of a hymn to Castor and Polydeuces (the Dioscuri) is possibly another example of this though some scholars interpret it instead as a prayer for a safe voyage. The poem was written in Sapphic stanzas, a verse form popularly associated with his compatriot, Sappho, but in which he too excelled, here paraphrased in English to suggest the same rhythms. There were probably another three stanzas in the original poem but only nine letters of them remain. The 'far-away light' () is a reference to St. Elmo's Fire, an electrical discharge supposed by ancient Greek mariners to be an epiphany of the Dioscuri, but the meaning of the line was obscured by gaps in the papyrus until reconstructed by a modern scholar; such reconstructions are typical of the extant poetry (see Scholars, fragments and sources below). This poem does not begin with a verb but with an adverb (Δευτέ) but still communicates a sense of action. He probably performed his verses at drinking parties for friends and political allies – men for whom loyalty was essential, particularly in such troubled times. Tributes from other poets Horace The Roman poet Horace modelled his own lyrical compositions on those of Alcaeus, rendering the Lesbian poet's verse-forms, including 'Alcaic' and 'Sapphic' stanzas, into concise Latin – an achievement he celebrates in his third book of odes. In his second book, in an ode composed in Alcaic stanzas on the subject of an almost fatal accident he had on his farm, he imagines meeting Alcaeus and Sappho in Hades: Ovid Ovid compared Alcaeus to Sappho in Letters of the Heroines, where Sappho is imagined to speak as follows: Scholars, fragments and sources The story of Alcaeus is partly the story of the scholars who rescued his work from oblivion. His verses have not come down to us through a manuscript tradition – generations of scribes copying an author's collected works, such as delivered intact into the modern age four entire books of Pindar's odes – but haphazardly, in quotes from ancient scholars and commentators whose own works have chanced to survive, and in the tattered remnants of papyri uncovered from an ancient rubbish pile at Oxyrhynchus and other locations in Egypt: sources that modern scholars have studied and correlated exhaustively, adding little by little to the world's store of poetic fragments. Ancient scholars quoted Alcaeus in support of various arguments. Thus for example Heraclitus "The Allegorist" quoted fr. 326 and part of fr. 6, about ships in a storm, in his study on Homer's use of allegory. The hymn to Hermes, fr308(b), was quoted by Hephaestion and both he and Libanius, the rhetorician, quoted the first two lines of fr. 350, celebrating the return from Babylon of Alcaeus' brother. The rest of fr. 350 was paraphrased in prose by the historian/geographer Strabo. Many fragments were supplied in quotes by Athenaeus, principally on the subject of wine-drinking, but fr. 333, "wine, window into a man", was quoted much later by the Byzantine grammarian, John Tzetzes. The first 'modern' publication of Alcaeus' verses appeared in a Greek and Latin edition of fragments collected from the canonic nine lyrical poets by Michael Neander, published at Basle in 1556. This was followed by another edition of the nine poets, collected by Henricus Stephanus and published in Paris in 1560. Fulvius Ursinus compiled a fuller collection of Alcaic fragments, including a commentary, which was published at Antwerp in 1568. The first separate edition of Alcaeus was by Christian David Jani and it was published at Halle in 1780. The next separate edition was by August Matthiae, Leipzig 1827. Some of the fragments quoted by ancient scholars were able to be integrated by scholars in the nineteenth century. Thus for example two separate quotes by Athenaeus were united by Theodor Bergk to form fr. 362. Three separate sources were combined to form fr. 350, as mentioned above, including a prose paraphrase from Strabo that first needed to be restored to its original meter, a synthesis achieved by the united efforts of Otto Hoffmann, Karl Otfried Müller and Franz Heinrich Ludolf Ahrens. The discovery of the Oxyrhynchus papyri towards the end of the nineteenth century dramatically increased the scope of scholarly research. In fact, eight important fragments have now been compiled from papyri – frs. 9, 38A, 42, 45, 34, 129, 130 and most recently S262. These fragments typically feature lacunae or gaps that scholars fill with 'educated guesses', including for example a "brilliant supplement" by Maurice Bowra in fr. 34, a hymn to the Dioscuri that includes a description of St. Elmo's fire in the ship's rigging. Working with only eight letters (; tr. pró...tr...ntes), Bowra conjured up a phrase that develops the meaning and the euphony of the poem (; tr. próton' ontréchontes), describing luminescence "running along the forestays". References Sources Sappho et Alcaeus. Fragmenta. Eva-Maria Voigt (ed.). Polak and van Gennep, Amsterdam, 1971. Greek Lyric Poetry. D.A. Campbell (ed.). Bristol Classical Press, London, 1982. Greek Lyric 1: Sappho and Alcaeus. D. A. Campbell (ed.). Harvard University Press, Cambridge, Mass., 1982. Alcée. Fragments. Gauthier Liberman (ed.). Collection Budé, Paris, 1999. Sappho and the Greek Lyric Poets. Translated by Willis Barnstone. Schoken Books Inc., New York, 1988. External links Poems by Alcaeus – English translations A. M. Miller, Greek Lyric: – Alcaeus, many fragments Alcaeus Bilingual Anthology (in Greek and English, side by side) 620s BC births Year of birth unknown 6th-century BC deaths Year of death unknown Nine Lyric Poets Aeolic Greek poets Ancient Greek political refugees Ancient Mytileneans Poets from ancient Lesbos 6th-century BC Greek people 6th-century BC poets
1583
https://en.wikipedia.org/wiki/Ealdred%20%28archbishop%20of%20York%29
Ealdred (archbishop of York)
Ealdred (or Aldred; died 11 September 1069) was Abbot of Tavistock, Bishop of Worcester, and Archbishop of York in early medieval England. He was related to a number of other ecclesiastics of the period. After becoming a monk at the monastery at Winchester, he was appointed Abbot of Tavistock Abbey in around 1027. In 1046 he was named to the Bishopric of Worcester. Ealdred, besides his episcopal duties, served Edward the Confessor, the King of England, as a diplomat and as a military leader. He worked to bring one of the king's relatives, Edward the Exile, back to England from Hungary to secure an heir for the childless king. In 1058 he undertook a pilgrimage to Jerusalem, the first bishop from England to do so. As administrator of the Diocese of Hereford, he was involved in fighting against the Welsh, suffering two defeats at the hands of raiders before securing a settlement with Gruffydd ap Llywelyn, a Welsh ruler. In 1060, Ealdred was elected to the archbishopric of York but had difficulty in obtaining papal approval for his appointment, managing to do so only when he promised not to hold the bishoprics of York and Worcester simultaneously. He helped secure the election of Wulfstan as his successor at Worcester. During his archiepiscopate, he built and embellished churches in his diocese, and worked to improve his clergy by holding a synod which published regulations for the priesthood. Some sources say that following King Edward the Confessor's death in 1066, it was Ealdred who crowned Harold Godwinson as King of England. Ealdred supported Harold as king, but when Harold was defeated at the Battle of Hastings, Ealdred backed Edgar the Ætheling and then endorsed King William the Conqueror, the Duke of Normandy and a distant relative of King Edward's. Ealdred crowned King William on Christmas Day in 1066. William never quite trusted Ealdred or the other English leaders, and Ealdred had to accompany William back to Normandy in 1067, but he had returned to York by the time of his death in 1069. Ealdred supported the churches and monasteries in his diocese with gifts and building projects. Early life Ealdred was probably born in the west of England, and could be related to Lyfing, his predecessor as bishop of Worcester. His family, from Devonshire, may have been well-to-do. Another relative was Wilstan or Wulfstan, who under Ealdred's influence became Abbot of Gloucester. Ealdred was a monk in the cathedral chapter at Winchester Cathedral before becoming abbot of Tavistock Abbey about 1027, an office he held until about 1043. Even after leaving the abbacy of Tavistock, he continued to hold two properties from the abbey until his death. No contemporary documents relating to Ealdred's time as abbot have been discovered. Ealdred was made bishop of Worcester in 1046, a position he held until his resignation in 1062. He may have acted as suffragan, or subordinate bishop, to his predecessor Lyfing before formally assuming the bishopric, as from about 1043 Ealdred witnessed as an episcopus, or bishop, and a charter from 1045 or early 1046 names Sihtric as abbot of Tavistock. Lyfing died on 26 March 1046, and Ealdred became bishop of Worcester shortly after. However, Ealdred did not receive the other two dioceses Lyfing had held, Crediton and Cornwall; King Edward the Confessor (reigned 1043–1066) granted these to Leofric, who combined the two sees at Crediton in 1050. Bishop and royal advisor Ealdred was an advisor to King Edward the Confessor, and was often involved in the royal government. He was also a military leader, and in 1046 he led an unsuccessful expedition against the Welsh. This was in retaliation for a raid led by the Welsh rulers Gruffydd ap Rhydderch, Rhys ap Rhydderch, and Gruffydd ap Llywelyn. Ealdred's expedition was betrayed by some Welsh soldiers who were serving with the English, and Ealdred was defeated. In 1050, Ealdred went to Rome "on the king's errand", apparently to secure papal approval to move the seat, or centre, of the bishopric of Crediton to Exeter. It may also have been to secure the release of the king from a vow to go on pilgrimage, if sources from after the Norman Conquest are to be believed. While in Rome, he attended a papal council, along with his fellow English bishop Herman. That same year, as Ealdred was returning to England he met Sweyn, a son of Godwin, Earl of Wessex, and probably absolved Sweyn for having abducted the abbess of Leominster Abbey in 1046. Through Ealdred's intercession, Sweyn was restored to his earldom, which he had lost after abducting the abbess and murdering his cousin Beorn Estrithson. Ealdred helped Sweyn not only because Ealdred was a supporter of Earl Godwin's family but because Sweyn's earldom was close to his bishopric. As recently as 1049 Irish raiders had allied with Gruffydd ap Rhydderch of Gwent in raiding along the River Usk. Ealdred unsuccessfully tried to drive off the raiders, but was again routed by the Welsh. This failure underscored Ealdred's need for a strong earl in the area to protect against raids. Normally, the bishop of Hereford would have led the defence in the absence of an Earl of Hereford, but in 1049 the incumbent, Æthelstan, was blind, so Ealdred took on the role of defender. Diplomatic travels Earl Godwin's rebellion against the king in 1051 came as a blow to Ealdred, who was a supporter of the earl and his family. Ealdred was present at the royal council at London that banished Godwin's family. Later in 1051, when he was sent to intercept Harold Godwinson and his brothers as they fled England after their father's outlawing, Ealdred "could not, or would not" capture the brothers. The banishment of Ealdred's patron came shortly after the death of Ælfric Puttoc, the Archbishop of York. York and Worcester had long had close ties, and the two sees had often been held in plurality, or at the same time. Ealdred probably wanted to become Archbishop of York after Ælfric's death, but his patron's eclipse led to the king appointing Cynesige, a royal chaplain, instead. In September 1052, though, Godwin returned from exile and his family was restored to power. By late 1053 Ealdred was once more in royal favour. At some point, he was alleged to have accompanied Swein on a pilgrimage to the Holy Land, but proof is lacking. In 1054 King Edward sent Ealdred to Germany to obtain Emperor HenryIII's help in returning Edward the Exile, son of Edmund Ironside, to England. Edmund (reigned 1016) was an elder half-brother of King Edward the Confessor, and Edmund's son Edward was in Hungary with King AndrewI, having left England as an infant after his father's death and the accession of Cnut as King of England. In this mission Ealdred was somewhat successful and obtained insight into the working of the German church during a stay of a year with HermannII, the Archbishop of Cologne. He also was impressed with the buildings he saw, and later incorporated some of the German styles into his own constructions. The main objective of the mission, however, was to secure the return of Edward; but this failed, mainly because HenryIII's relations with the Hungarians were strained, and the emperor was unable or unwilling to help Ealdred. Ealdred was able to discover that Edward was alive, and had a place at the Hungarian court. Although some sources say Ealdred attended the coronation of Emperor HenryIV, this is not possible, as on the date Henry was crowned, Ealdred was in England consecrating an abbot. Ealdred had returned to England by 1055, and brought with him a copy of the Pontificale Romano-Germanicum, a set of liturgies. An extant copy of this work, currently manuscript Cotton Vitellus E xii, has been identified as a copy owned by Ealdred. It appears likely that the Rule of Chrodegang, a continental set of ordinances for the communal life of secular canons, was introduced into England by Ealdred sometime before 1059. Probably he brought it back from Germany, possibly in concert with Harold. After Ealdred's return to England he took charge of the sees of Hereford and Ramsbury. Ealdred also administered Winchcombe Abbey and Gloucester Abbey. The authors of the Handbook of British Chronology Third Edition say he was named bishop of Hereford in 1056, holding the see until he resigned it in 1060, but other sources say he merely administered the see while it was vacant, or that he was bishop of Hereford from 1055 to 1060. Ealdred became involved with the see of Ramsbury after its bishop Herman got into a dispute with King Edward over the movement of the seat of his bishopric to Malmesbury Abbey. Herman wished to move the seat of his see, but Edward refused permission for the move. Ealdred was a close associate of Herman's, and the historian H. R. Loyn called Herman "something of an alter ego" to Ealdred. According to the medieval chronicler John of Worcester, Ealdred was given the see of Ramsbury to administer while Herman remained outside England. Herman returned in 1058, and resumed his bishopric. There is no contemporary documentary evidence of Ealdred's administration of Ramsbury. Welsh affairs, Jerusalem, and Worcester The king again employed Ealdred as a diplomat in 1056, when he assisted Earls Harold and Leofric in negotiations with the Welsh. Edward sent Ealdred after the death in battle of Bishop Leofgar of Hereford, who had attacked Gruffydd ap Llywelyn after encouragement from the king. However, Leofgar lost the battle and his life, and Edward had to sue for peace. Although details of the negotiations are lacking, Gruffydd ap Llywelyn swore loyalty to King Edward, but the oath may not have had any obligations on Gruffydd's part to Edward. The exact terms of the submission are not known in total, but Gruffydd was not required to assist Edward in war nor attend Edward's court. Ealdred was rewarded with the administration of the see of Hereford, which he held until 1061, and was appointed Archbishop of York. The diocese had suffered a serious raid from the Welsh in 1055, and during his administration, Ealdred continued the rebuilding of the cathedral church as well as securing the cathedral chapter's rights. Ealdred was granted the administration so that the area might have someone with experience with the Welsh in charge. In 1058 Ealdred made a pilgrimage to Jerusalem, the first English bishop to make the journey. He travelled through Hungary, and the Anglo-Saxon Chronicle said that "he went to Jerusalem in such state as no-one had done before him." While in Jerusalem he made a gift of a gold chalice to the church of the Holy Sepulchre. It is possible that the reason Ealdred travelled through Hungary was to arrange the travel of Edward the Exile's family to England. Another possibility is that he wished to search for other possible heirs to King Edward in Hungary. It is not known exactly when Edward the Exile's family returned to England, whether they returned with Edward in 1057, or sometime later, so it is only a possibility that they returned with Ealdred in 1058. Very little documentary evidence is available from Ealdred's time as Bishop of Worcester. Only five leases that he signed survive, and all date from 1051 to 1053. Two further leases exist in Hemming's Cartulary as copies only. How the diocese of Worcester was administered when Ealdred was abroad is unclear, although it appears Wulfstan, the prior of the cathedral chapter, performed the religious duties in the diocese. On the financial side, the Evesham Chronicle states that Æthelwig, who became abbot of Evesham Abbey in 1058, administered Worcester before he became abbot. Archbishop of York Cynesige, the archbishop of York, died on 22 December 1060, and Ealdred was elected Archbishop of York on Christmas Day, 1060. Although a bishop was promptly appointed to Hereford, none was named to Worcester, and it appears Ealdred intended to retain Worcester along with York, which several of his predecessors had done. There were a few reasons for this, one of which was political, as the kings of England preferred to appoint bishops from the south to the northern bishoprics, hoping to counter the northern tendency towards separatism. Another reason was that York was not a wealthy see, and Worcester was. Holding Worcester along with York allowed the archbishop sufficient revenue to support himself. In 1061 Ealdred travelled to Rome to receive the pallium, the symbol of an archbishop's authority. Journeying with him was Tostig, another son of Earl Godwin, who was now earl of Northumbria. William of Malmesbury says that Ealdred, by "amusing the simplicity of King Edward and alleging the custom of his predecessors, had acquired, more by bribery than by reason, the archbishopric of York while still holding his former see." On his arrival in Rome, however, charges of simony, or the buying of ecclesiastical office, and lack of learning were brought against him, and his elevation to York was refused by Pope Nicholas II, who also deposed him from Worcester. The story of Ealdred being deposed comes from the Vita Edwardi, a life of Edward the Confessor, but the Vita Wulfstani, an account of the life of Ealdred's successor at Worcester, Wulfstan, says Nicholas refused the pallium until a promise to find a replacement for Worcester was given by Ealdred. Yet another chronicler, John of Worcester, mentions nothing of any trouble in Rome, and when discussing the appointment of Wulfstan, says Wulfstan was elected freely and unanimously by the clergy and people. John of Worcester also claims that at Wulfstan's consecration, Stigand, the archbishop of Canterbury extracted a promise from Ealdred that neither he nor his successors would lay claim to any jurisdiction over the diocese of Worcester. Given that John of Worcester wrote his chronicle after the eruption of the Canterbury–York supremacy struggle, the story of Ealdred renouncing any claims to Worcester needs to be considered suspect. For whatever reason, Ealdred gave up the see of Worcester in 1062, when papal legates arrived in England to hold a council and make sure Ealdred relinquished Worcester. This happened at Easter in 1062. Ealdred was succeeded by Wulfstan, chosen by Ealdred, but John of Worcester relates that Ealdred had a hard time deciding between Wulfstan and Æthelwig. The legates had urged the selection of Wulfstan because of his saintliness. Because the position of Stigand, the archbishop of Canterbury, was irregular, Wulfstan sought and received consecration as a bishop from Ealdred. Normally, Wulfstan would have gone to the archbishop of Canterbury, as the see of Worcester was within Canterbury's province. Although Ealdred gave up the bishopric, the appointment of Wulfstan was one that allowed Ealdred to continue his considerable influence on the see of Worcester. Ealdred retained a number of estates belonging to Worcester. Even after the Norman Conquest, Ealdred still controlled some events in Worcester, and it was Ealdred, not Wulfstan, who opposed Urse d'Abetot's attempt to extend the castle of Worcester into the cathedral after the Norman Conquest. While archbishop, Ealdred built at Beverley, expanding on the building projects begun by his predecessor Cynesige, as well as repairing and expanding other churches in his diocese. He also built refectories for the canons at York and Southwell. He also was the one bishop who published ecclesiastical legislation during Edward the Confessor's reign, attempting to discipline and reform the clergy. He held a synod of his clergy shortly before 1066. After the death of Edward the Confessor John of Worcester, a medieval chronicler, said Ealdred crowned King HaroldII in 1066, although the Norman chroniclers mention Stigand as the officiating prelate. Given Ealdred's known support of Godwin's family, John of Worcester is probably correct. Stigand's position as archbishop was canonically suspect, and as earl Harold had not allowed Stigand to consecrate one of the earl's churches, it is unlikely Harold would have allowed Stigand to perform the much more important royal coronation. Arguments for Stigand having performed the coronation, however, rely on the fact that no other English source names the ecclesiastic who performed the ceremony; all Norman sources name Stigand as the presider. In all events, Ealdred and Harold were close, and Ealdred supported Harold's bid to become king. Ealdred perhaps accompanied Harold when the new king went to York and secured the support of the northern magnates shortly after Harold's consecration. According to the medieval chronicler Geoffrey Gaimar, after the Battle of Stamford Bridge Harold entrusted the loot gained from Harald Hardrada to Ealdred. Gaimar asserts that King Harold did this because he had heard of Duke William's landing in England, and needed to rush south to counter it. After the Battle of Hastings, Ealdred joined the group who tried to elevate Edgar the Ætheling, Edward the Exile's son, as king, but eventually he submitted to William the Conqueror at Berkhamsted. John of Worcester says the group supporting Edgar vacillated over what to do while William ravaged the countryside, which led to Ealdred and Edgar's submission to William. Ealdred crowned William king on Christmas Day 1066. An innovation in William's coronation ceremony was that before the actual crowning, Ealdred asked the assembled crowd, in English, if it was their wish that William be crowned king. The Bishop of Coutances then did the same, but in Norman French. In March 1067, William took Ealdred with him when William returned to Normandy, along with the other English leaders Earl Edwin of Mercia, Earl Morcar, Edgar the Ætheling, and Archbishop Stigand. Ealdred at Whitsun 1068 performed the coronation of Matilda, William's wife. The Laudes Regiae, or song commending a ruler, that was performed at Matilda's coronation may have been composed by Ealdred himself for the occasion. In 1069, when the northern thegns rebelled against William and attempted to install Edgar the Ætheling as king, Ealdred continued to support William. He was the only northern leader to support William, however. Ealdred was back at York by 1069. He died there on 11 September 1069, and his body was buried in his episcopal cathedral. He may have taken an active part in trying to calm the rebellions in the north in 1068 and 1069. The medieval chronicler William of Malmesbury records a story that when the new sheriff of Worcester, Urse d'Abetot, encroached on the cemetery of the cathedral chapter for Worcester Cathedral, Ealdred pronounced a rhyming curse on him, saying "Thou are called Urse. May you have God's curse." Legacy After Ealdred's death, one of the restraints on William's treatment of the English was removed. Ealdred was one of a few native Englishmen who William appears to have trusted, and his death led to fewer attempts to integrate Englishmen into the administration, although such efforts did not entirely stop. In 1070, a church council was held at Westminster and a number of bishops were deposed. By 1073 there were only two Englishmen in episcopal sees, and by the time of William's death in 1087 there was only one, WulfstanII of Worcester. Ealdred did much to restore discipline in the monasteries and churches under his authority, and was liberal with gifts to the churches of his diocese. He built the monastic church of St Peter at Gloucester (now Gloucester Cathedral, though nothing of his fabric remains), then part of his diocese of Worcester. He also repaired a large part of Beverley Minster in the diocese of York, adding a presbytery and an unusually splendid painted ceiling covering "all the upper part of the church from the choir to the tower... intermingled with gold in various ways, and in a wonderful fashion." He added a pulpit "in German style" of bronze, gold and silver, surmounted by an arch with a rood cross in the same materials; these were examples of the lavish decorations added to important churches in the years before the conquest. Ealdred encouraged Folcard, a monk of Canterbury, to write the Life of Saint John of Beverley. This was part of Ealdred's promotion of the cult of Saint John, who had been canonised only since 1037. Along with the Pontificale, Ealdred may have brought back from Cologne the first manuscript of the Cambridge Songs to enter England, a collection of Latin Goliardic songs which became famous in the Middle Ages. The historian Michael Lapidge suggests that the Laudes Regiae, which are included in Cotton Vitellius Exii, might have been composed by Ealdred, or a member of his household. Another historian, H. J. Cowdrey, argued that the laudes were composed at Winchester. These praise songs are probably the same performed at Matilda's coronation, but might have been used at other court ceremonies before Ealdred's death. Historians have seen Ealdred as an "old-fashioned prince-bishop". Others say he "raised the see of York from its former rustic state". He was known for his generosity and for his diplomatic and administrative abilities. After the Conquest, Ealdred provided a degree of continuity between the pre- and post-Conquest worlds. One modern historian feels it was Ealdred who was behind the compilation of the D version of the Anglo-Saxon Chronicle, and gives a date in the 1050s as its composition. Certainly, Ealdred is one of the leading figures in the work, and it is likely one of his clerks compiled the version. Notes Citations References Further reading External links 1069 deaths Abbots of Tavistock Archbishops of York Bishops of Hereford Bishops of Worcester 11th-century English Roman Catholic bishops 11th-century English Roman Catholic archbishops Year of birth unknown Burials at York Minster
1592
https://en.wikipedia.org/wiki/Alexander%20III%20of%20Russia
Alexander III of Russia
Alexander III (; 10 March 18451 November 1894) was Emperor of Russia, King of Congress Poland and Grand Duke of Finland from 13 March 1881 until his death in 1894. He was highly reactionary in domestic affairs and reversed some of the liberal reforms of his father, Alexander II. This policy is known in Russia as "counter-reforms" (). Under the influence of Konstantin Pobedonostsev (1827–1907), he opposed any socio-economic moves that limited his autocratic rule. During his reign, Russia fought no major wars as well. He therefore came to be known as "The Peacemaker" (), with that laudatory title enduring into the 21st Century among historians (as the Tsar’-Mirotvorets). Outside of politics, Alexander was additionally known for his striking appearance, with an American historian later noting how he stood out as being a "tall, heavy-set man, of enormous muscular strength." Alexander's major foreign policy achievement was helping forge the Russo-French Alliance and thus directing a major shift in the international relations of Russian society that endured for decades. His political legacy represented a direct challenge to the European cultural order set forth by German statesman Otto von Bismarck, intermingling Russian influences with the shifting balances of power. Alexander's long, multifaceted legacy has been commemorated in public installations across multiple nations. A notable example outside of Russia is the , an ornate arch bridge spanning the Seine in Paris, France. That installation has received mass attention for over a century. Personality Grand Duke Alexander Alexandrovich was born on 10 March 1845 at the Winter Palace in Saint Petersburg, Russian Empire, the second son and third child of Tsesarevich Alexander (Future Alexander II) and his first wife Maria Alexandrovna (née Princess Marie of Hesse and by Rhine). He was born during the reign of his grandfather Nicholas I. In disposition, Alexander bore little resemblance to his soft-hearted, liberal father, and still less to his refined, philosophic, sentimental, chivalrous, yet cunning great-uncle Emperor Alexander I. Although an enthusiastic amateur musician and patron of the ballet, Alexander was seen as lacking refinement and elegance. Indeed, he rather relished the idea of being of the same rough texture as some of his subjects. His straightforward, abrupt manner savoured sometimes of gruffness, while his direct, unadorned method of expressing himself harmonized well with his rough-hewn, immobile features and somewhat sluggish movements. His education was not such as to soften these peculiarities. Alexander was extremely strong. He tore packs of cards in half with his bare hands to entertain his children. When the Austrian ambassador in St. Petersburg said that Austria would mobilize two or three army corps against Russia, he twisted a silver fork into a knot and threw it onto the plate of the ambassador. He said, "That is what I am going to do to your two or three army corps." Unlike his extroverted wife, Alexander disliked social functions and avoided St. Petersburg. At palace balls, he was impatient for the events to end. He would order each musician of the orchestra to leave and turn off the lights until the guests left. Alexander was afraid of horses. In his childhood, he had had an unpleasant experience on a bad-tempered mount. His wife once convinced him to go on a carriage ride with her. As he reluctantly entered the carriage, the ponies reared back. He immediately left the carriage and no amount of pleading from his wife could convince him to get back in. An account from the memoirs of the artist Alexander Benois gives one impression of Alexander III: After a performance of the ballet Tsar Kandavl at the Mariinsky Theatre, I first caught sight of the Emperor. I was struck by the size of the man, and although cumbersome and heavy, he was still a mighty figure. There was indeed something of the muzhik [Russian peasant] about him. The look of his bright eyes made quite an impression on me. As he passed where I was standing, he raised his head for a second, and to this day I can remember what I felt as our eyes met. It was a look as cold as steel, in which there was something threatening, even frightening, and it struck me like a blow. The Tsar's gaze! The look of a man who stood above all others, but who carried a monstrous burden and who every minute had to fear for his life and the lives of those closest to him. In later years I came into contact with the Emperor on several occasions, and I felt not the slightest bit timid. In more ordinary cases Tsar Alexander III could be at once kind, simple, and even almost homely. Early life Though he was destined to be a strongly counter-reforming emperor, Alexander had little prospect of succeeding to the throne during the first two decades of his life, as he had an elder brother, Nicholas, who seemed of robust constitution. Even when Nicholas first displayed symptoms of delicate health, the notion that he might die young was never taken seriously, and he was betrothed to Princess Dagmar of Denmark, daughter of King Christian IX of Denmark and Queen Louise of Denmark, and whose siblings included King Frederick VIII of Denmark, Queen Alexandra of the United Kingdom and King George I of Greece. Great solicitude was devoted to the education of Nicholas as tsesarevich, whereas Alexander received only the training of an ordinary Grand Duke of that period. This included acquaintance with French, English and German, and military drill. As Tsarevich Alexander became tsesarevich upon Nicholas's sudden death in 1865. He had been very close to his older brother, and he was devastated by Nicholas' death. When he became tsar, he reflected that "no one had such an impact on my life as my dear brother and friend Nixa [Nicholas]" and lamented that "a terrible responsibility fell on my shoulders" when Nicholas died. As tsesarevich, Alexander began to study the principles of law and administration under Konstantin Pobedonostsev, then a professor of civil law at Moscow State University and later (from 1880) chief procurator of the Holy Synod of the Orthodox Church in Russia. Pobedonostsev instilled into the young man's mind the belief that zeal for Russian Orthodox thought was an essential factor of Russian patriotism to be cultivated by every right-minded emperor. While he was heir apparent from 1865 to 1881 Alexander did not play a prominent part in public affairs, but allowed it to become known that he had ideas which did not coincide with the principles of the existing government. On his deathbed, Nicholas allegedly expressed the wish that his fiancée, Princess Dagmar of Denmark, should marry Alexander. Alexander's parents encouraged the match. On 2 June 1866, Alexander went to Copenhagen to visit Dagmar. When they were looking at photographs of the deceased Nicholas, Alexander proposed to Dagmar. On in the Grand Church of the Winter Palace in St. Petersburg, Alexander wed Dagmar, who converted to Orthodox Christianity and took the name Maria Feodorovna. The union proved a happy one to the end; unlike nearly all of his predecessors since Peter I, there was no adultery in his marriage. The couple spent their wedding night at the Tsarevich's private dacha known as "My Property". Alexander and his father became estranged due to their different political views. In 1870, Alexander II supported Prussia in the Franco-Prussian War, which angered the younger Alexander. Influenced by his Danish wife Dagmar, Alexander criticized the "shortsighted government" for helping the "Prussian pigs". Alexander resented his father for having a long-standing relationship with Princess Catherine Dolgorukova (with whom he had several illegitimate children) while his mother, the Empress, was suffering from chronic ill-health. Two days after Empress Marie died, his father told him, "I shall live as I wish, and my union with Princess Dolgorukova is definite" but assured him that "your rights will be safeguarded." Alexander was furious over his father's decision to marry Catherine a month after his mother's death, which he believed "forever ruined all the dear good memories of family life." His father threatened to disinherit him if he left court out of protest against the marriage. He privately denounced Catherine as "the outsider" and complained that she was "designing and immature". After his father's assassination, he reflected that his father's marriage to Catherine had caused the tragedy: "All the scum burst out and swallowed all that was holy. The guardian angel flew away and everything turned to ashes, finally culminating in the dreadful incomprehensible 1 March." Reign On 13 March 1881 (N.S.) Alexander's father, Alexander II, was assassinated by members of the extremist organization Narodnaya Volya. As a result, Alexander ascended to the Russian imperial throne in Nennal. He and Maria Feodorovna were officially crowned and anointed at the Assumption Cathedral in Moscow on 27 May 1883. Alexander's ascension to the throne was followed by an outbreak of anti-Jewish riots. Alexander III disliked the extravagance of the rest of his family. It was also expensive for the Crown to pay so many grand dukes each year. Each one received an annual salary of 250,000 rubles, and grand duchesses received a dowry of a million when they married. He limited the title of grand duke and duchess to only children and male-line grandchildren of emperors. The rest would bear a princely title and the style of Serene Highness. He also forbade morganatic marriages, as well as those outside of the Orthodoxy. Domestic policies On the day of his assassination, Alexander II signed an ukaz setting up consultative commissions to advise the monarch. On ascending to the throne, however, Alexander III took Pobedonostsev's advice and cancelled the policy before its publication. He made it clear that his autocracy would not be limited. All of Alexander III's internal reforms aimed to reverse the liberalization that had occurred in his father's reign. The new Emperor believed that remaining true to Russian Orthodoxy, Autocracy, and Nationality (the ideology introduced by his grandfather, Emperor Nicholas I) would save Russia from revolutionary agitation. Alexander weakened the power of the zemstvo (elective local administrative bodies) and placed the administration of peasant communes under the supervision of land-owning proprietors appointed by his government, "land captains" (zemskiye nachalniki). These acts weakened the nobility and the peasantry and brought Imperial administration under the Emperor's personal control. In such policies Alexander III followed the advice of Konstantin Pobedonostsev, who retained control of the Church in Russia through his long tenure as Procurator of the Holy Synod (from 1880 to 1905) and who became tutor to Alexander's son and heir, Nicholas. (Pobedonostsev appears as "Toporov" in Tolstoy's novel Resurrection.) Other conservative advisors included Count D. A. Tolstoy (minister of education, and later of internal affairs) and I. N. Durnovo (D. A. Tolstoy's successor in the latter post). Mikhail Katkov and other journalists supported the emperor in his autocracy. The Russian famine of 1891–92, which caused 375,000 to 500,000 deaths, and the ensuing cholera epidemic permitted some liberal activity, as the Russian government could not cope with the crisis and had to allow zemstvos to help with relief (among others, Leo Tolstoy helped with relief efforts on his estate and through the British press, and Chekhov directed anti-cholera precautions in several villages). Alexander had the political goal of Russification, which involved homogenizing the language and religion of Russia's people. He implemented changes such as teaching only the Russian language in Russian schools in Germany, Poland, and Finland. He also patronized Eastern Orthodoxy and destroyed German, Polish, and Swedish cultural and religious institutions. Alexander was hostile to Jews; his reign witnessed a sharp deterioration in the Jews' economic, social, and political condition. His policy was eagerly implemented by tsarist officials in the "May Laws" of 1882. These laws encouraged open anti-Jewish sentiment and dozens of pogroms across the western part of the empire. As a result, many Jews emigrated to Western Europe and the United States. They banned Jews from inhabiting rural areas and shtetls (even within the Pale of Settlement) and restricted the occupations in which they could engage. Encouraged by its successful assassination of Alexander II, the Narodnaya Volya movement began planning the murder of Alexander III. The Okhrana uncovered the plot and five of the conspirators, including Aleksandr Ulyanov, the older brother of Vladimir Lenin, were captured and hanged in May 1887. Foreign policy The general negative consensus about the tsar's foreign policy follows the conclusions of the British Prime Minister Lord Salisbury in 1885: It is very difficult to come to any satisfactory conclusion as to the real objects of Russian policy. I am more inclined to believe there are none; that the Emperor is really his own Minister, and so bad a Minister that no consequent or coherent policy is pursued; but that each influential person, military or civil, snatches from him as opportunity offers the decisions which such person at the moment wants and that the mutual effect of these decisions on each other is determined almost exclusively by chance. In foreign affairs Alexander III was a man of peace, but not at any price, and held that the best means of averting war is to be well-prepared for it. Diplomat Nikolay Girs, scion of a rich and powerful family, served as his Foreign Minister from 1882 to 1895 and established the peaceful policies for which Alexander has been given credit. Girs was an architect of the Franco-Russian Alliance of 1891, which was later expanded into the Triple Entente with the addition of Great Britain. That alliance brought France out of diplomatic isolation, and moved Russia from the German orbit to a coalition with France, one that was strongly supported by French financial assistance to Russia's economic modernisation. Girs was in charge of a diplomacy that featured numerous negotiated settlements, treaties and conventions. These agreements defined Russian boundaries and restored equilibrium to dangerously unstable situations. The most dramatic success came in 1885, settling long-standing tensions with Great Britain, which was fearful that Russian expansion to the south would be a threat to India. Girs was usually successful in restraining the aggressive inclinations of Tsar Alexander convincing him that the very survival of the Tsarist system depended on avoiding major wars. With a deep insight into the tsar's moods and views, Girs was usually able to shape the final decisions by outmaneuvering hostile journalists, ministers, and even the Tsarina, as well as his own ambassadors. Though Alexander was indignant at the conduct of German chancellor Otto von Bismarck towards Russia, he avoided an open rupture with Germany—even reviving the League of Three Emperors for a period of time and in 1887, signed the Reinsurance Treaty with the Germans. However, in 1890, the expiration of the treaty coincided with the dismissal of Bismarck by the new German emperor, Kaiser Wilhelm II (for whom the Tsar had an immense dislike), and the unwillingness of Wilhelm II's government to renew the treaty. In response Alexander III then began cordial relations with France, eventually entering into an alliance with the French in 1892. Despite chilly relations with Berlin, the Tsar nevertheless confined himself to keeping a large number of troops near the German frontier. With regard to Bulgaria he exercised similar self-control. The efforts of Prince Alexander and afterwards of Stambolov to destroy Russian influence in the principality roused his indignation, but he vetoed all proposals to intervene by force of arms. In Central Asian affairs he followed the traditional policy of gradually extending Russian domination without provoking conflict with the United Kingdom (see Panjdeh incident), and he never allowed the bellicose partisans of a forward policy to get out of hand. His reign cannot be regarded as an eventful period of Russian history; but under his hard rule the country made considerable progress. Alexander and his wife regularly spent their summers at Langinkoski manor along the Kymi River near Kotka on the Finnish coast, where their children were immersed in a Scandinavian lifestyle of relative modesty. Alexander rejected foreign influence, German influence in particular, thus the adoption of local national principles was deprecated in all spheres of official activity, with a view to realizing his ideal of a Russia homogeneous in language, administration and religion. These ideas conflicted with those of his father, who had German sympathies despite being a patriot; Alexander II often used the German language in his private relations, occasionally ridiculed the Slavophiles and based his foreign policy on the Prussian alliance. Some differences between father and son had first appeared during the Franco-Prussian War, when Alexander II supported the cabinet of Berlin while the Tsesarevich made no effort to conceal his sympathies for the French. These sentiments would resurface during 1875–1879, when the Eastern question excited Russian society. At first, the Tsesarevich was more Slavophile than the Russian government. However, his phlegmatic nature restrained him from many exaggerations, and any popular illusions he may have imbibed were dispelled by personal observation in Bulgaria where he commanded the left wing of the invading army. Never consulted on political questions, Alexander confined himself to military duties and fulfilled them in a conscientious and unobtrusive manner. After many mistakes and disappointments, the army reached Constantinople and the Treaty of San Stefano was signed, but much that had been obtained by that important document had to be sacrificed at the Congress of Berlin. Bismarck failed to do what was expected of him by the Russian emperor. In return for the Russian support which had enabled him to create the German Empire, it was thought that he would help Russia to solve the Eastern question in accordance with Russian interests, but to the surprise and indignation of the cabinet of Saint Petersburg he confined himself to acting the part of "honest broker" at the Congress, and shortly afterwards contracted an alliance with Austria-Hungary for the purpose of counteracting Russian designs in Eastern Europe. The Tsesarevich could refer to these results as confirmation of the views he had expressed during the Franco-Prussian War; he concluded that for Russia, the best thing was to recover as quickly as possible from her temporary exhaustion, and prepare for future contingencies by military and naval reorganization. In accordance with this conviction, he suggested that certain reforms should be introduced. Trade and Industry Alexander III took initiatives to stimulate the development of trade and industry, as his father did before him. Russia's economy was still challenged by the Russian-Turkish war of 1877–1878, which created a deficit, so he imposed customs duties on imported goods. To further alleviate the budget deficit, he implemented increased frugality and accounting in state finances. Industrial development increased during his reign. Also during his reign, construction of the Trans Siberian Railway was started. Family life Following his father's assassination, Alexander III was advised that it would be difficult for him to be kept safe at the Winter Palace. As a result, Alexander relocated his family to the Gatchina Palace, located south of St. Petersburg. The palace was surrounded by moats, watch towers, and trenches, and soldiers were on guard night and day. Under heavy guard, he would make occasional visits into St. Petersburg, but even then he would stay in the Anichkov Palace, as opposed to the Winter Palace. Alexander resented having to take refuge at Gatchina. Grand Duke Alexander Mikhailovich of Russia remembered hearing Alexander say, "To think that after having faced the guns of the Turks I must retreat now before these skunks." In the 1860s, Alexander fell in love with his mother's lady-in-waiting, Princess Maria Elimovna Meshcherskaya. Dismayed to learn that Prince zu Sayn-Wittgenstein-Sayn had proposed to her in early 1866, he told his parents that he was prepared to give up his rights of succession in order to marry his beloved "Dusenka". On 19 May 1866, Alexander II informed his son that Russia had come to an agreement with the parents of Princess Dagmar of Denmark, the fiancée of his late elder brother Nicholas. Initially, Alexander refused to travel to Copenhagen because he wanted to marry Maria. Enraged, Alexander II ordered him to go straight to Denmark and propose to Princess Dagmar. Alexander wrote in his diary "Farewell, dear Dusenka." Despite his initial reluctance, Alexander grew fond of Dagmar. By the end of his life, they loved each other deeply. A few weeks after their wedding, he wrote in his diary: "God grant that... I may love my darling wife more and more... I often feel that I am not worthy of her, but even if this was true, I will do my best to be." When she left his side, he missed her bitterly and complained: "My sweet darling Minny, for five years we've never been apart and Gatchina is empty and sad without you." In 1885, he commissioned Peter Carl Fabergé to produce the first of what were to become a series of jeweled Easter eggs (now called "Fabergé eggs") for her as an Easter gift. Dagmar was so delighted by the First Hen egg that Alexander gave her an egg every year as an Easter tradition. After Alexander died, his heir Nicholas continued the tradition and commissioned two eggs, one for his wife, Empress Alexandra Feodorovna, and one for his mother, Dagmar, every Easter. When she nursed him in his final illness, Alexander told Dagmar, "Even before my death, I have got to known an angel." He died in Dagmar's arms, and his daughter Olga noted that "my mother still held him in her arms" long after he died. Alexander had six children by Dagmar, five of whom survived into adulthood: Nicholas (b. 1868), George (b. 1871), Xenia (b. 1875), Michael (b. 1878) and Olga (b. 1882). He told Dagmar that "only with [our children] can I relax mentally, enjoy them and rejoice, looking at them." He wrote in his diary that he "was crying like a baby" when Dagmar gave birth to their first child, Nicholas. He was much more lenient with his children than most European monarchs, and he told their tutors, "I do not need porcelain, I want normal healthy Russian children." General Cherevin believed that the clever George was "the favourite of both parents". Alexander enjoyed a more informal relationship with his youngest son Michael and doted on his youngest daughter, Olga. Alexander was concerned that his heir-apparent, Nicholas, was too gentle and naive to become an effective Emperor. When Witte suggested that Nicholas participate in the Trans-Siberian Committee, Alexander said, "Have you ever tried to discuss anything of consequence with His Imperial Highness the Grand Duke? Don't tell me you never noticed the Grand Duke is . . . an absolute child. His opinions are utterly childish. How could he preside over such a committee?" He was worried that Nicholas had no experiences with women and arranged for the Polish ballerina Mathilde Kschessinskaya to become his son's mistress. Even at the end of his life, he considered Nicholas a child and told him, "I can't imagine you as a fiancé – how strange and unusual!" Each summer his parents-in-law, King Christian IX and Queen Louise, held family reunions at the Danish royal palaces of Fredensborg and Bernstorff, bringing Alexander, Maria and their children to Denmark. His sister-in-law, the Princess of Wales, would come from Great Britain with some of her children, and his brother-in-law and cousin-in-law, King George I of Greece, his wife, Queen Olga, who was a first cousin of Alexander and a Romanov Grand Duchess by birth, came with their children from Athens. In contrast to the strict security observed in Russia, Alexander and Maria revelled in the relative freedom that they enjoyed in Denmark, Alexander once commenting to the Prince and Princess of Wales near the end of a visit that he envied them being able to return to a happy home in England, while he was returning to his Russian prison. In Denmark, he was able to enjoy joining his children, nephews and nieces, in muddy ponds looking for tadpoles, sneaking into his father-in-law's orchard to steal apples, and playing pranks, such as turning a water hose on the visiting King Oscar II of Sweden. Alexander had an extremely poor relationship with his brother Grand Duke Vladimir. At a restaurant, Grand Duke Vladimir had a brawl with the French actor Lucien Guitry when the latter kissed his wife, Duchess Marie of Mecklenburg-Schwerin. The prefect of St. Petersburg needed to escort Vladimir out of the restaurant. Alexander was so furious that he temporarily exiled Vladimir and his wife and threatened to exile them permanently to Siberia if they did not leave immediately. When Alexander and his family survived the Borki train disaster in 1888, Alexander joked, "I can imagine how disappointed Vladimir is going to be when he learns that we all stayed alive!" This tension was reflected in the rivalry between Maria Feodorovna and Vladimir's wife, Grand Duchess Marie Pavlovna. Alexander had better relationships with his other brothers: Alexei (who he made rear admiral and then a grand admiral of the Russian Navy), Sergei (who he made governor of Moscow) and Paul. Despite the antipathy that Alexander had towards his stepmother, Catherine Dolgorukov, he nevertheless allowed her to remain in the Winter Palace for some time after his father's assassination and to retain various keepsakes of him. These included Alexander II's blood-soaked uniform that he died wearing, and his reading glasses. Even though he disliked their mother, Alexander was kind to his half-siblings. His youngest half-sister Princess Catherine Alexandrovna Yurievskaya remembered when he would play with her and her siblings: "The Emperor... seemed a playful and kind Goliath among all the romping children." On the Imperial train derailed in an accident at Borki. At the moment of the crash, the imperial family was in the dining car. Its roof collapsed, and Alexander held its remains on his shoulders as the children fled outdoors. The onset of Alexander's kidney failure was later attributed to the blunt trauma suffered in this incident. Illness and death In 1894, Alexander III became ill with terminal kidney disease (nephritis). His first cousin, Queen Olga of Greece, offered him to stay at her villa Mon Repos, on the island of Corfu, in the hope that it might improve the Tsar's condition. By the time that they reached Crimea, they stayed at the Maly Palace in Livadia, as Alexander was too weak to travel any farther. Recognizing that the Tsar's days were numbered, various imperial relatives began to descend on Livadia. Clergyman John of Kronstadt paid a visit and administered Communion to the Tsar. On 21 October, Alexander received Nicholas's fiancée, Princess Alix of Hesse-Darmstadt, who had come from her native Darmstadt to receive the Tsar's blessing. Despite being exceedingly weak, Alexander insisted on receiving Alix in full dress uniform, an event that left him exhausted. Soon after, his health began to deteriorate more rapidly. He died in the arms of his wife, and in the presence of his physician, Ernst Viktor von Leyden, at Maly Palace in Livadia on the afternoon of at the age of forty-nine, and was succeeded by his eldest son Tsesarevich Nicholas, who took the throne as Nicholas II. After leaving Livadia on 6 November and traveling to St. Petersburg by way of Moscow, his remains were interred on 18 November at the Peter and Paul Fortress, with his funeral being attended by numerous foreign relatives, including King Christian IX of Denmark, the Prince and Princess of Wales, and Duke of York, and Duke and Duchess of Saxe-Coburg-Gotha, and his daughter-in-law to be, Alix of Hesse, and her brother, Grand Duke Ernst Ludwig of Hesse. Monuments In 1909, a bronze equestrian statue of Alexander III sculpted by Paolo Troubetzkoy was placed in Znamenskaya Square in front of the Moscow Rail Terminal in St. Petersburg. Both the horse and rider were sculpted in massive form, leading to the nickname of "hippopotamus". Troubetzkoy envisioned the statue as a caricature, jesting that he wished "to portray an animal atop another animal", and it was quite controversial at the time, with many, including the members of the Imperial Family, opposed to the design, but it was approved because the Empress Dowager unexpectedly liked the monument. Following the Revolution of 1917, the statue remained in place as a symbol of tsarist autocracy until 1937 when it was placed in storage. In 1994, it was again put on public display, although in a different place – in front of the Marble Palace. Another pre-revolutionary memorial is located in the city of Irkutsk at the Angara embankment. For Alexander's role in forging the Franco-Russian Alliance, the French Republic commissioned a bridge named in his honour, Pont Alexandre III. It was opened by his son, Nicholas II, and exists to this day. On 18 November 2017, Vladimir Putin unveiled a bronze monument to Alexander III on the site of the former Maly Livadia Palace in Crimea. The four-meter monument by Russian sculptor Andrey Kovalchuk depicts Alexander III sitting on a stump, his stretched arms resting on a sabre. An inscription says "Russia has only two allies: the Army and the Navy", although historians dispute whether the Tsar actually said those words. Alexander III is believed to be one of Putin's admired historic leaders, along with Joseph Stalin. On 5 June 2021, he unveiled another monument to Alexander on the site of Gatchina Palace, Leningrad Oblast. Honours Domestic Knight of St. Andrew, 10 March 1845 Knight of St. Alexander Nevsky, 10 March 1845 Knight of St. Anna, 1st Class, 10 March 1845 Knight of the White Eagle, 10 March 1845 Knight of St. Vladimir, 4th Class, 1864; 3rd Class, 1870 Knight of St. Stanislaus, 1st Class, 1865 Knight of St. George, 2nd Class, 1877 Foreign Arms Issue Alexander III had six children (five of whom survived to adulthood) of his marriage with Princess Dagmar of Denmark, also known as Marie Feodorovna. (Note: all dates prior to 1918 are in the Old Style Calendar) Ancestors See also Russian America Tsars of Russia family tree List of Russian monarchs Emperor of all the Russias President of the Soviet Union References Bibliography Dorpalen, Andreas. "Tsar Alexander III and the Boulanger Crisis in France." Journal of Modern History 23.2 (1951): 122–136. online Etty, John. "Alexander III, Tsar of Russia 1881–1889." History Review 60 (2008): 1–5. online Hutchinson, John F. Late Imperial Russia: 1890–1917 Lincoln, W. Bruce. The Romanovs : autocrats of all the Russias (1981) online free to borrow Lowe, Charles. Alexander III of Russia (1895) online free full-length old biography Nelipa, M., Alexander III His Life and Reign'm (2014), Gilbert's Books Polunov, A. Iu. "Konstantin Petrovich Pobedonostsev – Man and Politician". Russian Studies in History 39.4 (2001): 8–32. online, by a leading scholar Polunov, A. Iu. "The Orthodox Church in the Baltic Region and the Policies of Alexander Ill's Government." Russian Studies in History 39.4 (2001): 66–76. online Suny, Ronald Grigor. "Rehabilitating Tsarism: The Imperial Russian State and Its Historians. A Review Article" Comparative Studies in Society and History 31#1 (1989) pp. 168–179 online Thomson, Oliver. Romanovs: Europe's Most Obsessive Dynasty (2008) ch 13 Whelan, Heide W. Alexander III & the State Council: bureaucracy & counter-reform in late imperial Russia'' (Rutgers UP, 1982). External links Alexander III. Historical photos. A short biography – Historical reconstruction "The Romanovs". StarMedia. Babich-Design(Russia, 2013) 1845 births 1894 deaths Royalty from Saint Petersburg People from Sankt-Peterburgsky Uyezd House of Holstein-Gottorp-Romanov 19th-century Russian monarchs 19th-century Polish monarchs Heads of state of Finland Grand dukes of Russia Tsesarevichs of Russia Eastern Orthodox monarchs Russification Children of Alexander II of Russia Sons of emperors Russian military personnel of the Russo-Turkish War (1877–1878) Recipients of the Order of the White Eagle (Russia) Recipients of the Order of St. Anna, 1st class Recipients of the Order of St. Vladimir, 3rd class Recipients of the Order of St. George of the Second Degree Grand Crosses of the Order of Saint Stephen of Hungary Recipients of the Order of Bravery, 1st class Grand Commanders of the Order of the Dannebrog Recipients of the Cross of Honour of the Order of the Dannebrog Grand Cross of the Legion of Honour Bailiffs Grand Cross of Honour and Devotion of the Sovereign Military Order of Malta Recipients of the Order of the Netherlands Lion Knights Grand Cross of the Military Order of William 3 3 3 Grand Crosses of the Order of the Star of Romania Recipients of the Pour le Mérite (military class) Knights of the Golden Fleece of Spain Extra Knights Companion of the Garter Grand Crosses of the Order of Saint-Charles Deaths from nephritis Burials at Saints Peter and Paul Cathedral, Saint Petersburg
1600
https://en.wikipedia.org/wiki/Severus%20Alexander
Severus Alexander
Marcus Aurelius Severus Alexander (1 October 208 – 21/22 March 235), also known as Alexander Severus, was a Roman emperor, who reigned from 222 until 235. He was the last emperor from the Severan dynasty. He succeeded his slain cousin Elagabalus in 222. Alexander himself was eventually assassinated, and his death marked the beginning of the events of the Crisis of the Third Century, which included nearly fifty years of civil war, foreign invasion, and the collapse of the monetary economy. Alexander was the heir to his cousin, the 18-year-old Emperor Elagabalus. The latter had been murdered along with his mother Julia Soaemias by his own guards, who, as a mark of contempt, had their remains cast into the Tiber river. Alexander and his cousin were both grandsons of Julia Maesa, who was the sister of empress Julia Domna and had arranged for Elagabalus's acclamation as emperor by the Third Gallic Legion. Alexander's 13-year reign was the longest reign of a sole emperor since Antoninus Pius. He was also the youngest sole legal Roman emperor during the existence of the united empire. Alexander's peacetime reign was prosperous. However, Rome was militarily confronted with the rising Sassanid Empire and growing incursions from the tribes of Germania. He managed to check the threat of the Sassanids. But when campaigning against Germanic tribes, Alexander attempted to bring peace by engaging in diplomacy and bribery. This alienated many in the Roman army, leading to a conspiracy that resulted in the assassination of Alexander, his mother Julia Avita Mamaea, and his advisors. After their deaths, the accession of Maximinus Thrax followed. Alexander's death marked the epoch event for the Crisis of the Third Century. Early life The future emperor Severus Alexander was born on 1 October 208 in Arca Caesarea, Phoenicia. Of his birth name, only two cognomina are known, from literary sources: Bassianus () according to the historian Cassius Dio, and Alexianus () according to Herodian. "Bassianus" was also borne by several family members, while "Alexianus" was probably later converted to Alexander. The historian Cassius Dio thought Alexianus was the son of Marcus Julius Gessius Marcianus, but Icks disputes this, saying the latter could not have married the emperor's mother before 212 and that Alexianus must have been fathered by his mother's first husband, who is of unknown name but of certain existence. The priest Marcus Julius Gessius Bassianus may have been his younger brother. Emperor Early reign Severus Alexander became emperor when he was around 14 years old, making him the youngest emperor in Rome's history. Alexander's grandmother Maesa believed that he had more potential to rule and gain support from the Praetorian Guard than her other grandson, the increasingly unpopular emperor Elagabalus. Thus, to preserve her own position, she had Elagabalus adopt the young Alexander and then arranged for Elagabalus' assassination, securing the throne for Alexander. The Roman army hailed Alexander as emperor on 13 March 222, immediately conferring on him the titles of Pater Patriae and Pontifex maximus on the following day. Throughout his life, Alexander relied heavily on guidance from his grandmother, Maesa, before her death in 224, and mother, Julia Mamaea. As a young, immature, and inexperienced adolescent, Alexander knew little about government, warcraft, or the role of ruling over an empire. In time, however, the army came to admire what Jasper Burns refers to as "his simple virtues and moderate behavior, so different from [Elagabalus]". Domestic achievements Under the influence of his mother, Alexander did much to improve the morals and condition of the people, and to enhance the dignity of the state. He employed noted jurists, such as Ulpian, to oversee the administration of justice. His advisers were men like the senator and historian Cassius Dio, and historical sources claimed that with the help of his family, he created a select board of 16 senators, although this claim is sometimes disputed. Some scholars have rejected Herodian's view that Alexander expanded senatorial powers. He also created a municipal council of 14 who assisted the urban prefect in administering the affairs of the 14 districts of Rome. Excessive luxury and extravagance at the imperial court were diminished, and he restored the Baths of Nero in 227 or 229; consequently, they are sometimes also known as the Baths of Alexander after him. He extended the imperial residence at the Horti Lamiani with elaborate buildings and created the Nymphaeum of Alexander (known as the Trophies of Marius), which still stands in the Piazza Vittorio Emanuele. This was the great fountain he built at the end of the Aqua Claudia aqueduct. Upon his accession he reduced the silver purity of the denarius from 46.5% to 43%the actual silver weight dropped from 1.41 grams to 1.30 grams; however, in 229 he revalued the denarius, increasing the silver purity and weight to 45% and 1.46 grams. The following year he decreased the amount of base metal in the denarius while adding more silver, raising the silver purity and weight again to 50.5% and 1.50 grams. Additionally, during his reign taxes were lightened; literature, art and science were encouraged; and, for the convenience of the people, loan offices were instituted for lending money at a moderate rate of interest. In religious matters, Alexander preserved an open mind. According to the Historia Augusta, he wished to erect a temple to Jesus but was dissuaded by the pagan priests; however, this claim is unreliable as the Historia Augusta is considered untrustworthy by historians, containing significant amounts of information that is false and even invented, extending to when it was written and the number of authors it was written by. He allowed a synagogue to be built in Rome, and he gave as a gift to this synagogue a scroll of the Torah known as the Severus Scroll. In legal matters, Alexander did much to aid the rights of his soldiers. He confirmed that soldiers could name anyone as heirs in their will, whereas civilians had strict restrictions over who could become heirs or receive a legacy. He also confirmed that soldiers could free their slaves in their wills, protected the rights of soldiers to their property when they were on campaign, and reasserted that a soldier's property acquired in or because of military service (his castrense peculium) could be claimed by no one else, not even the soldier's father. Persian War On the whole, Alexander's reign was prosperous until the rise of the Sassanids under Ardashir I. In 231 AD, Ardashir invaded the Roman provinces of the east, overrunning Mesopotamia and penetrating possibly as far as Syria and Cappadocia, forcing from the young Alexander a vigorous response. Of the war that followed there are various accounts. According to the most detailed authority, Herodian, the Roman armies suffered a number of humiliating setbacks and defeats, while according to the Historia Augusta as well as Alexander's own dispatch to the Roman Senate, he gained great victories. Making Antioch his base, he organized in 233 a three-fold invasion of the Sassanian Empire; at the head of the main body he himself advanced to recapture northern Mesopotamia, while another army invaded Media through the mountains of Armenia, and a third advanced from the south in the direction of Babylon. The northernmost army gained some success, fighting in mountainous territory favorable to the Roman infantry, but the southern army was surrounded and destroyed by Ardashir's skilful horse-archers, and Alexander himself retreated after an indecisive campaign, his army wracked by indiscipline and disease. Further losses were incurred by the retreating northern army in the inclement cold of Armenia as it retired into winter quarters, due to a failure through incompetence to establish adequate supply lines. Still, Mesopotamia was retaken, and Ardashir was not thereafter able to extend his conquests, though his son, Shapur, would obtain some success later in the century. Although the Sassanids were checked for the time, the conduct of the Roman army showed an extraordinary lack of discipline. In 232, there was a mutiny in the Syrian legion, which proclaimed Taurinus emperor. Alexander managed to suppress the uprising, and Taurinus drowned while attempting to flee across the Euphrates. The emperor returned to Rome and celebrated a triumph in 233. Military discipline Alexander's reign was also characterized by a significant breakdown of military discipline. In 228, the Praetorian Guard murdered their prefect, Ulpian, in Alexander's presence. Alexander could not openly punish the ringleader of the riot, and instead removed him to a nominal post of honor in Egypt and then Crete, where he was "quietly put out of the way" sometime after the excitement had abated. The soldiers then fought a three-day battle against the populace of Rome, and this battle ended after several parts of the city were set on fire. Dio was among those who gave a highly critical account of military discipline during the time, saying that the soldiers would rather just surrender to the enemy. Different reasons are given for this issue; Campbell points to ...the decline in the prestige of the Severan dynasty, the feeble nature of Alexander himself, who appeared to be no soldier and to be completely dominated by his mother's advice, and lack of real military success at a time during which the empire was coming under increasing pressure. Herodian, on the other hand, was convinced that "the emperor's miserliness (partly the result of his mother's greed) and slowness to bestow donatives" were instrumental in the fall of military discipline under Alexander. Germanic War After the Persian war, Alexander returned to Antioch with Origen, one of the Fathers of the Christian Church. Alexander's mother, Julia Mamaea, asked for Origen to tutor Alexander in Christianity. While Alexander was being educated in the Christian doctrines, the northern portion of his empire was being invaded by Germanic and Sarmatian tribes. A new and menacing enemy started to emerge directly after Alexander's success in the Persian war. In 234, the barbarians crossed the Rhine and Danube in hordes that caused alarm as far as Rome. The soldiers serving under Alexander, already demoralized after their costly war against the Persians, were further discontented with their emperor when their homes were destroyed by the barbarian invaders. As word of the invasion spread, the emperor took the front line and went to battle against the Germanic invaders. The Romans prepared heavily for the war, building a fleet to carry the entire army across. However, at this point in Alexander's career, he still knew little about being a general. Because of this, he hoped the mere threat of his armies would be sufficient to persuade the hostile tribes to surrender. Severus enforced a strict military discipline in his men that sparked a rebellion among his legions. Due to incurring heavy losses against the Persians, and on the advice of his mother, Alexander attempted to buy the Germanic tribes off, so as to gain time. It was this decision that resulted in the legionaries looking down upon Alexander. They considered him dishonorable and feared he was unfit to be Emperor. Under these circumstances the army swiftly looked to replace Alexander. Gaius Julius Verus Maximinus was the next best option. He was a soldier from Thrace who had a golden reputation and was working hard to increase his military status. He was also a man with superior personal strength, who rose to his present position from a peasant background. With the Thracian's hailing came the end of the Severan Dynasty, and, with the growing animosity of Severus' army towards him, the path for his assassination was paved. Assassination Alexander was forced to face his German enemies in the early months of 235. By the time he and his mother arrived, the situation had settled, and so his mother convinced him that to avoid violence, trying to bribe the German army to surrender was the more sensible course of action. According to historians, it was this tactic combined with insubordination from his own men that destroyed his reputation and popularity. Alexander was thus assassinated together with his mother on 21 or 22 March, in a mutiny of the Legio XXII Primigenia at Moguntiacum (Mainz) while at a meeting with his generals. These assassinations secured the throne for Maximinus. The Historia Augusta documents two theories that elaborate on Severus's assassination. The first claims that the disaffection of Mamaea was the main motive behind the homicide. However, Lampridius makes it clear that he is more supportive of an alternative theory, that Alexander was murdered in Sicilia (located in Britain). This theory has it that, in an open tent after his lunch, Alexander was consulting with his insubordinate troops, who compared him to his cousin Elagabalus, the divisive and unpopular Emperor whose own assassination paved the way for Alexander's reign. A German servant entered the tent and initiated the call for Alexander's assassination, at which point many of the troops joined in the attack. Alexander's attendants fought against the other troops but could not hold off the combined might of those seeking the Emperor's assassination. Within minutes, Alexander was dead. His mother, Julia Mamaea, was in the same tent with Alexander and soon fell victim to the same group of assassins. Alexander's body was buried together with the body of his mother, Julia Mamaea, in a mausoleum in Rome. The actual mausoleum, called , is the third largest in Rome after those of Hadrian and Augustus. It is still visible in Piazza dei Tribuni, in the Quadraro area in Rome, where it resembles a large earth mound. The large sarcophagus found inside the tomb in the 16th century, and which contained the emperor's remains, is in the Palazzo dei Conservatori Museum in Rome. According to some sources inside the same sarcophagus in 1582 a precious glass urn was found, the Portland Vase, currently on display at the British Museum in London. Legacy Alexander's death marked the end of the Severan dynasty. He was the last of the Syrian emperors and the first emperor to be overthrown by military discontent on a wide scale. After his death his economic policies were completely discarded, and the Roman currency was devalued; this signaled the beginning of the chaotic period known as the Crisis of the Third Century, which brought the empire to the brink of collapse. Alexander's death at the hands of his troops can also be seen as the heralding of a new role for Roman emperors. Though they were not yet expected to personally fight in battle during Alexander's time, emperors were increasingly expected to display general competence in military affairs. Thus, Alexander's taking of his mother's advice to not get involved in battle, his dishonorable and unsoldierly methods of dealing with the Germanic threat, and the relative failure of his military campaign against the Persians were all deemed highly unacceptable by the soldiers. Indeed, Maximinus was able to overthrow Alexander by "harping on his own military excellence in contrast to that feeble coward". Yet by arrogating the power to dethrone their emperor, the legions paved the way for a half-century of widespread chaos and instability. Alexander was deified after the death of Maximinus in 238. Portland Vase Perhaps his most tangible legacy was the emergence in the 16th century of the cameo glass Portland Vase (or "Barberini Vase"), dated to around the reign of Augustus. This was allegedly found at the mausoleum of the emperor and his family at Monte Del Grano. The discovery of the vase is described by Pietro Santi Bartoli. Pietro Bartoli indicates that the vase contained the ashes of Severus Alexander. However, this together with the interpretations of the scenes depicted are the source of countless theories and disputed 'facts'. The vase passed through the hands of Sir William Hamilton Ambassador to the Royal Court in Naples, and in 1784 was sold to the Duchess of Portland, and has subsequently been known as the Portland Vase. After an attack by a disturbed man in the British Museum in 1845 smashed it into many fragments, the vase has been reconstructed three times. In 1786 the Portland vase had been borrowed from the 3rd Duke of Portland and copied in black Jasperware pottery by Josiah Wedgwood for his firm Wedgwood. He appears to have added some drapery to cover nudity, but his replicas were useful in the reconstructions. Personal life Family Alexander's only known wife was Sallustia Orbiana, Augusta, whom he married in 225 when she was 16 years old. Their marriage was arranged by Alexander's mother, Mamaea. According to historian Herodian, however, as soon as Orbiana received the title of Augusta, Mamaea became increasingly jealous and resentful of Alexander's wife due to Mamaea's excessive desire of all regal female titles. Alexander divorced and exiled Orbiana in 227, after her father, Seius Sallustius, was executed after being accused of treason. According to Historia Augusta, a late Roman work containing biographies of emperors and others, and considered by scholars to be a work of dubious historical reliability, Alexander was also at some point married to Sulpicia Memmia, a member of one of the most ancient Patrician families in Rome and a daughter to a man of consular rank; her grandfather's name was Catulus. She is mentioned as his wife only in this later text, thus the marriage has been questioned. The ancient historian Zosimus claimed that Alexander was married three times. A man named Varius Macrinus may have been Alexander's father-in-law, but it is uncertain if he was the same man as Seius Sallustius, the father of Memmia or the father of an entirely unknown third wife. Alexander is not known to have fathered any children. Also, according to the Historia Augusta, Alexander's "chief amusement consisted in having young dogs play with little pigs." Herodian portrays him as a mother's boy. Christianity The Historia Augusta claims that Alexander prayed every morning in his private chapel. He was extremely tolerant of Jews and Christians alike. He continued all privileges towards Jews during his reign, and the Augustan History relates that Alexander placed images of Abraham and Jesus in his oratory, along with other Roman deities and classical figures. Severan dynasty family tree See also Severan dynasty family tree Sassanid campaign of Severus Alexander Mesopotamian campaigns of Ardashir I References Citations Bibliography Ancient sources Cassius Dio ( 230), Roman History, Book 80 Herodian ( 240), Roman History, Book 6 Aurelius Victor att. ( 400), Epitome de Caesaribus Historia Augusta, Life of Severus Alexander Zosimus ( 500), Historia Nova Joannes Zonaras ( 1120), Compendium of History Modern sources Although a few phrases appear to be copied from this encyclopedia, all of them are attributed here to primary sources. External links Severus Alexander on NumisWiki Coins of Severus Alexander 208 births 235 deaths 3rd-century people 3rd-century Roman emperors 3rd-century murdered monarchs Ancient child monarchs Ancient Roman adoptees Aurelii Crisis of the Third Century Deified Roman emperors Emesene dynasty Imperial Roman consuls Murdered Roman emperors People from Homs People of Roman Syria Severan dynasty Roman emperors to suffer posthumous denigration or damnatio memoriae Roman pharaohs Damnatio memoriae
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https://en.wikipedia.org/wiki/Alexander
Alexander
Alexander is a male given name of Greek origin. The most prominent bearer of the name is Alexander the Great, the king of the Ancient Greek kingdom of Macedonia who created one of the largest empires in ancient history. Variants listed here are Aleksandar, Aleksander and Aleksandr. Related names and diminutives include Iskandar, Alec, Alek, Alex, Alexandre, Aleks, Aleksa, Alasdair, Sasha, and Sander; feminine forms include Alexandra, Alexandria, and Sasha. Etymology The name Alexander originates from the (; 'defending men' or 'protector of men'). It is a compound of the verb (; 'to ward off, avert, defend') and the noun (, genitive: , ; meaning 'man'). It is an example of the widespread motif of Greek names expressing "battle-prowess", in this case the ability to withstand or push back an enemy battle line. The earliest attested form of the name, is the Mycenaean Greek feminine anthroponym , , (/Alexandra/), written in the Linear B syllabic script. Alaksandu, alternatively called Alakasandu or Alaksandus, was a king of Wilusa who sealed a treaty with the Hittite king Muwatalli II ca. 1280 BC; this is generally assumed to have been a Greek called Alexandros. The name was one of the epithets given to the Greek goddess Hera and as such is usually taken to mean "one who comes to save warriors". In the Iliad, the character Paris is known also as Alexander. The name's popularity was spread throughout the Greek world by the military conquests of King Alexander III, commonly known as "Alexander the Great". Most later Alexanders in various countries were directly or indirectly named after him. People known as Alexander Alexander has been the name of many rulers, including kings of Macedon, of Scotland, emperors of Russia and popes. Rulers of antiquity Alexander (Alexandros of Ilion), more often known as Paris of Troy Alexander of Corinth, 10th king of Corinth (816–791 BC) Alexander I of Macedon Alexander II of Macedon Alexander III of Macedon, commonly known as Alexander the Great Alexander IV of Macedon Alexander V of Macedon Alexander of Pherae despot of Pherae between 369 and 358 BC Alexander I of Epirus king of Epirus about 342 BC Alexander II of Epirus king of Epirus 272 BC Alexander of Corinth, viceroy of Antigonus Gonatas and ruler of a rump state based on Corinth c. 250 BC Alexander (satrap) (died 220 BC), satrap of Persis under Seleucid king Antiochus III Alexander Balas, ruler of the Seleucid kingdom of Syria between 150 and 146 BC Alexander Zabinas, ruler of part of the Seleucid kingdom of Syria based in Antioch between 128 and 123 BC Alexander Jannaeus king of Judea, 103–76 BC Alexander of Judaea, son of Aristobulus II, king of Judaea Alexander Severus (208–235), Roman emperor Julius Alexander, lived in the 2nd century, an Emesene nobleman Domitius Alexander, Roman usurper who declared himself emperor in 308 Rulers of the Middle Ages Alexander, Byzantine Emperor (912–913) Alexander I of Scotland (c. 1078–1124) Alexander II of Scotland (1198–1249) Alexander Nevsky (1220–1263), Prince of Novgorod and Grand Prince of Vladimir Alexander III of Scotland (1241–1286) Nicholas Alexander of Wallachia, Voivode of Wallachia (died 1364) Ivan Alexander of Bulgaria, tsar of Bulgaria (beginnings of the 14th century – 1371) Aleksandr Mikhailovich of Tver, Prince of Tver as Alexander I and Grand Prince of Vladimir-Suzdal as Alexander II (1301–1339) Sikandar Khan Ghazi, Vizier of Sylhet (from 1303) Aleksander (1338–before 1386), Prince of Podolia (son of Narymunt) Sikandar Shah Miri, better known as Sikandar Butshikan ("Sikandar the Iconoclast"), sixth sultan of the Shah Miri dynasty of Kashmir (1353–1413) Sikandar Shah, Sultan of Bengal (1358–1390) Alexander II of Georgia (1483–1510) Alexandru I Aldea, ruler of the principality of Wallachia (1431–1436) Eskender, Emperor of Ethiopia (1472–1494) Alexander Jagiellon (Alexander of Poland), King of Poland (1461–1506) Nuruddin Sikandar Shah, Sultan of Bengal (1481) Alexandru Lăpuşneanu, Voivode of Moldavia (1499–1568) Sikandar Shah of Gujarat, ruler of Gujarat Sultanate (died 1526) Sikandar Shah Suri, Sur dynasty, Shah of Delhi (died 1559) Alexandru II Mircea, Voivode or Prince of Wallachia (1529–1577) Modern rulers Alexander I of Russia (1777–1825), emperor of Russia Alexander II of Russia (1818–1881), emperor of Russia Alexander III of Russia (1845–1894), emperor of Russia Alexander Karađorđević, Prince of Serbia (1842–1858) Alexander of Bulgaria (1857–1893), first prince of modern Bulgaria Alexandru Ioan Cuza, first prince of unified Romania (1859–1866) Alexander I Obrenović of Serbia (1876–1903), king of Serbia Alexander, Prince of Lippe (1831–1905), prince of Lippe Alexander I of Yugoslavia (1888–1934), first king of Yugoslavia Alexander, Crown Prince of Yugoslavia (born 1945), head of the Yugoslav Royal Family Zog I, also known as Skenderbeg III (1895–1961), king of Albanians Alexander of Greece (1893–1920), king of Greece Leka, Crown Prince of Albania (1939–2011), king of Albanians (throne pretender) Willem-Alexander, King of the Netherlands (born 1967), eldest child of Queen Beatrix and Prince Claus Other royalty Alexander, Judean Prince, one of the sons of Herod the Great from his wife Mariamne Alexander Helios, Ptolemaic prince, one of the sons of Cleopatra and Mark Anthony Alexander, Judean Prince, son to the above Alexander and Cappadocian princess Glaphyra Alexander (d. 1418), son of Bulgarian tsar Ivan Shishman Prince Alexander John of Wales (1871), short-lived son of Edward VII Prince Alexandre of Belgium (1942–2009) Prince Alfred of Edinburgh and Saxe-Coburg and Gotha (1874–1899) Olav V of Norway (Prince Alexander of Denmark) (1903–1991) Religious leaders Pope Alexander I (pope 97–105) Alexander of Apamea, 5th-century bishop of Apamea Pope Alexander II (pope 1058–1061) Pope Alexander III (pope 1159–1181) Pope Alexander IV (pope 1243–1254) Pope Alexander V ("Peter Philarges" c. 1339–1410) Pope Alexander VI (1492–1503), Roman pope Pope Alexander VII (1599–1667) Pope Alexander VIII (pope 1689–1691) Alexander of Constantinople, bishop of Constantinople (314–337) St. Alexander of Alexandria, Coptic Pope, Patriarch of Alexandria between 313 and 328 Pope Alexander II of Alexandria, Coptic Pope (702–729) Alexander of Lincoln, bishop of Lincoln Alexander of Jerusalem See also Saint Alexander, various saints with this name Other people Antiquity Alexander (artists), the name of a number of artists of ancient Greece and Rome Alexander of Lyncestis (died 330 BC), contemporary of Alexander the Great Alexander (son of Polyperchon) (died 314 BC), regent of Macedonia Alexander (Antigonid general), 3rd-century BC cavalry commander under Antigonus III Doson Alexander of Athens, 3rd-century BC Athenian comic poet Alexander Aetolus (), poet and member of the Alexandrian Pleiad Alexander (son of Lysimachus) (), Macedonian royal Alexander (grandson of Seleucus I Nicator) (), Greek Anatolian nobleman Alexander (Aetolian general), briefly conquered Aegira in 220 BC Alexander of Acarnania (died 191 BC), confidante of Antiochus III the Great Alexander Isius (), Aetolian military commander Alexander Lychnus, early 1st-century BC poet and historian Alexander Philalethes, 1st century BC physician Alexander Polyhistor, Greek scholar of the 1st century BC Alexander of Myndus, ancient Greek writer on zoology and divination Alexander of Aegae, peripatetic philosopher of the 1st century AD Alexander of Cotiaeum, 2nd-century Greek grammarian and tutor of Marcus Aurelius Alexander Numenius, 2nd-century Greek rhetorician Alexander Peloplaton, 2nd-century Greek rhetorician Alexander of Abonoteichus (), Greek religious leader and imposter Alexander of Aphrodisias (), Greek commentator and philosopher Alexander of Lycopolis, 4th-century author of an early Christian treatise against Manicheans Alexander, a member of the Jerusalem Temple Sanhedrin mentioned in Acts 4:6 Middle Ages Alexander of Hales, English theologian in the 13th century Modern Alexander (magician) (1880–1954), American stage magician specializing in mentalism People with the given name People with the given name Alexander or variants include: Technoblade (1999–2022), American YouTuber, real name Alexander, surname not made public Alexander Aigner (1909–1988), Austrian mathematician Alexander Albon (born 1996), Thai-British racing driver Aleksander Allila (born 1890), Finnish politician Alexander Vasilyevich Alexandrov (1883–1946), Russian composer Alexander Argov (1914–1995), Russian-born Israeli composer Alexander Armah (born 1994), American football player Alexander Armstrong (born 1970), British comedian and singer Aleksandr Averbukh (born 1974), Israeli pole vaulter Alex Baldock (born 1970), British businessman Alec Baldwin (born 1958), American actor Alexander Björk (born 1990), Swedish golfer Alexander Borodin (1833–1887), Russian composer Alexander Graham Bell (1847–1922), Scottish inventor of the first practical telephone Aleksander Barkov (born 1995), Finnish ice hockey player Alexander Calder (1898–1976), American sculptor best known for making mobiles Aleksandr Davidovich (disambiguation), several people Alexander Davidson (disambiguation), several people Alexander Day (disambiguation), several people Alexander Nicholas de Abrew Abeysinghe (1894–1963), Sri Lankan Sinhala politician Alex DeBrincat (born 1997), American ice hockey player Alexander Edmund de Silva Wijegooneratne Samaraweera Rajapakse (1866–1937), Sri Lankan Sinhala politician Aleksandar Djordjevic (born 1967), Serbian basketball player Alexander Dubček (1921–1992), leader of Czechoslovakia (1968–1969) Alex Ebert (born 1978), American singer-songwriter Alexander Lee Eusebio (born 1988), also known as Alexander or Xander, South Korean singer, member of U-KISS Alexander Exarch (1810–1891), Bulgarian revivalist, publicist and journalist, participant in the struggle for an independent Bulgarian Exarchate Alex Ferguson (born 1941), Scottish football player and manager Alexander Fleming (1881–1955), Scottish discoverer of penicillin Alexander Zusia Friedman (1897–1943), Polish rabbi, educator, activist, and journalist Aleksander Gabelic (born 1965), Swedish politician Alex Galchenyuk (born 1994), American ice hockey player Alexander Gardner (disambiguation), multiple people Alexander Glazunov (1865–1936), Russian composer Alexander Goldberg (born 1974), British rabbi, barrister, and human rights activist Alexander Goldberg (chemical engineer), Israeli chemical engineer and President of the Technion – Israel Institute of Technology Alexander Goldscheider (born 1950), Czech/British composer, producer and writer Alexander Gomelsky (1928–2005), Russian head coach of USSR basketball national team for 30 years Alexander Gordon (disambiguation), several people Aleksandr Gordon (1931–2020), Russian-Soviet director, screenwriter and actor Aleksandr Gorelik (1945–2012), Soviet figure skater Alexander Gould (born 1994), American actor Alexander Grothendieck (1928–2014), German-born French mathematician Alexander Gustafsson (born 1987), Swedish mixed martial arts fighter Alexander Haig (1924–2010), American general and politician Alexander Hamilton (1755–1804), first United States Secretary of the Treasury and one of the founding fathers of the United States Alexander Hamilton Jr. (1786–1875), American attorney and son of Alexander Hamilton Alexander Hamilton Jr. (1816–1889), son of James Alexander Hamilton and grandson of Alexander Hamilton Alexander Held (born 1958), German actor Alexander Henn, German anthropologist Alexander Henry (1823–1883), mayor of Philadelphia Alex Higgins (1949–2010), Northern Irish snooker player Alexander Hollins (born 1996), American football player Alexander Holtz (born 2002), Swedish ice hockey player Alex Horne (born 1978), British comedian Alexander von Humboldt (1769–1859), Prussian naturalist and explorer Alexander Ilečko (1937-2023), Slovak sculptor Alex Jones (born 1974), American radio show host and conspiracy theorist Aleksandr Kamshalov (1932–2019), Soviet politician Alex Kapranos (born 1972), Scottish musician, author, songwriter and producer, front-man of Franz Ferdinand Aleksandar Katai (born 1991), Serbian footballer Alexander Kerensky (1881–1970) leader of Russian Provisional Government Alexander Kerfoot (born 1994), Canadian ice hockey player Alex Killorn (born 1989), Canadian ice hockey player Alexander Klingspor (born 1977), Swedish painter and sculptor Aleksandr Kogan (born 1985/86), Moldovan-born American psychologist and data scientist Alexander Korda (1893–1956), Hungarian film director Alexander Kucheryavenko (born 1987), Russian ice hockey player Aleksander Kwaśniewski (born 1954), former President of Poland Alexander Levinsky (1910–1990), Canadian ice hockey player Alexander Ivanovich Levitov (1835–1877), Russian writer Alexander Lévy (born 1990), French golfer Alexandre Lippmann (1881–1960), French épée fencer Alexander Ludwig (born 1992), Canadian actor Alexander "Sandy" Lyle (born 1958), Scottish golfer Alexander Lukashenko (born 1954), President of Belarus Alex Manninger (born 1977), Austrian footballer Alessandro Manzoni (1785–1873), Italian poet and novelist Alexander "Ali" Marpet (born 1993), American football player Alexander Mattison (born 1998), American football player Alexander McClure (1828–1909), American politician, editor and writer Alexander Lyell McEwin (1897–1988), known as Lyell McEwin, Australian politician, Minister for Health Alexander McQueen (1969–2010), British fashion designer and couturier Alexander Michel Melki (born 1992), Swedish-Lebanese footballer Alexander Mirsky (born 1964), Latvian politician Alexander Francis Molamure (1888–1951), 1st Speaker of the State Council of Ceylon and 1st Speaker of the Parliament of Sri Lanka Alessandro Moreschi (1858–1922), Italian castrato singer Aleksandr Nikolayev (disambiguation), several people Alexander Nikolov (boxer) (born 1940), Bulgarian boxer Alex Norén (born 1982), Swedish golfer Alexander Nylander (born 1998), Swedish ice hockey player Alexander O'Neal (born 1953), American singer Alexander Ovechkin (born 1985), Russian hockey player Alexander Patch (1889–1945), American general during World War II Alexander Pechtold (born 1965), Dutch politician Alexander Penn (1906–1972), Israeli poet Alexander Perera Jayasuriya (1901–1980), Sri Lankan Sinhala MP and Cabinet Minister Alexander Pichushkin (born 1974), prolific Russian serial killer Alex Pietrangelo (born 1990), Canadian ice hockey player Alexander Piorkowski (1904–1948), German Nazi SS concentration camp commandant executed for war crimes Alexander Ponomarenko (born 1964), Russian billionaire businessman Alexander Pope (1688–1744), English poet Alexander Popov (disambiguation), several people Alexander Ptushko (1900–1973), Russian film director Alexander Pushkin (1799–1837), Russian writer Alexander Radulov (born 1986), Russian ice hockey player Alexander Ragoza (1858–1919), Russian general in World War I Alexander Rendell (born 1990), Thai actor and singer Alex Rodriguez (born 1975), Major League Baseball star, won 3 AL MVP awards, also known as A-Rod Alexander Rou (1906–1973), Russian film director Alexander Rowe (born 1992), Australian athlete Alexander Rudolph ("Al McCoy"; 1894–1966), American boxer Alexander Rybak (born 1986), Belarusian-born Norwegian artist and violinist Alexander Salkind (1921–1997), French film producer Alexander Scriabin (1872–1915), Russian composer and pianist Alexander Selkirk (1676–1721), Scottish privateer and Royal Navy officer Alexander Semin (born 1984), Russian hockey player Alexander Shatilov (born 1987), Uzbek-Israeli artistic gymnast Alexander Theodore "Sasha" Shulgin (1925–2014), American chemist, psychopharmacologist, and author Alexander Sieghart (born 1994), Thai footballer Alexander Skarsgård (born 1976), Swedish actor Alexander Stafford, British politician Alexander Stavenitz (1901–1960), Russian Empire-born American visual artist and educator Alexander Suvorov (1730–1800), Russian military leader, considered a national hero, Count of Rymnik, Count of the Holy Roman Empire, Prince of Italy, and the last Generalissimo of the Russian Empire Alexander McCall Smith (born 1948), Scottish writer Alexander Solonik (1960–1997), Russian murder victim Aleksandr Solzhenitsyn (1918–2008), Russian writer, Nobel laureate, Soviet dissident Alexander Steen (born 1984), Swedish ice hockey player Alexandre Texier (born 1999), French ice hockey player Alex Turner (born 1986), British musician, songwriter and producer, front-man of Arctic Monkeys and The Last Shadow Puppets Lex van Dam (born 1968), Dutch trader and TV personality Alexander Van der Bellen (born 1944), President of Austria Alexander Varchenko (born 1949), Russian mathematician Aleksander Veingold (born 1953), Estonian and Soviet chess player and coach Aleksandr Vlasov (disambiguation), several people Alexander Volkanovski (born 1988), UFC Fighter Alessandro Volta (1745–1827), Italian physicist Alexander Wennberg (born 1994), Swedish ice hockey player Alexander Wilson (disambiguation), several people Alexander Wijemanne, Sri Lankan Sinhala lawyer and politician Alex Zanardi (born 1966), Italian racing driver and paracyclist Oleksandr Zubov (born 1983), Ukrainian chess player and Grandmaster Alexander Zverev (born 1997), German tennis player In other languages Afrikaans: Alexander Albanian: Aleksandër Albanian diminutive: Leka Amharic: እስክንድር (Isikinidiri, Eskender) Arabic: (Iskandar) Armenian: Ալեքսանդր (Aleksandr) Asturian: Alexandru, Xandru Azerbaijani: İsgəndər/Исҝәндәр/ایسگندر, Aleksandr/Александр/آلئکساندر Basque: Alesander Belarusian: Аляксандр (Aliaksandr), Алесь (Ales) Bengali: সিকান্দর (Sikandor) Bulgarian: Александър (Aleksandŭr), Сашко (Sashko) Catalan: Alexandre/Aleixandre Chinese: Historical: Traditional: , Simplified: , Baxter-Sagart: Traditional and Simplified: , Baxter Romanization: 'a lejH sanH Contemporary: Traditional: , Simplified: , Pinyin: Yàlìshāndà, Jyutping: aa3 lik6 saan1 daai6, Wugniu: iá-liq-sé-da, BUC: Ā-lĭk-săng-dâi Czech: Alexandr, Alexander Danish: Aleksander, Alexander Dutch: Alexander Esperanto: Aleksandro Estonian: Aleksander English: Alexander Finnish: Aleksanteri French: Alexandre Galician: Alexandre Georgian: ალექსანდრე (Aleksandre) German: Alexander Greek Mycenaean Greek: 𐀀𐀩𐀏𐀭𐀅𐀫 (Aléxandros) Ancient Greek: Ἀλέξανδρος (Aléxandros) Koine Greek: Ἀλέξανδρος (Aléxandros) Modern Greek: Αλέξανδρος (Aléxandros) Hawaiian: Alekanekelo Hebrew: אלכסנדר (Aleksander) Hindi: सिकंदर (Sikandar) Hungarian: Sándor, Alexander, Elek Icelandic: Alexander Indonesian: Iskandar Irish: Alastar Italian: Alessandro Japanese: アレキサンダー (Arekisandā) Korean: 알렉산더 (Alleksandeo) Kazakh: Искандер (Iskander) Kyrgyz: Искендер (Iskender) Latin: Alexander Latvian: Aleksandrs Lithuanian: Aleksandras Macedonian: Александар (Aleksandar), Сашко (Sashko, Saško) Malay: Iskandar Malayalam Syriac Origin : ചാണ്ടി (t͡ʃaːɳʈI), ഇടിക്കുള (IʈIkkʊɭa) Greek Origin : അലക്സിയോസ് (alaksIyos), അലക്സി (alaksI) Anglican Origin : അലക്സാണ്ടര്‍ (alaksa:ndar), അലക്സ് (alaks) Mongolian: Александр (Alyeksandr) Norwegian: Aleksander, Alexander Pashto: سکندر (Sikandar) Persian: (Aleksânder), (Eskandar) Polish: Aleksander Portuguese: Alexandre, Alexandro, Alessandro, Leandro Punjabi: Sikandar Romanian: Alexandru, Alex, Sandu Russian: Александр (Aleksandr), Саша (Sasha) Rusyn: Александер (Aleksander) Sanskrit: अलक्षेन्द्र (Alakṣendra) Scottish: Alasdair, Alastair, Alistair, Alister Serbo-Croatian: Александар / Aleksandar Slovak: Alexander Slovene: Aleksander Spanish: Alejandro Swedish: Alexander Tagalog: Alejandro Turkish: İskender Ukrainian: Олександр (Oleksandr, sometimes anglicized Olexander), Сашко (Sashko), Олесь (Oles), Олелько (Olelko) Urdu: سکندر (Sikandar) Valencian: Alecsandro, Aleksandro, Aleixandre, Alexandre Vietnamese: Alexander, A Lịch San Welsh: Alexander Yiddish: אלעקסאנדער (Aleksander) Variants and diminutives Al Ale Alex Alexey Xander Sasha/Sash Alexsander Alixander See also Alex (disambiguation) Alexandra Justice Alexander (disambiguation) Alexander (surname) Hera Alexandros, epithet of the Greek goddess Hera References Armenian masculine given names Czech masculine given names Danish masculine given names Dutch masculine given names English-language masculine given names English masculine given names German masculine given names Irish masculine given names Given names of Greek language origin Masculine given names Norwegian masculine given names Russian masculine given names Slavic masculine given names Swedish masculine given names Welsh masculine given names Welsh given names
1613
https://en.wikipedia.org/wiki/Alexios%20I%20Komnenos
Alexios I Komnenos
Alexios I Komnenos (, 1057 – 15 August 1118; Latinized Alexius I Comnenus) was Byzantine emperor from 1081 to 1118. Although he was not the first emperor of the Komnenian dynasty, it was during his reign that the Komnenos family came to full power and initiated a hereditary succession to the throne. Inheriting a collapsing empire and faced with constant warfare during his reign against both the Seljuq Turks in Asia Minor and the Normans in the western Balkans, Alexios was able to curb the Byzantine decline and begin the military, financial, and territorial recovery known as the Komnenian restoration. His appeals to Western Europe for help against the Turks was the catalyst that sparked the First Crusade. Biography Alexios was the son of John Komnenos and Anna Dalassene, and the nephew of Isaac I Komnenos (emperor 1057–1059). Alexios' father declined the throne on the abdication of Isaac, who was thus succeeded by Constantine X Doukas (r. 1059–1067) and died as a monk in 1067. Alexios and his elder brother, Manuel Komnenos served under Romanos IV Diogenes (r. 1068–1071) with distinction against the Seljuk Turks. Under Michael VII Doukas Parapinakes (1071–1078) and Nikephoros III Botaneiates (1078–1081), he was militarily employed, along with his elder brother Isaac, against rebels in Asia Minor, Thrace, and in Epirus. In 1074, western mercenaries led by Roussel de Bailleul rebelled in Asia Minor, but Alexios successfully subdued them by 1076. In 1078, he was appointed commander of the field army in the West by Nikephoros III. In this capacity, Alexios defeated the rebellions of Nikephoros Bryennios the Elder (whose son or grandson later married Alexios' daughter Anna) and Nikephoros Basilakes, the first at the Battle of Kalavrye and the latter in a surprise night attack on his camp. Alexios was ordered to march against his brother-in-law Nikephoros Melissenos in Asia Minor but refused to fight his kinsman. This did not, however, lead to a demotion, as Alexios was needed to counter the expected invasion of the Normans of Southern Italy, led by Robert Guiscard. Conspiracy and revolt of the Komnenoi against Botaneiates While Byzantine troops were assembling for the expedition, the Doukas faction at court approached Alexios and convinced him to join a conspiracy against Nikephoros III. The mother of Alexios, Anna Dalassene, was to play a prominent role in this coup d'état of 1081, along with the current empress, Maria of Alania. First married to Michael VII Doukas and secondly to Nikephoros III Botaneiates, she was preoccupied with the future of her son by Michael VII, Constantine Doukas. Nikephoros III intended to leave the throne to one of his close relatives, and this resulted in Maria's ambivalence and alliance with the Komnenoi, though the real driving force behind this political alliance was Anna Dalassene. The empress was already closely connected to the Komnenoi through Maria's cousin Irene's marriage to Isaac Komnenos, so the Komnenoi brothers were able to see her under the pretense of a friendly family visit. Furthermore, to aid the conspiracy Maria had adopted Alexios as her son, though she was only five years older than he. Maria was persuaded to do so on the advice of her own "Alans" and her eunuchs, who had been instigated by Isaac Komnenos. Given Anna's tight hold on her family, Alexios must have been adopted with her implicit approval. As a result, Alexios and Constantine, Maria's son, were now adoptive brothers, and both Isaac and Alexios took an oath that they would safeguard his rights as emperor. By secretly giving inside information to the Komnenoi, Maria was an invaluable ally. As stated in the Alexiad, Isaac and Alexios left Constantinople in mid-February 1081 to raise an army against Botaneiates. However, when the time came, Anna quickly and surreptitiously mobilized the remainder of the family and took refuge in the Hagia Sophia. From there she negotiated with the emperor for the safety of family members left in the capital, while protesting her sons' innocence of hostile actions. Under the falsehood of making a vesperal visit to worship at the church, she deliberately excluded the grandson of Botaneiates and his loyal tutor, met with Alexios and Isaac, and fled for the forum of Constantine. The tutor discovered they were missing and eventually found them on the palace grounds, but Anna was able to convince him that they would return to the palace shortly. Then to gain entrance to both the outer and inner sanctuary of the church, the women pretended to the gatekeepers that they were pilgrims from Cappadocia who had spent all their funds and wanted to worship before starting their return trip. However, before they were to gain entry into the sanctuary, Straboromanos and royal guards caught up with them to summon them back to the palace. Anna then protested that the family was in fear for their lives, her sons were loyal subjects (Alexios and Isaac were discovered absent without leave), and had learned of a plot by enemies of the Komnenoi to have them both blinded and had, therefore, fled the capital so they may continue to be of loyal service to the emperor. She refused to go with them and demanded that they allow her to pray to the Mother of God for protection. This request was granted and Anna then manifested her true communicative and leadership capabilities: Nikephoros III Botaneiates was forced into a public vow that he would grant protection to the family. Straboromanos tried to give Anna his cross, but for her it was not large enough for all bystanders to witness the oath. She also demanded that the cross be personally sent by Botaneiates as a vow of his good faith. He obliged, sending a complete assurance for the family with his own cross. At the emperor's further insistence, and for their own protection, they took refuge at the convent of Petrion, where they were eventually joined by Maria of Bulgaria, mother of Irene Doukaina. Botaneiates allowed them to be treated as refugees rather than as guests. They were allowed to have family members bring in their own food and were on good terms with the guards from whom they learned the latest news. Anna was highly successful in three important aspects of the revolt: she bought time for her sons to steal imperial horses from the stables and escape the city; she distracted the emperor, giving her sons time to gather and arm their troops; and she gave a false sense of security to Botaneiates that there was no real treasonous plot against him. After bribing the Western troops guarding the city, Isaac and Alexios Komnenos entered the capital victoriously on 1 April 1081. During this time, Alexios was rumored to be the lover of Empress Maria, the daughter of King Bagrat IV of Georgia, who had been successively married to Michael VII Doukas and his successor Nikephoros III Botaneiates, and who was renowned for her beauty. Alexios arranged for Maria to stay on the palace grounds, and it was thought that he was considering marrying her. However, his mother consolidated the Doukas family connection by arranging the Emperor's marriage to Irene Doukaina, granddaughter of the Caesar John Doukas, the uncle of Michael VII, who would not have supported Alexios otherwise. As a measure intended to keep the support of the Doukai, Alexios restored Constantine Doukas, the young son of Michael VII and Maria, as co-emperor and a little later betrothed him to his own first-born daughter Anna, who moved into the Mangana Palace with her fiancé and his mother. This situation changed drastically, however, when Alexios' first son John II Komnenos was born in 1087: Anna's engagement to Constantine was dissolved, and she was moved to the main Palace to live with her mother and grandmother. Alexios became estranged from Maria, who was stripped of her imperial title and retired to a monastery, and Constantine Doukas was deprived of his status as co-emperor. Nevertheless, he remained on good terms with the imperial family and succumbed to his weak constitution soon afterwards. Wars against the Normans, Pechenegs, and Tzachas The thirty-seven year reign of Alexios was full of struggle. At the outset he faced the formidable attack of the Normans, led by Robert Guiscard and his son Bohemund, who took Dyrrhachium and Corfu and laid siege to Larissa in Thessaly (see Battle of Dyrrhachium). Alexios suffered several defeats before he was able to strike back with success. He enhanced his resistance by an agreement with the German king Henry IV, who, in exchange for 360,000 gold pieces, did attack the Normans in Italy, which forced the Normans to concentrate on their defenses at home in 1083–84. He also secured the alliance of Henry, Count of Monte Sant'Angelo, who controlled the Gargano Peninsula and dated his charters by Alexios' reign. Henry's allegiance would be the last example of Byzantine political control on peninsular Italy. The Norman military danger subsided with the death of Guiscard in 1085, and the Byzantines recovered most of their losses. Alexios next had to deal with disturbances in Thrace, where the heretical sects of the Bogomils and the Paulicians revolted and made common cause with the Pechenegs from beyond the Danube. Paulician soldiers in imperial service likewise deserted during Alexios' battles with the Normans. As soon as the Norman threat had passed, Alexios set out to punish the rebels and deserters, confiscating their lands. This led to a further revolt near Philippopolis, and the commander of the field army in the west, Gregory Pakourianos, was defeated and killed in the ensuing battle. In 1087 the Pechenegs raided into Thrace, and Alexios crossed into Moesia to retaliate but failed to take Dorostolon (Silistra). During his retreat, the emperor was confronted and defeated by the Pechenegs, who forced him to sign a truce and to pay protection money. In 1090 the Pechenegs invaded Thrace again, while Tzachas, the brother-in-law of the Sultan of Rum, launched a fleet and attempted to arrange a joint siege of Constantinople with the Pechenegs. Alexios overcame this crisis by entering into an alliance with a horde of 40,000 Cumans, with whose help he conquered the Pechenegs at Levounion in Thrace on 29 April 1091. This put an end to the Pecheneg threat, but in 1094 the Cumans began to raid the imperial territories in the Balkans. Led by a pretender claiming to be Constantine Diogenes, a long-dead son of the Emperor Romanos IV, the Cumans crossed the mountains and raided into eastern Thrace until their leader was eliminated at Adrianople. With the Balkans more or less pacified, Alexios could now turn his attention to Asia Minor, which had been almost completely overrun by the Seljuq Turks. Byzantine–Seljuq Wars and the First Crusade By the time Alexios ascended the throne, the Seljuqs had taken most of Asia Minor. Alexios was able to secure much of the coastal regions by sending peasant soldiers to raid the Seljuq camps, but these victories were unable to stop the Turks altogether. He also got military support from Western rulers like Robert I Count of Flanders (Robert the Frisian) returning from an armed pilgrimage to Jerusalem in 1086 spending time assisting the Byzantine Emperor against the Turks. In one battle Robert and three of his companions rode ahead of the main army charging the forces under the command of Kerbogha, whose forces were scattered completely. As early as 1090, Alexios had taken reconciliatory measures towards the Papacy, with the intention of seeking western support against the Seljuqs. In 1095 his ambassadors appeared before Pope Urban II at the Council of Piacenza. The help he sought from the West was some mercenary forces, not the immense hosts that arrived, to his consternation and embarrassment, after the pope preached the First Crusade at the Council of Clermont later that same year. This was the People's Crusade: a mob of mostly unarmed poor peasants and serfs, led by the preacher Peter the Hermit, fleeing from hunger in their home regions to a promised land of milk and honey. Not quite ready to supply this number of people as they traversed his territories, the emperor saw his Balkan possessions subjected to further pillage at the hands of his own allies. Eventually Alexios dealt with the People's Crusade by hustling them on to Asia Minor. There, they were massacred by the Turks of Kilij Arslan I at the Battle of Civetot in October 1096. The "Prince's Crusade", the second and much more formidable host of crusaders, gradually made its way to Constantinople, led in sections by Godfrey of Bouillon, Bohemond of Taranto, Raymond IV of Toulouse, and other important members of the western nobility. Alexios used the opportunity to meet the crusader leaders separately as they arrived, extracting from them oaths of homage and the promise to turn over conquered lands to the Byzantine Empire. Transferring each contingent into Asia, Alexios promised to supply them with provisions in return for their oaths of homage. The crusade was a notable success for Byzantium, as Alexios recovered a number of important cities and islands. The siege of Nicaea by the crusaders forced the city to surrender to the emperor in 1097, and the subsequent crusader victory at Dorylaion allowed the Byzantine forces to recover much of western Asia Minor. John Doukas re-established Byzantine rule in Chios, Rhodes, Smyrna, Ephesus, Sardis, and Philadelphia in 1097–1099. This success is ascribed by Alexios' daughter Anna to his policy and diplomacy, but by the Latin historians of the crusade to his treachery and deception. In 1099, a Byzantine fleet of ten ships was sent to assist the crusaders in capturing Laodicea and other coastal towns as far as Tripoli. The crusaders believed their oaths were made invalid when the Byzantine contingent under Tatikios failed to help them during the siege of Antioch; Bohemund, who had set himself up as Prince of Antioch, briefly went to war with Alexios in the Balkans, but he was blockaded by the Byzantine forces and agreed to become a vassal of Alexios by the Treaty of Deabolis in 1108. Around this time, in 1106, the twentieth year of his reign, Hesychius of Miletus records that the sky suddenly darkened and a "violent southern wind" blew the great statue of Constantine at the Strategion from its column, killing a number of men and women nearby. In 1116, though already terminally ill, Alexios conducted a series of defensive operations in Bithynia and Mysia to defend his Anatolian territories against the inroads of Malik Shah, the Seljuq Sultan of Iconium. In 1117 he moved onto the offensive and pushed his army deep into the Turkish-dominated Anatolian Plateau, where he defeated the Seljuq sultan at the Battle of Philomelion. Personal life During the last twenty years of his life Alexios lost much of his popularity. The years were marked by persecution of the followers of the Paulician and Bogomil heresies—one of his last acts was publicly to burn at the stake Basil, a Bogomil leader, with whom he had engaged in a theological dispute. In spite of the success of the First Crusade, Alexios also had to repel numerous attempts on his territory by the Seljuqs in 1110–1117. Alexios was for many years under the strong influence of an eminence grise, his mother Anna Dalassene, a wise and immensely able politician whom, in a uniquely irregular fashion, he had crowned as Augusta instead of the rightful claimant to the title, his wife Irene Doukaina. Anna Dalassene's ability to help him seize power and control the aristocracy, as well as her ability to understand and resolve dilemmas, assured Alexius that her mother was a capable counsel and managing partner by his side, and a sane and trusted regent in his absence. Alexios was never happier than when taking part in military exercises and he assumed personal command of his troops whenever possible. As such, Dalassene was the effective administrator of the Empire during Alexios' long absences in military campaigns: she was constantly at odds with her daughter-in-law and had assumed total responsibility for the upbringing and education of her granddaughter Anna Komnene. Succession Alexios' last years were also troubled by anxieties over the succession. Although he had crowned his son John II Komnenos co-emperor at the age of five in 1092, his wife Irene Doukaina wished to alter the succession in favor of their daughter Anna and Anna's husband, Nikephoros Bryennios the Younger. Bryennios had been made kaisar (Caesar) and received the newly created title of panhypersebastos ("honoured above all"), and remained loyal to both Alexios and John. Pretenders and rebels Apart from all of his external enemies, a host of rebels also sought to overthrow Alexios from the imperial throne, thereby posing another major threat to his reign. Due to the troubled times the empire was enduring, he had by far the greatest number of rebellions against him of all the Byzantine emperors. These included: Pre First Crusade Raictor, a Byzantine monk who claimed to be the emperor Michael VII. He presented himself to Robert Guiscard who used him as a pretext to launch his invasion of the Byzantine Empire. A conspiracy in 1084 involving several senators and officers of the army. This was uncovered before too many followers were enlisted. In order to conceal the importance of the conspiracy, Alexios merely banished the wealthiest plotters and confiscated their estates. Tzachas, a Seljuq Turkic emir who assumed the title of emperor in 1092. Constantine Humbertopoulos, who had assisted Alexios in gaining the throne in 1081 conspired against him in 1091 with an Armenian called Ariebes. John Komnenos, Alexios' nephew, governor of Dyrrachium, accused of a conspiracy by Theophylact of Bulgaria. Theodore Gabras, the quasi-independent governor of Trebizond and his son Gregory. Michael Taronites, the brother-in-law of Alexios. Nikephoros Diogenes, the son of emperor Romanos IV. Pseudo-Leo Diogenes , an impostor who assumed the identity of another of Romanos' sons, Leo Diogenes. Karykes, the leader of a revolt in Crete. Rhapsomates, who tried to create an independent kingdom in Cyprus. Post First Crusade Salomon, a senator of great wealth who in 1106 engaged in a plot with four brothers of the Anemas family. Gregory Taronites, another governor of Trebizond. The illegitimate descendant of a Bulgarian prince named Aron formed a plot in 1107 to murder Alexios as he was encamped near Thessalonica. The presence of the empress Irene and her attendants, however, made the execution of the plot difficult. In an attempt to have her return to Constantinople, the conspirators produced pamphlets that mocked and slandered the empress, and left them in her tent. A search for the author of the publications uncovered the whole plot, yet Aron was only banished due to his connection to the royal line of Bulgaria, whose blood also flowed in the veins of the empress Irene. Reform of the monetary system Under Alexios the debased solidus (tetarteron and histamenon) was discontinued and a gold coinage of higher fineness (generally .900–.950) was established in 1092, commonly called the hyperpyron at 4.45 grs. The hyperpyron was slightly smaller than the solidus. It was introduced along with the electrum aspron trachy worth a third of a hyperpyron and about 25% gold and 75% silver, the billon aspron trachy or stamenon, valued at 48 to the hyperpyron and with 7% silver wash and the copper tetarteron and noummion worth 18 and 36 to the billon aspron trachy. Alexios' reform of the Byzantine monetary system was an important basis for the financial recovery and therefore supported the so-called Komnenian restoration, as the new coinage restored financial confidence. Legacy Alexios I had overcome a dangerous crisis and stabilized the Byzantine Empire, inaugurating a century of imperial prosperity and success. He had also profoundly altered the nature of the Byzantine government. By seeking close alliances with powerful noble families, Alexios put an end to the tradition of imperial exclusivity and co-opted most of the nobility into his extended family and, through it, his government. Those who did not become part of this extended family were deprived of power and prestige. This measure, which was intended to diminish opposition, was paralleled by the introduction of new courtly dignities, like that of panhypersebastos given to Nikephoros Bryennios, or that of sebastokrator given to the emperor's brother Isaac Komnenos. Although this policy met with initial success, it gradually undermined the relative effectiveness of imperial bureaucracy by placing family connections over merit. Alexios' policy of integration of the nobility bore the fruit of continuity: every Byzantine emperor who reigned after Alexios I Komnenos was related to him by either descent or marriage. Family By his marriage with Irene Doukaina, Alexios I had the following children: Anna Komnene (1 December 1083 – 1148/55), in her infancy she was betrothed to Constantine Doukas, and with him treated as co-ruler by her father until after the birth of John II. In 1097 she married Nikephoros Bryennios the Younger, later raised to Caesar. Highly ambitious, after Alexios' death she tried unsuccessfully to usurp the throne. She then withdrew to a monastery, where she wrote her history of Alexios' reign. The couple had several children, but only four survived her. Maria Komnene (19 September 1085 – after 1136), initially betrothed to Gregory Gabras, but married to Nikephoros Katakalon. The couple had several children, but only two sons are known by name. John II Komnenos (13 September 1087 – 8 April 1143), who succeeded as emperor. Andronikos Komnenos (18 September 1091 – 1130/31), was named sebastokrator and participated in several campaigns until his death from disease. He married Irene, likely a Russian princess, and had at least two sons. Isaac Komnenos (16 January 1093 – after 1152), sebastokrator. Eudokia Komnene (14 January 1094 – ), who married the son of Constantine Iasites. Theodora Komnene (15 January 1096) who married (1) Constantine Kourtikes and (2) Constantine Angelos. By him she was the grandmother of Emperors Isaac II Angelos and Alexios III Angelos, as well as the progenitor of the ruling dynasty of the Despotate of Epirus. Through Isaac II's daughter Irene Angelina's children by Philip of Swabia, she is an ancestor of many European royal families, including all European monarchs currently reigning. Manuel Komnenos, born February 1097 and known only from a manuscript now in Moscow, died probably soon after his birth Zoe Komnene, born March 1098 and known only from a manuscript now in Moscow, died probably soon after her birth Later Russian sources also claim the existence of another daughter, Barbara, who supposedly married Grand Prince of Kiev Sviatopolk II Iziaslavich, but her existence is considered as a later invention by modern historians. See also Byzantine army (Komnenian era) List of Byzantine emperors Notes Sources Primary sources Secondary sources Further reading External links Alexius coinage 1050s births 1118 deaths Year of birth uncertain 11th-century Byzantine emperors 1080s in the Byzantine Empire 1090s in the Byzantine Empire 1100s in the Byzantine Empire 1110s in the Byzantine Empire 12th-century Byzantine emperors Byzantine people of the Byzantine–Norman wars Byzantine people of the Byzantine–Seljuk wars Byzantine people of the Crusades Christian anti-Gnosticism Domestics of the Schools Eastern Orthodox monarchs Nobilissimi Panhypersebastoi People associated with Xenophontos Monastery Byzantine people of the Byzantine–Pecheneg wars
1623
https://en.wikipedia.org/wiki/Andrew%20Jackson
Andrew Jackson
Andrew Jackson (March 15, 1767 – June 8, 1845) was an American lawyer, planter, general, and statesman who served as the seventh president of the United States from 1829 to 1837. Before being elected to the presidency, he gained fame as a general in the U.S. Army and served in both houses of the U.S. Congress. Although often praised as an advocate for ordinary Americans and for his work in preserving the union of states, Jackson has also been criticized for his racial policies, particularly his treatment of Native Americans. Jackson was born in the colonial Carolinas before the American Revolutionary War. He became a frontier lawyer and married Rachel Donelson Robards. He briefly served in the U.S. House of Representatives and the U.S. Senate, representing Tennessee. After resigning, he served as a justice on the Tennessee Supreme Court from 1798 until 1804. Jackson purchased a property later known as the Hermitage, becoming a wealthy planter who owned hundreds of African American slaves during his lifetime. In 1801, he was appointed colonel of the Tennessee militia and was elected its commander the following year. He led troops during the Creek War of 1813–1814, winning the Battle of Horseshoe Bend. The subsequent Treaty of Fort Jackson required the indigenous Creek population to surrender vast tracts of present-day Alabama and Georgia. In the concurrent war against the British, Jackson's victory at the Battle of New Orleans in 1815 made him a national hero. He later commanded U.S. forces in the First Seminole War, which led to the annexation of Florida from Spain. Jackson briefly served as Florida's first territorial governor before returning to the Senate. He ran for president in 1824, winning a plurality of the popular and electoral vote, but no candidate won an electoral majority. In a contingent election, the House of Representatives elected John Quincy Adams with Henry Clay's support. Jackson's supporters alleged that there was a "corrupt bargain" between Adams and Clay and began creating their own political organization that would eventually become the Democratic Party. Jackson ran again in 1828, defeating Adams in a landslide. In 1830, he signed the Indian Removal Act. This act, which has been described as ethnic cleansing, displaced tens of thousands of Native Americans from their ancestral homelands east of the Mississippi and resulted in thousands of deaths. Under Jackson, the integrity of the federal union was challenged when South Carolina threatened to nullify a high protective tariff set by the federal government. He threatened the use of military force to enforce the tariff, but the crisis was defused when it was amended. In 1832, he vetoed a bill by Congress to reauthorize the Second Bank of the United States, arguing that it was a corrupt institution that benefited the wealthy. After a lengthy struggle, he and his allies dismantled the Bank. In 1835, Jackson became the only president to pay off the national debt. He also survived the first assassination attempt on a sitting president. In one of his final presidential acts, he recognized the Republic of Texas. In his retirement, Jackson stayed active in politics. He supported the presidencies of Martin Van Buren and James K. Polk, as well as the annexation of Texas, which was accomplished shortly before his death. Jackson's legacy remains controversial, and opinions on him are frequently polarized. Supporters characterize him as a defender of democracy and the Constitution, while critics point to his reputation as a demagogue who ignored the law when it suited him. Scholars and historians have consistently ranked Jackson's presidency as significantly above-average, although his reputation among experts has declined since the late 20th century. Early life and education Andrew Jackson was born on March 15, 1767, in the Waxhaws region of the Carolinas. His parents were Scots-Irish colonists Andrew Jackson and Elizabeth Hutchinson, Presbyterians who had emigrated from Ulster, Ireland, in 1765. Jackson's father was born in Carrickfergus, County Antrim, around 1738, and his ancestors had crossed into Northern Ireland from Scotland after the Battle of the Boyne in 1690. Jackson had two older brothers who came with his parents from Ireland, Hugh (born 1763) and Robert (born 1764). Jackson's exact birthplace is unclear. Jackson's father died at the age of 29 in a logging accident while clearing land in February 1767, three weeks before his son Andrew was born. Afterwards, Elizabeth and her three sons moved in with her sister and brother-in-law, Jane and James Crawford. Jackson later stated that he was born on the Crawford plantation, which is in Lancaster County, South Carolina, but second-hand evidence suggests that he might have been born at another uncle's home in North Carolina. When Jackson was young, Elizabeth thought he might become a minister and paid to have him schooled by a local clergyman. He learned to read, write, work with numbers, and was exposed to Greek and Latin, but he was too strong-willed and hot-tempered for the ministry. Revolutionary War Jackson and his older brothers, Hugh and Robert, served on the Patriot side against British forces during the American Revolutionary War. Hugh served under Colonel William Richardson Davie, dying from heat exhaustion after the Battle of Stono Ferry in June 1779. After anti-British sentiment intensified in the Southern Colonies following the Waxhaws Massacre in May 1780, Elizabeth encouraged Andrew and Robert to participate in militia drills. They served as couriers and scouts, and participated with Davie in the Battle of Hanging Rock in August 1780. Andrew and Robert were captured in April 1781 when the British occupied the home of a Crawford relative. A British officer demanded to have his boots polished. Andrew refused, and the major slashed him with a sword, leaving him with scars on his left hand and head. Robert also refused and was struck a blow on the head. The brothers were taken to a prisoner-of-war camp in Camden, South Carolina, where they became malnourished and contracted smallpox. In late spring, the brothers were released to their mother in a prisoner exchange. Robert died two days after arriving home, but Elizabeth was able to nurse Andrew back to health. Once he recovered, Elizabeth volunteered to nurse American prisoners of war housed in British prison ships in the harbor of Charleston, South Carolina. She contracted cholera and died soon afterwards. The war not only made Jackson an orphan at age 14, but led him to despise values he associated with Britain, in particular aristocracy and political privilege. Early career Legal career and marriage After the American Revolutionary War, Jackson worked as a saddler, briefly returned to school, and taught reading and writing to children. In 1784, he left the Waxhaws region for Salisbury, North Carolina, where he studied law under attorney Spruce Macay. He completed his training under John Stokes, and was admitted to the North Carolina bar in September 1787. Shortly thereafter, his friend John McNairy helped him get appointed as a prosecuting attorney in the Western District of North Carolina, which would later become the state of Tennessee. While traveling to assume his new position, Jackson stopped in Jonesborough. While there, he bought his first slave, a woman who was around his age. He also fought his first duel, accusing another lawyer, Waightstill Avery, of impugning his character. The duel ended with both men firing in the air. Jackson began his new career in the frontier town of Nashville in 1788 and quickly moved up in social status. He became a protégé of William Blount, one of the most powerful men in the territory. Jackson was appointed attorney general of the Mero District in 1791 and judge-advocate for the militia the following year. He also got involved in land speculation, eventually forming a partnership with fellow lawyer John Overton. Their partnership mainly dealt with claims made under a "land grab" act of 1783 that opened Cherokee and Chickasaw territory to North Carolina's white residents. While boarding at the home of Rachel Stockly Donelson, the widow of John Donelson, Jackson became acquainted with their daughter, Rachel Donelson Robards. The younger Rachel was in an unhappy marriage with Captain Lewis Robards, and the two were separated by 1789. After the separation, Jackson and Rachel became romantically involved, living together as husband and wife. Robards petitioned for divorce, which was granted on the basis of Rachel's infidelity. The couple legally married in January 1794. In 1796, they acquired their first plantation, Hunter's Hill, on of land near Nashville. Early public career Jackson became a member of the Democratic-Republican Party, the dominant party in Tennessee. He was elected as a delegate to the Tennessee constitutional convention in 1796. When Tennessee achieved statehood that year, he was elected to be its U.S. representative. In Congress, Jackson argued against the Jay Treaty, criticized George Washington for allegedly removing Democratic-Republicans from public office, and joined several other Democratic-Republican congressmen in voting against a resolution of thanks for Washington. He advocated for the right of Tennesseans to militarily oppose Native American interests. The state legislature elected him to be a U.S. senator in 1797, but he resigned after serving only six months. Upon returning to Tennessee, Jackson was elected as a judge of the Tennessee superior court. In 1802, he also became major general, or commander, of the Tennessee militia, a position that was determined by a vote of the militia's officers. The vote was tied between Jackson and John Sevier, a popular Revolutionary War veteran and former governor, but the governor, Archibald Roane, broke the tie in Jackson's favor. Jackson later accused Sevier of fraud and bribery. Sevier responded by impugning Rachel's honor, resulting in a shootout on a public street. Soon afterwards, they met to duel, but parted without having fired at each other. Planting career and slavery Jackson resigned his judgeship in 1804. He had almost gone bankrupt when the credit he used for land speculation collapsed in the wake of an earlier financial panic. He had to sell Hunter's Hill, as well as of land he bought for speculation, and bought a smaller plantation near Nashville that he would call the Hermitage. He focused on recovering from his losses by becoming a successful planter and merchant. The Hermitage would grow to , making it one of the largest cotton-growing plantations in the state. Like most planters in the Southern United States, Jackson used slave labor. In 1804, Jackson had nine African American slaves; by 1820, he had over 100; and by his death in 1845, he had over 150. Over his lifetime, he owned a total of 300 slaves. Jackson subscribed to the paternalistic idea of slavery, which claimed that slave ownership was morally acceptable as long as slaves were treated with humanity and their basic needs were cared for. In practice, slaves were treated as a form of wealth whose productivity needed to be protected. Jackson directed harsh punishment for slaves who disobeyed or ran away. For example, in an 1804 advertisement to recover a runaway slave, he offered "ten dollars extra, for every hundred lashes any person will give him" up to three hundred lashes—a number that would likely have been deadly. Jackson also participated in the local slave trade. Over time, his accumulation of wealth in both slaves and land placed him among the elite families of Tennessee. Duel with Dickinson and adventure with Burr In May 1806, Jackson fought a duel with Charles Dickinson. They had gotten into an argument over a horse race, and Dickinson allegedly uttered a slur against Rachel. During the duel, Dickinson fired first, and the bullet hit Jackson in the chest. The wound was not life-threatening because the bullet had shattered against his breastbone. Jackson returned fire and killed Dickinson. The killing tarnished Jackson's reputation. Later in the year, Jackson became involved in former vice president Aaron Burr's plan to conquer Spanish Florida and drive the Spanish from Texas. Burr, who was touring what was then the Western United States after mortally wounding Alexander Hamilton in a duel, stayed with the Jacksons at the Hermitage in 1805. He eventually persuaded Jackson to join his adventure. In October 1806, Jackson wrote James Winchester that the United States "can conquer not only [Florida], but all Spanish North America". He informed the Tennessee militia that it should be ready to march at a moment's notice "when the government and constituted authority of our country require it", and agreed to provide boats and provisions for the expedition. Jackson sent a letter to President Thomas Jefferson telling him that Tennessee was ready to defend the nation's honor. Jackson also expressed uncertainty about the enterprise. He warned the Governor of Louisiana William Claiborne and Tennessee Senator Daniel Smith that some of the people involved in the adventure might be intending to break away from the United States. In December, Jefferson ordered Burr to be arrested for treason. Jackson, safe from arrest because of his extensive paper trail, organized the militia to capture the conspirators. He testified before a grand jury in 1807, implying that it was Burr's associate James Wilkinson who was guilty of treason, not Burr. Burr was acquitted of the charges. Military career War of 1812 Creek War On June 18, 1812, the United States declared war on the United Kingdom. Though the War of 1812 was primarily caused by maritime issues, the war provided the white settlers on the southern frontier the opportunity to overcome Native American resistance to settlement, undermine British support of the Native American tribes, and pry Florida from the Spanish. Jackson immediately offered to raise volunteers for the war, but he was not called to duty until after the United States military was repeatedly defeated in the American Northwest. After these defeats, in January 1813, Jackson enlisted over 2,000 volunteers, who were ordered to head to New Orleans to defend against a British attack. When his forces arrived at Natchez, they were ordered to halt by General Wilkinson, the commander at New Orleans and the man Jackson accused of treason after the Burr adventure. A little later, Jackson received a letter from the Secretary of War, John Armstrong, stating that his volunteers were not needed, and that they were to hand over any supplies to Wilkinson and disband. Jackson refused to disband his troops; instead, he led them on the difficult march back to Nashville, earning the nickname "Hickory" (later "Old Hickory") for his toughness. After returning to Nashville, Jackson and one of his colonels, John Coffee, got into a street brawl over honor with the brothers Jesse and Thomas Hart Benton. Nobody was killed, but Jackson received a gunshot in the shoulder that nearly killed him. Jackson had not fully recovered from his wounds when Governor Willie Blount called out the militia in September 1813 following the August Fort Mims Massacre. The Red Sticks, a confederate faction that had allied with Tecumseh, a Shawnee chief who was fighting with the British against the United States, killed about 250 militia men and civilians at Fort Mims in retaliation for an ambush by American militia at Burnt Corn Creek. Jackson's objective was to destroy the Red Sticks. He headed south from Fayetteville, Tennessee, in October with 2,500 militia, establishing Fort Strother as his supply base. He sent his cavalry under General Coffee ahead of the main force, destroying Red Stick villages and capturing supplies. Coffee defeated a band of Red Sticks at the Battle of Tallushatchee on November 3, and Jackson defeated another band later that month at the Battle of Talladega. By January 1814, the expiration of enlistments and desertion had reduced Jackson's force by about 1,000 volunteers, but he continued the offensive. The Red Sticks counterattacked at the Battles of Emuckfaw and Enotachopo Creek. Jackson repelled them but was forced to withdraw to Fort Strother. Jackson's army was reinforced by further recruitment and the addition of a regular army unit, the 39th U.S. Infantry Regiment. The combined force of 3,000 men—including Cherokee, Choctaw, and Creek allies—attacked a Red Stick fort at Horseshoe Bend on the Tallapoosa River, which was manned by about 1,000 men. The Red Sticks were overwhelmed and massacred. Almost all their warriors were killed, and nearly 300 women and children were taken prisoner and distributed to Jackson's Native American allies. The victory broke the power of the Red Sticks. Jackson continued his scorched-earth campaign of burning villages, destroying supplies, and starving Red Stick women and children. The campaign ended when William Weatherford, the Red Stick leader, surrendered, although some Red Sticks fled to East Florida. On June 8, Jackson was appointed a brigadier general in the United States Army, and 10 days later was made a brevet major general with command of the Seventh Military District, which included Tennessee, Louisiana, the Mississippi Territory, and the Muscogee Creek Confederacy. With President James Madison's approval, Jackson imposed the Treaty of Fort Jackson. The treaty required all Creek, including those who had remained allies, to surrender of land to the United States. Jackson then turned his attention to the British and Spanish. He moved his forces to Mobile, Alabama, in August, accused the Spanish governor of West Florida, Mateo González Manrique, of arming the Red Sticks, and threatened to attack. The governor responded by inviting the British to land at Pensacola to defend it, which violated Spanish neutrality. The British attempted to capture Mobile, but their invasion fleet was repulsed at Fort Bowyer. Jackson then invaded Florida, defeating the Spanish and British forces at the Battle of Pensacola on November 7. Afterwards, the Spanish surrendered and the British withdrew. Weeks later, Jackson learned that the British were planning an attack on New Orleans, which was the gateway to the Lower Mississippi River and control of the American West. He evacuated Pensacola, strengthened the garrison at Mobile, and led his troops to New Orleans. Battle of New Orleans Jackson arrived in New Orleans on December 1, 1814. There he instituted martial law because he worried about the loyalty of the city's Creole and Spanish inhabitants. He augmented his force by forming an alliance with Jean Lafitte's smugglers and raising units of free African Americans and Creek, paying non-white volunteers the same salary as whites. This gave Jackson a force of about 5,000 men when the British arrived. The British arrived in New Orleans in mid-December. Admiral Alexander Cochrane was the overall commander of the operation; General Edward Pakenham commanded the army of 10,000 soldiers, many of whom had served in the Napoleonic Wars. As the British advanced up the east bank of the Mississippi River, Jackson constructed a fortified position to block them. The climactic battle took place on January 8 when the British launched a frontal assault. Their troops made easy targets for the Americans protected by their parapets, and the attack ended in disaster. The British suffered over 2,000 casualties (including Pakenham) to the Americans' 60. The British decamped from New Orleans at the end of January, but they still remained a threat. Jackson refused to lift martial law and kept the militia under arms. He approved the execution of six militiamen for desertion. Some Creoles registered as French citizens with the French consul and demanded to be discharged from the militia due to their foreign nationality. Jackson then ordered all French citizens to leave the city within three days, and had a member of the Louisiana legislature, Louis Louaillier, arrested when he wrote a newspaper article criticizing Jackson's continuation of martial law. U.S. District Court Judge Dominic A. Hall signed a writ of habeas corpus for Louaillier's release. Jackson had Hall arrested too. A military court ordered Louaillier's release, but Jackson kept him in prison and evicted Hall from the city. Although Jackson lifted martial law when he received official word that the Treaty of Ghent, which ended the war with the British, had been signed, his previous behavior tainted his reputation in New Orleans. Jackson's victory made him a national hero, and on February 27, 1815, he was given the Thanks of Congress and awarded a Congressional Gold Medal. Though the Treaty of Ghent had been signed in December 1814 before the Battle of New Orleans was fought, Jackson's victory assured that the United States control of the region between Mobile and New Orleans would not be effectively contested by European powers. This control allowed the American government to ignore one of the articles in the treaty, which would have returned the Creek lands taken in the Treaty of Fort Jackson. First Seminole War Following the war, Jackson remained in command of troops in the southern half of the United States and was permitted to make his headquarters at the Hermitage. Jackson continued to displace the Native Americans in areas under his command. Despite resistance from Secretary of the Treasury William Crawford, he signed five treaties between 1816 and 1820 in which the Creek, Choctaw, Cherokee and Chickasaw ceded tens of millions of acres of land to the United States. These included the Treaty of Tuscaloosa and the Treaty of Doak's Stand. Jackson soon became embroiled in conflict in the Floridas. The former British post at Prospect Bluff, which became known to Americans as "the Negro fort", remained occupied by more than a thousand former soldiers of the British Royal and Colonial Marines, escaped slaves, and various indigenous peoples. It had become a magnet for escapees and was seen as a threat to the property rights of American enslavers, even a potential source of insurrection by enslaved people. Jackson ordered Colonel Duncan Clinch to capture the fort in July 1816. He destroyed it and killed many of the garrison. Some survivors were enslaved while others fled into the wilderness of Florida. In addition, white settlers were in constant conflict with Native American people collectively known as the Seminoles, who straddled the border between the U.S. and Florida. In December 1817, Secretary of War John C. Calhoun initiated the First Seminole War by ordering Jackson to lead a campaign "with full power to conduct the war as he may think best". Jackson believed the best way to do this was to seize Florida from Spain once and for all. Before departing, Jackson wrote to President James Monroe, "Let it be signified to me through any channel ... that the possession of the Floridas would be desirable to the United States, and in sixty days it will be accomplished." Jackson invaded Florida, captured the Spanish fort of St. Marks, and occupied Pensacola. Seminole and Spanish resistance was effectively ended by May 1818. He also captured two British agents, Robert Ambrister and Alexander Arbuthnot, who had been working with the Seminoles. After a brief trial, Jackson executed both of them, causing a diplomatic incident with the British. Jackson's actions polarized Monroe's cabinet. The occupied territories were returned to Spain. Calhoun wanted him censured for violating the Constitution, since the United States had not declared war on Spain. Secretary of State John Quincy Adams defended him as he thought Jackson's occupation of Pensacola would lead Spain to sell Florida, which Spain did in the Adams–Onís Treaty of 1819. In February 1819, a congressional investigation exonerated Jackson, and his victory was instrumental in convincing the Seminoles to sign the Treaty of Moultrie Creek in 1823, which surrendered much of their land in Florida. Presidential aspirations Election of 1824 The Panic of 1819, the United States' first prolonged financial depression, caused Congress to reduce the military's size and abolish Jackson's generalship. In compensation, Monroe made him the first territorial governor of Florida in 1821. He served as the governor for two months, returning to the Hermitage in ill health. During his convalescence, Jackson, who had been a Freemason since at least 1798, became the Grand Master of the Grand Lodge of Tennessee for 1822–1823. Around this time, he also completed negotiations for Tennessee to purchase Chickasaw lands. This became known as the Jackson Purchase. Jackson, Overton, and another colleague had speculated in some of the land and used their portion to found the town of Memphis. In 1822, Jackson agreed to run in the 1824 presidential election, and he was nominated by the Tennessee legislature in July. At the time, the Federalist Party had collapsed, and there were four major contenders for the Democratic-Republican Party nomination: William Crawford, John Quincy Adams, Henry Clay and John C. Calhoun. Jackson was intended to be a stalking horse candidate to prevent Tennessee's electoral votes from going to Crawford, who was seen as a Washington insider. Unexpectedly, Jackson garnered popular support outside of Tennessee and became a serious candidate. He benefited from the expansion of suffrage among white males that followed the conclusion of the War of 1812. He was a popular war hero whose reputation suggested he had the decisiveness and independence to bring reform to Washington. He also was promoted as an outsider who stood for all the people, blaming banks for the country's depression. During his presidential candidacy, Jackson reluctantly ran for one of Tennessee's U.S. Senate seats. Jackson's political managers William Berkeley Lewis and John Eaton convinced him that he needed to defeat incumbent John Williams, who opposed him. The legislature elected Jackson in October 1823. He was attentive to his senatorial duties. He was appointed chairman of the Committee on Military Affairs, but avoided debate or initiating legislation. He used his time in the Senate to form alliances and make peace with old adversaries. Eaton continued to campaign for Jackson's presidency, updating his biography and writing a series of widely circulated pseudonymous letters that portrayed Jackson as a champion of republican liberty. Democratic-Republican presidential nominees had historically been chosen by informal congressional nominating caucuses. In 1824, most of the Democratic-Republicans in Congress boycotted the caucus, and the power to choose nominees was shifting to state nominating committees and legislatures. Jackson was nominated by a Pennsylvania convention, making him not merely a regional candidate but the leading national contender. When Jackson won the Pennsylvania nomination, Calhoun dropped out of the presidential race. Afterwards, Jackson won the nomination in six other states and had a strong second-place finish in three others. In the presidential election, Jackson won a 42-percent plurality of the popular vote. More importantly, he won a plurality of electoral votes, receiving 99 votes from states in the South, West, and Mid-Atlantic. He was the only candidate to win states outside of his regional base: Adams dominated New England, Crawford won Virginia and Georgia, and Clay took three western states. Because no candidate had a majority of 131 electoral votes, the House of Representatives held a contingent election under the terms of the Twelfth Amendment. The amendment specifies that only the top three electoral vote-winners are eligible to be elected by the House, so Clay was eliminated from contention. Clay, who was also Speaker of the House and presided over the election's resolution, saw a Jackson presidency as a disaster for the country. Clay threw his support behind Adams, who won the contingent election on the first ballot. Adams appointed Clay as his Secretary of State, leading supporters of Jackson to accuse Clay and Adams of having struck a "corrupt bargain". After the Congressional session concluded, Jackson resigned his Senate seat and returned to Tennessee. Election of 1828 and death of Rachel Jackson After the election, Jackson's supporters formed a new party to undermine Adams and ensure he served only one term. Adams's presidency went poorly, and Adams's behavior undermined it. He was perceived as an intellectual elite who ignored the needs of the populace. He was unable to accomplish anything because Congress blocked his proposals. In his First Annual Message to Congress, Adams stated that "we are palsied by the will of our constituents", which was interpreted as his being against representative democracy. Jackson responded by championing the needs of ordinary citizens and declaring that "the voice of the people... must be heard". Jackson was nominated for president by the Tennessee legislature in October 1825, more than three years before the 1828 election. He gained powerful supporters in both the South and North, including Calhoun, who became Jackson's vice presidential running mate, and New York Senator Martin Van Buren. Meanwhile, Adams's support from the Southern states was eroded when he signed a tax on European imports, the Tariff of 1828, which was called the "Tariff of Abominations" by opponents, into law. Jackson's victory in the presidential race was overwhelming. He won 56 percent of the popular vote and 68 percent of the electoral vote. The election ended the one-party system that had formed during the Era of Good Feelings as Jackson's supporters coalesced into the Democratic Party and the various groups who did not support him eventually formed the Whig Party. The political campaign was dominated by the personal abuse that partisans flung at both candidates. Jackson was accused of being the son of an English prostitute and a mulatto, and he was labeled a slave trader who trafficked in human flesh. A series of pamphlets known as the Coffin Handbills accused him of having murdered 18 white men, including the soldiers he had executed for desertion and alleging that he stabbed a man in the back with his cane. They stated that he had intentionally massacred Native American women and children at the Battle of Horseshoe Bend, ate the bodies of Native Americans he killed in battle, and threatened to cut off the ears of congressmen who questioned his behavior during the First Seminole War. Jackson and Rachel were accused of adultery for living together before her divorce was finalized, and Rachel heard about the accusation. She had been under stress throughout the election, and just as Jackson was preparing to head to Washington for his inauguration, she fell ill. She did not live to see her husband become president, dying of a stroke or heart attack a few days later. Jackson believed that the abuse from Adams' supporters had hastened her death, stating at her funeral: "May God Almighty forgive her murderers, as I know she forgave them. I never can." Presidency (1829–1837) Inauguration Jackson arrived in Washington on February 11. His first concern was forming his cabinet. He chose Van Buren as Secretary of State, his friend John Eaton as Secretary of War, Samuel D. Ingham as Secretary of Treasury, John Branch as Secretary of Navy, John M. Berrien as Attorney General, and William T. Barry as Postmaster General. Jackson was inaugurated on March 4, 1829, becoming the first president-elect to take the oath of office on the East Portico of the U.S. Capitol. Embittered by his defeat, Adams refused to attend. In his inaugural address, Jackson promised to protect the sovereignty of the states, respect the limits of the presidency, reform the government by removing disloyal or incompetent appointees, and observe a fair policy toward Native Americans. Jackson invited the public to the White House, which was promptly overrun by well-wishers who caused minor damage to its furnishings. The spectacle earned him the nickname "King Mob". Reforms and rotation in office Jackson's administration believed that Adams's had been corrupt and one of Jackson's first acts as president was to initiate investigations into all executive departments. The investigations revealed that $280,000 () was stolen from the Treasury, and the reduction in costs to the Department of the Navy saved it $1 million (). One of the people caught in his investigation was the Treasury Auditor Tobias Watkins, a personal friend of Adams' who was found guilty of embezzlement. Jackson asked Congress to tighten laws on embezzlement and tax evasion, and he pushed for an improved government accounting system. Jackson implemented a principle he called "rotation in office" by enforcing the Tenure of Office Act, an 1820 law that limited appointed office tenure and authorized the president to remove and appoint political party associates. The previous custom had been for the president to leave the existing appointees in office, replacing them through attrition. During his first year in office, Jackson removed about 10% of all federal employees and replaced them with loyal Democrats. He argued that rotation in office was a democratic reform that reduced bureaucracy and corruption by making officeholders responsible to the popular will, but it functioned as political patronage, which came to be known as the spoils system. Petticoat affair Jackson spent much of his time during his first two and a half years in office dealing with what came to be known as the "Petticoat Affair" or "Eaton Affair". The affair focused on Secretary of War Eaton's wife, Margaret. She had a reputation for being promiscuous, and like Rachel Jackson, she was accused of adultery. She and Eaton had been close before her first husband John Timberlake died, and they married nine months after his death. With the exception of Barry's wife Catherine, the cabinet members' wives followed the lead of Vice-president Calhoun's wife Floride and refused to socialize with the Eatons. Though Jackson defended Margaret, her presence split the cabinet, which had been so ineffective that he rarely called it into session, and the ongoing disagreement led to its dissolution. In the spring of 1831, Jackson demanded the resignations of all the cabinet members except Barry, who would resign in 1835 when a Congressional investigation revealed his mismanagement of the Post Office. Jackson tried to compensate Van Buren by appointing him the Minister to Great Britain, but Calhoun blocked the nomination with a tie-breaking vote against it. Van Buren—along with Amos Kendall, who helped organize what would become the Democratic Party, and Francis Preston Blair, the editor of The Globe newspaper that served as Jackson's house organ,—would become regular participants in Jackson's Kitchen Cabinet, an unofficial, varying group of advisors that Jackson turned to for decision making even after he had formed a new official cabinet. Indian Removal Act Jackson's presidency marked the beginning of a national policy of Native American removal. Before Jackson took office, the relationship between the southern states and the Native American tribes who lived within their boundaries was strained. The states felt that they had full jurisdiction over their territories; the native tribes saw themselves as autonomous nations that had a right to the land they lived on. Significant portions of the five major tribes in the area then known as the Southwest—the Cherokee, Choctaw, Chickasaw, Creek, and Seminoles— began to adopt white culture, including education, agricultural techniques, a road system, and rudimentary manufacturing. In the case of the tensions between the state of Georgia and the Cherokee, Adams had tried to address the issue encouraging Cherokee emigration west of the Mississippi through financial incentives, but most refused. In the first days of Jackson's presidency, some of the southern states had passed legislation extending state jurisdiction to Native American lands. Jackson supported the states' right to do so. His position was later made clear in the 1832 Supreme Court test case of this legislation, Worcester v. Georgia. Georgia had arrested a group of missionaries for entering Cherokee territory without a permit; the Cherokee declared these arrests illegal. The court under Chief Justice John Marshall decided in favor of the Cherokee: imposition of Georgia law on the Cherokee was unconstitutional. Horace Greeley alleges that when Jackson heard the ruling, he said, "Well, John Marshall has made his decision, but now let him enforce it." Although the quote may be apocryphal, Jackson made it clear he would not use the federal government to enforce the ruling. Jackson used the power of the federal government to enforce the separation of the Native American tribes and whites. In May 1830, Jackson passed the Indian Removal Act through Congress. It gave the president the right to negotiate treaties to buy tribal lands in the eastern part of the United States in exchange for lands set aside for Native Americans west of the Mississippi, as well as broad discretion on how to use the federal funds allocated to the negotiations. The law was supposed to be a voluntary relocation program, but it was not implemented as one. Jackson's administration often achieved agreement to relocate through bribes, fraud and intimidation, and the leaders who signed the treaties often did not represent the entire tribe. The relocations could be a source of misery too: the Choctaw relocation was rife with corruption, theft, and mismanagement that brought great suffering to that people. In 1830, Jackson personally negotiated with the Chickasaw, who quickly agreed to move. In the same year, Choctaw leaders signed the Treaty of Dancing Rabbit Creek; the majority did not want the treaty but complied with its terms. In 1832, Seminole leaders signed the Treaty of Payne's Landing, which stipulated that the Seminoles would move west and become part of the Muscogee Creek Confederacy if they found the new land suitable. Most Seminoles refused to move, leading to the Second Seminole War in 1835 that lasted six years. Members of the Muscogee Creek Confederacy ceded their land to the state of Alabama in the Treaty of Cusseta of 1832. Their private ownership of the land was to be protected, but the federal government did not enforce this. The government did encourage voluntary removal until the Creek War of 1836, after which almost all Creek were removed to Oklahoma territory. In 1836, Cherokee leaders ceded their land to the government by the Treaty of New Echota. Their removal, known as the Trail of Tears, was enforced by Jackson's successor, Van Buren. Jackson also applied the removal policy in the Northwest. He was not successful in removing the Iroquois Confederacy in New York, but when some members of the Meskwaki (Fox) and the Sauk triggered the Black Hawk War by trying to cross back to the east side of the Mississippi, the peace treaties ratified after their defeat reduced their lands further. During his administration, he made about 70 treaties with American Indian tribes. He had removed almost all the Native Americans east of the Mississippi and south of Lake Michigan, about 70,000 people, from the United States; though it was done at the cost of thousands of Native American lives lost because of the unsanitary conditions and epidemics arising from their dislocation, as well as their resistance to expulsion. Jackson's implementation of the Indian Removal Act contributed to his popularity with his constituency. He added over 170,000 square miles of land to the public domain, which primarily benefited the United States' agricultural interests. The act also benefited small farmers, as Jackson allowed them to purchase moderate plots at low prices and offered squatters on land formerly belonging to Native Americans the option to purchase it before it was offered for sale to others. Nullification crisis Jackson had to confront another challenge that had been building up since the beginning of his first term. The Tariff of 1828, which had been passed in the last year of Adams' administration, set a protective tariff at a very high rate to prevent the manufacturing industries in the Northern states from having to compete with lower-priced imports from Britain. The tariff reduced the income of southern cotton planters: it propped up consumer prices, but not the price of cotton which had severely declined in the previous decade. Immediately after the tariff's passage, the South Carolina Exposition and Protest was sent to the U.S. Senate. This document, which had been anonymously written by John C. Calhoun, asserted that the constitution was a compact of individual states and when the federal government went beyond its delegated duties, such as enacting a protective tariff, a state had a right to declare this action unconstitutional and make the act null and void with the borders of that state. Jackson suspected Calhoun of writing the Exposition and Protest, and opposed his interpretation. Jackson argued that Congress as a whole had full authority to enact tariffs and that a dissenting state was denying the will of the majority. He also needed the tariff, which generated 90% of the federal revenue, to achieve another of his presidential goals, eliminating the national debt. The issue developed into a personal rivalry between the two men. For example, during a celebration of Thomas Jefferson's birthday on April 13, 1830, the attendees gave after-dinner toasts. Jackson toasted: "Our federal Union: It must be preserved!" – a clear challenge to nullification. Calhoun whose toast immediately followed, rebutted: "The Union: Next to our Liberty, the most dear!" As a compromise, Jackson supported the Tariff of 1832, which reduced the duties from the Tariff of 1828 by almost half. The bill was signed on July 9, but failed to satisfy extremists on either side. On November 24, South Carolina had passed the Ordinance of Nullification, declaring both tariffs null and void and threatening to secede from the United States if the federal government tried to use force to collect the duties. In response, Jackson sent warships to Charleston harbor, and threatened to hang any man who worked to support nullification or secession. On December 10, Jackson issued a proclamation against the "nullifiers", stating that he considered "the power to annul a law of the United States, assumed by one State, incompatible with the existence of the Union, contradicted expressly by the letter of the Constitution, unauthorized by its spirit, inconsistent with every principle on which it was founded, and destructive of the great object for which it was formed". South Carolina, the president declared, stood on "the brink of insurrection and treason", and he appealed to the people of the state to reassert their allegiance to that Union. Jackson also denied the right of secession: "The Constitution ... forms a government not a league ... To say that any State may at pleasure secede from the Union is to say that the United States are not a nation." On December 28, Calhoun, who had been elected to the U.S. Senate, resigned as vice president. Jackson asked Congress to pass a "Force Bill" authorizing the military to enforce the tariff. It was attacked by Calhoun as despotism. Meanwhile, Calhoun and Clay began to work on a new compromise tariff. Jackson saw it as an effective way to end the confrontation, but insisted on the passage of the Force Bill before he signed. On March 2, he signed into law the Force Bill and the Tariff of 1833, both of which passed on March 1, 1833. The South Carolina Convention then met and rescinded its nullification ordinance, but nullified the Force Bill in a final act of defiance. Two months later, Jackson reflected on South Carolina's nullification: "the tariff was only the pretext, and disunion and southern confederacy the real object. The next pretext will be the negro, or slavery question". Bank War and Election of 1832 Bank Veto A few weeks after his inauguration, Jackson started looking into how he could replace the Second Bank of the United States. The Bank had been chartered by President Madison in 1816 to restore the United States economy after the War of 1812. Monroe had appointed Nicholas Biddle as the Bank's executive. The Bank was a repository for the country's public monies which also serviced the national debt; it was formed as a for-profit entity that looked after the concerns of its shareholders. Under the Bank's stewardship, the country was economically healthy and the currency was stable, but Jackson saw the Bank as a fourth branch of government run by an elite, what he called the "money power" that sought to control the labor and earnings of the "real people", who depend on their own efforts to succeed: the planters, farmers, mechanics, and laborers. Additionally, Jackson's own near bankruptcy in 1804 due to credit-fuelled land speculation had biased him against paper money and toward a policy favorable to hard money. In his First Annual Address in December 1829, Jackson openly challenged the Bank by questioning its constitutionality and the soundness of its money. Jackson's supporters further alleged that it gave preferential loans to speculators and merchants over artisans and farmers, that it used its money to bribe congressmen and the press, and that it had ties with foreign creditors. Biddle responded to Jackson's challenge in early 1830 by using the Bank's vast financial holding to ensure the Bank's reputation, and his supporters argued that the Bank was the key to prosperity and stable commerce. By the time of the 1832 election, Biddle had spent over $250,000, (), in printing pamphlets, lobbying for pro-Bank legislation, hiring agents and giving loans to editors and congressmen. On the surface, Jackson's and Biddle's positions did not appear irreconcilable. Jackson seemed open to keeping the Bank if it could include some degree of Federal oversight, limit its real estate holdings, and have its property subject to taxation by the states. Many of Jackson's cabinet members thought a compromise was possible. In 1831, Treasury Secretary Louis McLane told Biddle that Jackson was open to chartering a modified version of the Bank, but Biddle did not consult Jackson directly. Privately, Jackson expressed opposition to the Bank; publicly, he announced that he would leave the decision concerning the Bank in the hands of the people. Biddle was finally convinced to take open action by Henry Clay, who had decided to run for president against Jackson in the 1832 election. Biddle would agree to seek renewal of the charter two years earlier than scheduled. Clay argued that Jackson was in a bind. If he vetoed the charter, he would lose the votes of his pro-Bank constituents in Pennsylvania; but if he signed the charter, he would lose his anti-Bank constituents. After the recharter bill was passed, Jackson vetoed it on July 10, 1832, arguing that the country should not surrender the will of the majority to the desires of the wealthy. Election of 1832 The 1832 presidential election demonstrated the rapid development of political parties during Jackson's presidency. The Democratic Party's first national convention, held in Baltimore, nominated Jackson's choice for vice president, Martin Van Buren. The National Republican Party, which had held its first convention in Baltimore earlier in December 1831, nominated Clay, now a senator from Kentucky, and John Sergeant of Pennsylvania. An Anti-Masonic Party, with a platform built around opposition to Freemasonry, supported neither Jackson nor Clay, who both were Masons. The party nominated William Wirt of Maryland and Amos Ellmaker of Pennsylvania. In addition to the votes Jackson would lose because of the Bank veto, Clay hoped that Jackson's Indian Removal Act would alienate voters in the East; but Jackson's losses were offset by the Act's popularity in the West and Southwest. Clay had also expected that Jackson would lose votes because of his stand on internal improvements. Jackson had vetoed the Maysville Road bill, which funded an upgrade of a section of the National Road in Clay's state of Kentucky; as part of his justification, Jackson claimed it was unconstitutional to fund internal improvements using national funds for local projects. Clay's strategy failed. Jackson was able to mobilize the Democratic Party's strong political networks. The Northeast supported Jackson because he was in favor of maintaining a stiff tariff; the West supported him because the Indian Removal Act reduced the number of Native Americans in the region and made available more public land. Except for South Carolina, which passed the Ordinance of Nullification during the election month and refused to support any party by giving its votes to the future Governor of Virginia John B. Floyd, the South supported Jackson for implementing the Indian Removal Act, as well as for his willingness to compromise by signing the Tariff of 1832. Jackson won the election by a landslide, receiving 55 percent of the popular vote and 219 electoral votes. Removal of deposits and censure Jackson saw his victory as a mandate to continue his war on the Bank's control over the national economy. In 1833, Jackson signed an executive order ending the deposit of Treasury receipts in the bank. When Secretary of the Treasury McLane refused to execute the order, Jackson replaced him with William J. Duane, who also refused. Jackson then appointed Roger B. Taney as acting secretary, who implemented Jackson's policy. With the loss of federal deposits, the Bank had to contract its credit. Biddle used this contraction to create an economic downturn in an attempt to get Jackson to compromise. Biddle wrote, "Nothing but the evidence of suffering abroad will produce any effect in Congress." The attempt did not succeed, the economy recovered and Biddle was blamed for the recession. Jackson's actions led those who disagreed with him to form the Whig Party. They claimed to oppose Jackson's expansion of executive power, calling him "King Andrew the First", and naming their party after the English Whigs who opposed the British monarchy in the 17th century. In March 1832, the Senate censured Jackson for inappropriately taking authority for the Treasury Department when it was the responsibility of Congress and refused to confirm Taney's appointment as secretary of the treasury. In April, however, the House declared that the bank should not be rechartered. By July 1836, the Bank no longer held any federal deposits. Jackson had Federal funds deposited into state banks friendly to the administration's policies, which critics called pet banks. The number of these state banks more than doubled during Jackson's administration, and investment patterns changed. The Bank, which had been the federal government's fiscal agent, invested heavily in trade and financed interregional and international trade. State banks were more responsive to state governments, and invested heavily in land development, land speculation, and state public works projects. In spite of the efforts of Taney's successor, Levi Woodbury, to control them, the pet banks expanded their loans, helping to create a speculative boom in the final years of Jackson's administration. In January 1835, Jackson paid off the national debt, the only time in U.S. history that it had been accomplished. It was paid down through tariff revenues, carefully managing federal funding of internal improvements like roads and canals, and the sale of public lands. Between 1834 and 1836, the government had unprecedented spike in land sales: At its peak in 1836, the profits from land sales were eight to twelve times higher than a typical year. During Jackson's presidency, 63 million acres of public land—about the size of the state of Oklahoma—was sold. After Jackson stepped down from the presidency in 1837, a Democrat-majority Senate expunged Jackson's censure. Panic of 1837 Despite the economic boom following Jackson's victory in the Bank War, land speculation in the west caused the Panic of 1837. Jackson's transfer of federal monies to state banks in 1833 caused western banks to relax their lending standards; the Indian Removal Act made large amounts of former Native American lands available for purchase and speculation. Two of Jackson's acts in 1836 contributed to the Panic of 1837. One was the Specie Circular, which mandated western lands only be purchased by money backed by specie. The act was intended to stabilize the economy by reducing speculation on credit, but it caused a drain of gold and silver from the Eastern banks to the Western banks to address the needs of financing land transactions. The other was the Deposit and Distribution Act, which transferred federal monies from eastern to western state banks. Together, they left Eastern banks unable to pay specie to the British when they recalled their loans to address their economic problems in international trade. The panic drove the U.S. economy into a depression that lasted until 1841. Physical assault and assassination attempt Jackson was the first president to be subjected to physical assault as well as an assassination attempt. On May 6, 1833, Robert B. Randolph struck Jackson in the face with his hand because Jackson had ordered Randolph's dismissal from the navy for embezzlement. Jackson declined to press charges. While leaving the United States Capitol on January 30, 1835, Richard Lawrence, an unemployed house painter from England, aimed a pistol at Jackson, which misfired. Lawrence pulled out a second pistol, which also misfired. Jackson attacked Lawrence with his cane until others intervened to restrain Lawrence, who was later found not guilty by reason of insanity and institutionalized. Slavery During Jackson's presidency, slavery remained a political issue. Though federal troops were used to crush Nat Turner's slave rebellion in 1831, Jackson ordered them withdrawn immediately afterwards despite the petition of local citizens for them to remain for protection. Jackson considered the issue too divisive to the nation and to the delicate alliances of the Democratic Party, while sympathetic newspapers argued for excluding slavery from federal politics and keeping it at the state level. Jackson's view was challenged when the American Anti-Slavery Society formally agitated for abolition by sending anti-slavery tracts through the postal system into the South in 1835. Jackson condemned these agitators as "monsters" who should atone with their lives because they were attempting to destroy the Union by encouraging sectionalism. The act provoked riots in Charleston, and pro-slavery Southerners demanded that the postal service ban distribution of the materials. To address the issue, Jackson authorized that the tracts could be sent only to subscribers, whose names could be made publicly accountable. That December, Jackson called on Congress to prohibit the circulation through the South of "incendiary publications intended to instigate the slaves to insurrection". Foreign affairs The Jackson administration successfully negotiated trade agreements with Great Britain, Spain, Russia, the Ottoman Empire, and Siam. In his First Annual Message to Congress, Jackson addressed the issues of spoliation claims, demands of compensation for the capture of American ships and sailors by foreign nations during the Napoleonic Wars. Using a combination of bluster and tact, he successfully settled these claims with Denmark, Portugal, and Spain, but he had difficulty collecting spoliation claims from France, which was unwilling to pay an indemnity agreed to in an earlier treaty. Jackson asked Congress in 1834 to authorize reprisals against French property if the country failed to make payment, as well as to arm for defense. In response, France put its Caribbean fleet on a wartime footing. Both sides wanted to avoid a conflict, but the French wanted an apology for Jackson's belligerence. In his 1835 Annual Message to the Congress, Jackson asserted that he refused to apologize, but stated that he did not intend to "menace or insult the Government of France". The French were assuaged and agreed to pay $5,000,000 () to settle the claims. Since the early 1820s, large numbers of Americans had been immigrating into Texas, a territory of the newly independent nation of Mexico. As early as 1824, Jackson had expressed a desire to acquire the region for the United States. In 1829, he attempted to purchase it, but Mexico did not want to sell. By 1830, there were twice as many settlers from the United States as from Mexico, leading to tensions with the Mexican government that started the Texas Revolution. During the conflict, Jackson covertly allowed the settlers to obtain weapons and money from the United States. They defeated the Mexican military in April 1836 and soon afterward declared the region an independent country, the Republic of Texas. The new Republic asked Jackson to recognize and annex it. Although Jackson wanted to do so, he was hesitant because he was unsure it could maintain independence from Mexico. He also was concerned because Texas had legalized slavery, which was an issue that could divide the Democrats during the 1836 election. Jackson recognized the Republic of Texas on the last full day of his presidency, March 3, 1837. Judicial appointments Jackson appointed six justices to the Supreme Court. Most were undistinguished. Jackson nominated Roger B. Taney in January 1835 to the Court in reward for his services, but the nomination failed to win Senate approval. When Chief Justice Marshall died in 1835, Jackson nominated Taney for Chief Justice; he was confirmed by the new Senate, serving as Chief Justice until 1864. He was regarded with respect during his career on the bench, but he is most remembered for his decision in Dred Scott v. Sandford. States admitted to the Union Two new states were admitted into the Union during Jackson's presidency: Arkansas (June 15, 1836) and Michigan (January 26, 1837). Both states increased Democratic power in Congress and helped Van Buren win the presidency in 1836, as new states tended to support the party that had done the most to admit them. Later life and death (1837–1845) In 1837, Jackson retired to the Hermitage and immediately began putting its affairs in order, as it had been poorly managed in his absence. Though Jackson was in ill health and had lost some of his popularity because he was blamed for the Panic of 1837, he remained influential in national and state politics. Jackson supported an Independent Treasury system as a solution to the panic, which would hold the money balances of the government in the form of gold or silver and would be restricted from printing paper money to prevent further inflation. This system was implemented in 1846. The depression still continued, and Van Buren became unpopular. The Whig Party nominated war hero William Henry Harrison and former Democrat John Tyler for the 1840 presidential election. They used a campaign style similar to that of the Democrats: Van Buren was depicted as an uncaring aristocrat, while Harrison's war record was glorified, and he was portrayed as a man of the people. Jackson campaigned loyally for Van Buren in Tennessee. He favored James K. Polk as vice presidential candidate, but no candidate for that office was chosen. To Jackson's dismay, Harrison won the 1840 election with the Whigs capturing majorities in both houses of Congress. Harrison died only a month into his term, and was replaced by Tyler. Jackson was encouraged because Tyler was not bound to party loyalties. Tyler angered the Whigs in 1841 when he vetoed two Whig-sponsored bills to establish a new national bank. Jackson and other Democrats praised Tyler, but Tyler's entire cabinet, except Daniel Webster, resigned. Jackson lobbied for the annexation of Texas, insisting that it belonged to the United States as part of the Louisiana Purchase. He thought that annexation would cause national division over slavery, but feared the British could use Texas as a base to threaten the United States. Jackson wrote several letters to Texas president Sam Houston, urging him to wait for the Senate to approve annexation and explaining how much Texas would benefit as a part of the United States. Tyler signed a treaty of annexation in April 1844, but it became associated with the expansion of slavery and was not ratified. Henry Clay, the Whig nominee for the 1844 presidential election, and Van Buren, Jackson's preferred candidate for the Democratic Party, both opposed annexation. Disappointed by Van Buren, Jackson convinced Polk, who was to be Van Buren's running mate, to run as the Democratic Party's presidential nominee instead. Polk defeated Van Buren for the nomination, and Jackson convinced Tyler not to run as an independent by bringing him back into the Democratic Party. Polk won the election, the Senate passed a bill to annex Texas, and it was signed on March 1, 1845. Jackson died of dropsy, tuberculosis and heart failure at 78 years of age on June 8, 1845. He was surrounded by family and friends at his deathbed, and his last words were, "Oh, do not cry. Be good children and we will all meet in Heaven." He was buried in the same tomb as his wife Rachel. Personal life Family Jackson and Rachel had no children together but adopted Andrew Jackson Jr., the son of Rachel's deceased brother Severn Donelson. The Jacksons acted as guardians for Donelson's other children: John Samuel, Daniel Smith, and Andrew Jackson. They were also guardians for Andrew Jackson Hutchings, Rachel's orphaned grand nephew, and the orphaned children of a friend, Edward Butler – Caroline, Eliza, Edward, and Anthony – who lived with the Jacksons after their father died. Jackson also had three Creek children living with them: Lyncoya, a Creek orphan Jackson had adopted after the Battle of Tallushatchee, and two boys they called Theodore and Charley. For the only time in U.S. history, two women acted simultaneously as unofficial first lady for the widower Jackson. Rachel's niece Emily Donelson was married to Andrew Jackson Donelson (who acted as Jackson's private secretary) and served as hostess at the White House. The president and Emily became estranged for over a year during the Petticoat affair, but they eventually reconciled and she resumed her duties as White House hostess. Sarah Yorke Jackson, the wife of Andrew Jackson Jr., became co-hostess of the White House in 1834, and took over all hostess duties after Emily died from tuberculosis in 1836. Temperament Jackson had a reputation for being short-tempered and violent, which terrified his opponents. He was able to use his temper strategically to accomplish what he wanted. He could keep it in check when necessary: his behavior was friendly and urbane when he went to Washington as senator during the campaign leading up to the 1824 election. According to Van Buren, he remained calm in times of difficulty and made his decisions deliberatively. He had the tendency to take things personally. If someone crossed him, he would often become obsessed with crushing them. For example, on the last day of his presidency, Jackson declared he had only two regrets: that he had not hanged Henry Clay or shot John C. Calhoun. He also had a strong sense of loyalty. He considered threats to his friends as threats to himself, but he demanded unquestioning loyalty in return. Jackson was self-confident, without projecting a sense of self-importance. This self-confidence gave him the ability to persevere in the face of adversity. Once he decided on a plan of action, he would adhere to it. His reputation for being both quick-tempered and confident worked to his advantage; it misled opponents to see him as simple and direct, leading them to often understimate his political shrewdness. Religious faith In 1838, Jackson became an official member of the First Presbyterian Church in Nashville. Both his mother and his wife had been devout Presbyterians all their lives, but Jackson stated that he had postponed officially entering the church until after his retirement to avoid accusations that he had done so for political reasons. Legacy Jackson's legacy is controversial and polarized. Jackson's contemporary, Alexis de Tocqueville, depicted Jackson as the spokesperson of the majority and their passions. He has been variously described as a frontiersman personifying the independence of the American West, a slave-owning member of the Southern gentry, and a populist who promoted faith in the wisdom of the ordinary citizen. He has been represented as a statesman who substantially advanced the spirit of democracy and upheld the foundations of American constitutionalism, as well as an autocratic demagogue who crushed political opposition and trampled the law. In the 1920s, Jackson's rise to power became associated with the idea of the "common man". This idea defined the age as a populist rejection of social elites and a vindication of every person's value independent of class and status. Jackson was seen as its personification, an individual free of societal constraints who can achieve great things. In 1945, Arthur M. Schlesinger Jr.'s influential Age of Jackson redefined Jackson's legacy through the lens of Franklin D. Roosevelt's New Deal, describing the common man as a member of the working class struggling against exploitation by business concerns. In the twenty-first century, Jackson's Indian Removal Act has been described as ethnic cleansing: the use of force, terror and violence to make an area ethnically homogeneous. To achieve the goal of separating Native Americans from the whites, coercive force such as threats and bribes were used to effect removal and unauthorized military force was used when there was resistance, as in the case of the Second Seminole War. The act has been discussed in the context of genocide, and its role in the long-term destruction of Native American societies and their cultures continues to be debated. His legacy has been variously used by later presidents. Abraham Lincoln referenced Jackson's ideas when negotiating the challenges to the Union that he faced during 1861, including Jackson's understanding of the constitution during the nullification crisis and the president's right to interpret the constitution. Franklin D. Roosevelt used Jackson to redefine the Democratic Party, describing him as a defender of the exploited and downtrodden and as a fighter for social justice and human rights. Donald Trump used Jackson's legacy to present himself as the president of the common man, praising Jackson for saving the country from a rising aristocracy and protecting American workers with a tariff. In 2016, President Barack Obama's administration announced it was removing Jackson's portrait from the $20 bill and replacing it with one of Harriet Tubman. Though the plan was put on hold during Trump's presidency, President Joe Biden's administration resumed it in 2021. Jackson is usually rated highly as a president, but his reputation is dropping. His contradictory legacy is shown in opinion polls. A 2014 survey of political scientists rated Jackson as the ninth-highest rated president but the third-most polarizing. He was also rated the third-most overrated president. In a C-SPAN poll, Jackson was ranked the 13th in 2009, 18th in 2017, and 22nd in 2021. Writings (11 volumes to date; 17 volumes projected). Ongoing project to print all of Jackson's papers. Vol. I, (1770–1803); Vol. II, (1804–1813); Vol. III, (1814–1815); Vol. IV, (1816–1820); Vol. V, (1821–1824); Vol. VI, (1825–1828); Vol. VII, (1829); Vol. VIII, (1830); Vol. IX, (1831); Vol. X, (1832); Vol. XI, (1833) (7 volumes; 2 available online). Vol III, (1820-1828) ; Vol IV, (1829-1832) Reprints Jackson's major messages and reports. Notes References Bibliography Biographies Books * Journal articles and dissertations Primary sources External links Scholarly coverage of Jackson at Miller Center, U of Virginia The Papers of Andrew Jackson at the Avalon Project The Hermitage, home of President Andrew Jackson A digital archive providing access to manuscript images of many of Jackson's documents. 1767 births 1845 deaths 18th-century American politicians 18th-century Presbyterians 19th-century American politicians 19th-century deaths from tuberculosis 19th-century presidents of the United States United States Army personnel of the War of 1812 American militia generals American planters American Presbyterians American prosecutors American Revolutionary War prisoners of war held by Great Britain American shooting survivors Burials in Tennessee Andrew Jackson family Congressional Gold Medal recipients Deaths from edema Democratic Party presidents of the United States Democratic Party (United States) presidential nominees Democratic-Republican Party members of the United States House of Representatives from Tennessee Democratic-Republican Party United States senators American duellists Florida Democratic-Republicans American Freemasons Governors of Florida Territory Grand Masters of the Grand Lodge of Tennessee Hall of Fame for Great Americans inductees 1830s in the United States Infectious disease deaths in Tennessee Negro Fort Members of the American Antiquarian Society North Carolina lawyers People from Lancaster County, South Carolina Politicians from Nashville, Tennessee People of pre-statehood Tennessee People of the Creek War Presidents of the United States Second Party System Tennessee Democrats Tennessee Jacksonians Justices of the Tennessee Supreme Court United States Army generals United States Army personnel of the Seminole Wars United States military governors Candidates in the 1824 United States presidential election Candidates in the 1828 United States presidential election Candidates in the 1832 United States presidential election United States senators from Tennessee Tuberculosis deaths in Tennessee United States senators who owned slaves Members of the United States House of Representatives who owned slaves Native American genocide perpetrators
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https://en.wikipedia.org/wiki/Andrew%20Johnson
Andrew Johnson
Andrew Johnson (December 29, 1808July 31, 1875) was the 17th president of the United States, serving from 1865 to 1869. He assumed the presidency following the assassination of Abraham Lincoln, as he was vice president at that time. Johnson was a Democrat who ran with Lincoln on the National Union Party ticket, coming to office as the Civil War concluded. He favored quick restoration of the seceded states to the Union without protection for the newly freed people who were formerly enslaved. This led to conflict with the Republican-dominated Congress, culminating in his impeachment by the House of Representatives in 1868. He was acquitted in the Senate by one vote. Johnson was born into poverty and never attended school. He was apprenticed as a tailor and worked in several frontier towns before settling in Greeneville, Tennessee. He served as alderman and mayor there before being elected to the Tennessee House of Representatives in 1835. After briefly serving in the Tennessee Senate, Johnson was elected to the House of Representatives in 1843, where he served five two-year terms. He became governor of Tennessee for four years, and was elected by the legislature to the Senate in 1857. During his congressional service, he sought passage of the Homestead Bill which was enacted soon after he left his Senate seat in 1862. Southern slave states seceded to form the Confederate States of America, including Tennessee, but Johnson remained firmly with the Union. He was the only sitting senator from a Confederate state who did not resign his seat upon learning of his state's secession. In 1862, Lincoln appointed him as Military Governor of Tennessee after most of it had been retaken. In 1864, Johnson was a logical choice as running mate for Lincoln, who wished to send a message of national unity in his re-election campaign, and became vice president after a victorious election in 1864. Johnson implemented his own form of Presidential Reconstruction, a series of proclamations directing the seceded states to hold conventions and elections to reform their civil governments. Southern states returned many of their old leaders and passed Black Codes to deprive the freedmen of many civil liberties, but Congressional Republicans refused to seat legislators from those states and advanced legislation to overrule the Southern actions. Johnson vetoed their bills, and Congressional Republicans overrode him, setting a pattern for the remainder of his presidency. Johnson opposed the Fourteenth Amendment which gave citizenship to former slaves. In 1866, he went on an unprecedented national tour promoting his executive policies, seeking to break Republican opposition. As the conflict grew between the branches of government, Congress passed the Tenure of Office Act restricting Johnson's ability to fire Cabinet officials. He persisted in trying to dismiss Secretary of War Edwin Stanton, but ended up being impeached by the House of Representatives and narrowly avoided conviction in the Senate. He did not win the 1868 Democratic presidential nomination and left office the following year. Johnson returned to Tennessee after his presidency and gained some vindication when he was elected to the Senate in 1875, making him the only president to afterwards serve in the Senate. He died five months into his term. Johnson's strong opposition to federally guaranteed rights for black Americans is widely criticized. Historians have consistently ranked him one of the worst presidents in American history. Early life and career Childhood Andrew Johnson was born in Raleigh, North Carolina, on December 29, 1808, to Jacob Johnson (1778–1812) and Mary ("Polly") McDonough (1783–1856), a laundress. He was of English, Scots-Irish, and Irish ancestry. He had a brother William, four years his senior, and an older sister Elizabeth, who died in childhood. Johnson's birth in a two-room shack was a political asset in the mid-19th century, and he would frequently remind voters of his humble origins. Jacob Johnson was a poor man, as had been his father, William Johnson, but he became town constable of Raleigh before marrying and starting a family. Jacob Johnson had been a porter for the State Bank of North Carolina, appointed by William Polk, a relative of President James K. Polk. Both Jacob and Mary were illiterate, and had worked as tavern servants, while Johnson never attended school and grew up in poverty. Jacob died of an apparent heart attack while ringing the town bell, shortly after rescuing three drowning men, when his son Andrew was three. Polly Johnson worked as a washerwoman and became the sole support of her family. Her occupation was then looked down on, as it often took her into other homes unaccompanied. Since Andrew did not resemble either of his siblings, there are rumors that he may have been fathered by another man. Polly Johnson eventually remarried to a man named Turner Doughtry, who was as poor as she was. Johnson's mother apprenticed her son William to a tailor, James Selby. Andrew also became an apprentice in Selby's shop at age ten and was legally bound to serve until his 21st birthday. Johnson lived with his mother for part of his service, and one of Selby's employees taught him rudimentary literacy skills. His education was augmented by citizens who would come to Selby's shop to read to the tailors as they worked. Even before he became an apprentice, Johnson came to listen. The readings caused a lifelong love of learning, and one of his biographers, Annette Gordon-Reed, suggests that Johnson, later a gifted public speaker, learned the art as he threaded needles and cut cloth. Johnson was not happy at James Selby's, and after about five years, both he and his brother ran away. Selby responded by placing a reward for their return: "Ten Dollars Reward. Ran away from the subscriber, two apprentice boys, legally bound, named William and Andrew Johnson ... [payment] to any person who will deliver said apprentices to me in Raleigh, or I will give the above reward for Andrew Johnson alone." The brothers went to Carthage, North Carolina, where Andrew Johnson worked as a tailor for several months. Fearing he would be arrested and returned to Raleigh, Johnson moved to Laurens, South Carolina. He found work quickly, met his first love, Mary Wood, and made her a quilt as a gift. However, she rejected his marriage proposal. He returned to Raleigh, hoping to buy out his apprenticeship, but could not come to terms with Selby. Unable to stay in Raleigh, where he risked being apprehended for abandoning Selby, he decided to move west. Move to Tennessee Johnson left North Carolina for Tennessee, traveling mostly on foot. After a brief period in Knoxville, he moved to Mooresville, Alabama. He then worked as a tailor in Columbia, Tennessee, but was called back to Raleigh by his mother and stepfather, who saw limited opportunities there and who wished to emigrate west. Johnson and his party traveled through the Blue Ridge Mountains to Greeneville, Tennessee. Andrew Johnson fell in love with the town at first sight, and when he became prosperous purchased the land where he had first camped and planted a tree in commemoration. In Greeneville, Johnson established a successful tailoring business in the front of his home. In 1827, at the age of 18, he married 16-year-old Eliza McCardle, the daughter of a local shoemaker. The pair were married by Justice of the Peace Mordecai Lincoln, first cousin of Thomas Lincoln, whose son would become president. The Johnsons were married for almost 50 years and had five children: Martha (1828), Charles (1830), Mary (1832), Robert (1834), and Andrew Jr. (1852). Though she had tuberculosis, Eliza supported her husband's endeavors. She taught him mathematics skills and tutored him to improve his writing. Shy and retiring by nature, Eliza Johnson usually remained in Greeneville during Johnson's political rise. She was not often seen during her husband's presidency; their daughter Martha usually served as official hostess. Johnson's tailoring business prospered during the early years of the marriage, enabling him to hire help and giving him the funds to invest profitably in real estate. He later boasted of his talents as a tailor, "my work never ripped or gave way". He was a voracious reader. Books about famous orators aroused his interest in political dialogue, and he had private debates on the issues of the day with customers who held opposing views. He also took part in debates at Greeneville College. Johnson's slaves In 1843, Johnson purchased his first slave, Dolly, who was 14 years old at the time. Dolly had three children—Liz, Florence and William. Soon after his purchase of Dolly, he purchased Dolly's half-brother Sam. Sam Johnson and his wife Margaret had nine children. Sam became a commissioner of the Freedmen's Bureau and was known for being a proud man who negotiated the nature of his work with the Johnson family. Notably, he received some monetary compensation for his labors and negotiated with Andrew Johnson to receive a tract of land which Andrew Johnson gave him for free in 1867. In 1857, Andrew Johnson purchased Henry, who was 13 at the time and would later accompany the Johnson family to the White House. Ultimately, Johnson owned at least ten slaves. Andrew Johnson freed his slaves on August 8, 1863; they remained with him as paid servants. A year later, Johnson, as military governor of Tennessee, proclaimed the freedom of Tennessee's slaves. Sam and Margaret, Johnson's former slaves, lived in his tailor shop while he was president, without rent. As a sign of appreciation for proclaiming freedom, Andrew Johnson was given a watch by newly emancipated people in Tennessee inscribed with "for his Untiring Energy in the Cause of Freedom". Political rise Tennessee politician Johnson helped organize a mechanics' (working men's) ticket in the 1829 Greeneville municipal election. He was elected town alderman, along with his friends Blackston McDannel and Mordecai Lincoln. Following the 1831 Nat Turner slave rebellion, a state convention was called to pass a new constitution, including provisions to disenfranchise free people of color. The convention also wanted to reform real estate tax rates, and provide ways of funding improvements to Tennessee's infrastructure. The constitution was submitted for a public vote, and Johnson spoke widely for its adoption; the successful campaign provided him with statewide exposure. On January 4, 1834, his fellow aldermen elected him mayor of Greeneville. In 1835, Johnson made a bid for election to the "floater" seat which Greene County shared with neighboring Washington County in the Tennessee House of Representatives. According to his biographer, Hans L. Trefousse, Johnson "demolished" the opposition in debate and won the election with almost a two to one margin. During his Greeneville days, Johnson joined the Tennessee Militia as a member of the 90th Regiment. He attained the rank of colonel, though while an enrolled member, Johnson was fined for an unknown offense. Afterwards, he was often addressed or referred to by his rank. In his first term in the legislature, which met in the state capital of Nashville, Johnson did not consistently vote with either the Democratic or the newly formed Whig Party, though he revered President Andrew Jackson, a Democrat and fellow Tennessean. The major parties were still determining their core values and policy proposals, with the party system in a state of flux. The Whig Party had organized in opposition to Jackson, fearing the concentration of power in the Executive Branch of the government; Johnson differed from the Whigs as he opposed more than minimal government spending and spoke against aid for the railroads, while his constituents hoped for improvements in transportation. After Brookins Campbell and the Whigs defeated Johnson for reelection in 1837, Johnson would not lose another race for thirty years. In 1839, he sought to regain his seat, initially as a Whig, but when another candidate sought the Whig nomination, he ran as a Democrat and was elected. From that time he supported the Democratic party and built a powerful political machine in Greene County. Johnson became a strong advocate of the Democratic Party, noted for his oratory, and in an era when public speaking both informed the public and entertained it, people flocked to hear him. In 1840, Johnson was selected as a presidential elector for Tennessee, giving him more statewide publicity. Although Democratic President Martin Van Buren was defeated by former Ohio senator William Henry Harrison, Johnson was instrumental in keeping Greene County in the Democratic column. He was elected to the Tennessee Senate in 1841, where he served a two-year term. He had achieved financial success in his tailoring business, but sold it to concentrate on politics. He had also acquired additional real estate, including a larger home and a farm (where his mother and stepfather took residence), and among his assets numbered eight or nine slaves. United States Representative (1843–1853) Having served in both houses of the state legislature, Johnson saw election to Congress as the next step in his political career. He engaged in a number of political maneuvers to gain Democratic support, including the displacement of the Whig postmaster in Greeneville, and defeated Jonesborough lawyer John A. Aiken by 5,495 votes to 4,892. In Washington, he joined a new Democratic majority in the House of Representatives. Johnson advocated for the interests of the poor, maintained an anti-abolitionist stance, argued for only limited spending by the government and opposed protective tariffs. With Eliza remaining in Greeneville, Congressman Johnson shunned social functions in favor of study in the Library of Congress. Although a fellow Tennessee Democrat, James K. Polk, was elected president in 1844, and Johnson had campaigned for him, the two men had difficult relations, and President Polk refused some of his patronage suggestions. Johnson believed, as did many Southern Democrats, that the Constitution protected private property, including slaves, and thus prohibited the federal and state governments from abolishing slavery. He won a second term in 1845 against William G. Brownlow, presenting himself as the defender of the poor against the aristocracy. In his second term, Johnson supported the Polk administration's decision to fight the Mexican War, seen by some Northerners as an attempt to gain territory to expand slavery westward, and opposed the Wilmot Proviso, a proposal to ban slavery in any territory gained from Mexico. He introduced for the first time his Homestead Bill, to grant to people willing to settle the land and gain title to it. This issue was especially important to Johnson because of his own humble beginnings. In the presidential election of 1848, the Democrats split over the slavery issue, and abolitionists formed the Free Soil Party, with former president Van Buren as their nominee. Johnson supported the Democratic candidate, former Michigan senator Lewis Cass. With the party split, Whig nominee General Zachary Taylor was easily victorious, and carried Tennessee. Johnson's relations with Polk remained poor; the President recorded of his final New Year's reception in 1849 that Johnson, due to national interest in new railroad construction and in response to the need for better transportation in his own district, also supported government assistance for the East Tennessee and Virginia Railroad. During his campaign for a fourth term, Johnson concentrated on three issues: slavery, homesteads and judicial elections. He defeated his opponent, Nathaniel G. Taylor, in August 1849, with a greater margin of victory than in previous campaigns. When the House convened in December, the party division caused by the Free Soil Party precluded the formation of the majority needed to elect a Speaker. Johnson proposed adoption of a rule allowing election of a Speaker by a plurality; some weeks later others took up a similar proposal, and Democrat Howell Cobb was elected. Once the Speaker election had concluded and Congress was ready to conduct legislative business, the issue of slavery took center stage. Northerners sought to admit California, a free state, to the Union. Kentucky's Henry Clay introduced in the Senate a series of resolutions, the Compromise of 1850, to admit California and pass legislation sought by each side. Johnson voted for all the provisions except for the abolition of slavery in the nation's capital. He pressed resolutions for constitutional amendments to provide for popular election of senators (then elected by state legislatures) and of the president (chosen by the Electoral College), and limiting the tenure of federal judges to 12 years. These were all defeated. A group of Democrats nominated Landon Carter Haynes to oppose Johnson as he sought a fifth term; the Whigs were so pleased with the internecine battle among the Democrats in the general election that they did not nominate a candidate of their own. The campaign included fierce debates: Johnson's main issue was the passage of the Homestead Bill; Haynes contended it would facilitate abolition. Johnson won the election by more than 1600 votes. Though he was not enamored of the party's presidential nominee in 1852, former New Hampshire senator Franklin Pierce, Johnson campaigned for him. Pierce was elected, but he failed to carry Tennessee. In 1852, Johnson managed to get the House to pass his Homestead Bill, but it failed in the Senate. The Whigs had gained control of the Tennessee legislature, and, under the leadership of Gustavus Henry, redrew the boundaries of Johnson's First District to make it a safe seat for their party. The Nashville Union termed this "Henry-mandering"; lamented Johnson, "I have no political future." Governor of Tennessee (1853–1857) If Johnson considered retiring from politics upon deciding not to seek reelection, he soon changed his mind. His political friends began to maneuver to get him the nomination for governor. The Democratic convention unanimously named him, though some party members were not happy at his selection. The Whigs had won the past two gubernatorial elections, and still controlled the legislature. That party nominated Henry, making the "Henry-mandering" of the First District an immediate issue. The two men debated in county seats the length of Tennessee before the meetings were called off two weeks before the August 1853 election due to illness in Henry's family. Johnson won the election by 63,413 votes to 61,163; some votes for him were cast in return for his promise to support Whig Nathaniel Taylor for his old seat in Congress. Tennessee's governor had little power: Johnson could propose legislation but not veto it, and most appointments were made by the Whig-controlled legislature. Nevertheless, the office was a "bully pulpit" that allowed him to publicize himself and his political views. He succeeded in getting the appointments he wanted in return for his endorsement of John Bell, a Whig, for one of the state's U.S. Senate seats. In his first biennial speech, Johnson urged simplification of the state judicial system, abolition of the Bank of Tennessee, and establishment of an agency to provide uniformity in weights and measures; the last was passed. Johnson was critical of the Tennessee common school system and suggested funding be increased via taxes, either statewide or county by county—a mixture of the two was passed. Reforms carried out during Johnson's time as governor included the foundation of the State's public library (making books available to all) and its first public school system, and the initiation of regular state fairs to benefit craftsmen and farmers. Although the Whig Party was on its final decline nationally, it remained strong in Tennessee, and the outlook for Democrats there in 1855 was poor. Feeling that reelection as governor was necessary to give him a chance at the higher offices he sought, Johnson agreed to make the run. Meredith P. Gentry received the Whig nomination. A series of more than a dozen vitriolic debates ensued. The issues in the campaign were slavery, the prohibition of alcohol, and the nativist positions of the Know Nothing Party. Johnson favored the first, but opposed the others. Gentry was more equivocal on the alcohol question, and had gained the support of the Know Nothings, a group Johnson portrayed as a secret society. Johnson was unexpectedly victorious, albeit with a narrower margin than in 1853. When the presidential election of 1856 approached, Johnson hoped to be nominated; some Tennessee county conventions designated him a "favorite son". His position that the best interests of the Union were served by slavery in some areas made him a practical compromise candidate for president. He was never a major contender; the nomination fell to former Pennsylvania senator James Buchanan. Though he was not impressed by either, Johnson campaigned for Buchanan and his running mate, John C. Breckinridge, who were elected. Johnson decided not to seek a third term as governor, with an eye towards election to the U.S. Senate. In 1857, while returning from Washington, his train derailed, causing serious damage to his right arm. This injury would trouble him in the years to come. United States Senator Homestead Bill advocate The victors in the 1857 state legislative campaign would, once they convened in October, elect a United States Senator. Former Whig governor William B. Campbell wrote to his uncle, "The great anxiety of the Whigs is to elect a majority in the legislature so as to defeat Andrew Johnson for senator. Should the Democrats have the majority, he will certainly be their choice, and there is no man living to whom the Americans and Whigs have as much antipathy as Johnson." The governor spoke widely in the campaign, and his party won the gubernatorial race and control of the legislature. Johnson's final address as governor gave him the chance to influence his electors, and he made proposals popular among Democrats. Two days later the legislature elected him to the Senate. The opposition was appalled, with the Richmond Whig newspaper referring to him as "the vilest radical and most unscrupulous demagogue in the Union". Johnson gained high office due to his proven record as a man popular among the small farmers and self-employed tradesmen who made up much of Tennessee's electorate. He called them the "plebeians"; he was less popular among the planters and lawyers who led the state Democratic Party, but none could match him as a vote-getter. After his death, one Tennessee voter wrote of him, "Johnson was always the same to everyone ... the honors heaped upon him did not make him forget to be kind to the humblest citizen." Always seen in impeccably tailored clothing, he cut an impressive figure, and had the stamina to endure lengthy campaigns with daily travel over bad roads leading to another speech or debate. Mostly denied the party's machinery, he relied on a network of friends, advisers, and contacts. One friend, Hugh Douglas, stated in a letter to him, "you have been in the way of our would be great men for a long time. At heart many of us never wanted you to be Governor only none of the rest of us Could have been elected at the time and we only wanted to use you. Then we did not want you to go to the Senate but the people would send you." The new senator took his seat when Congress convened in December 1857 (the term of his predecessor, James C. Jones, had expired in March). He came to Washington as usual without his wife and family; Eliza would visit Washington only once during Johnson's first time as senator, in 1860. Johnson immediately set about introducing the Homestead Bill in the Senate, but as most senators who supported it were Northern (many associated with the newly founded Republican Party), the matter became caught up in suspicions over the slavery issue. Southern senators felt that those who took advantage of the provisions of the Homestead Bill were more likely to be Northern non-slaveholders. The issue of slavery had been complicated by the Supreme Court's ruling earlier in the year in Dred Scott v. Sandford that slavery could not be prohibited in the territories. Johnson, a slaveholding senator from a Southern state, made a major speech in the Senate the following May in an attempt to convince his colleagues that the Homestead Bill and slavery were not incompatible. Nevertheless, Southern opposition was key to defeating the legislation, 30–22. In 1859, it failed on a procedural vote when Vice President Breckinridge broke a tie against the bill, and in 1860, a watered-down version passed both houses, only to be vetoed by Buchanan at the urging of Southerners. Johnson continued his opposition to spending, chairing a committee to control it. He argued against funding to build infrastructure in Washington, D.C., stating that it was unfair to expect state citizens to pay for the city's streets, even if it was the seat of government. He opposed spending money for troops to put down the revolt by the Mormons in Utah Territory, arguing for temporary volunteers as the United States should not have a standing army. Secession crisis In October 1859, abolitionist John Brown and sympathizers raided the federal arsenal at Harpers Ferry, Virginia (today West Virginia). Tensions in Washington between pro- and anti-slavery forces increased greatly. Johnson gave a major speech in the Senate in December, decrying Northerners who would endanger the Union by seeking to outlaw slavery. The Tennessee senator stated that "all men are created equal" from the Declaration of Independence did not apply to African Americans, since the Constitution of Illinois contained that phrase—and that document barred voting by African Americans. Johnson, by this time, was a wealthy man who owned 14 slaves. Johnson hoped that he would be a compromise candidate for the presidential nomination as the Democratic Party tore itself apart over the slavery question. Busy with the Homestead Bill during the 1860 Democratic National Convention in Charleston, South Carolina, he sent two of his sons and his chief political adviser to represent his interests in the backroom deal-making. The convention deadlocked, with no candidate able to gain the required two-thirds vote, but the sides were too far apart to consider Johnson as a compromise. The party split, with Northerners backing Illinois Senator Stephen Douglas while Southerners, including Johnson, supported Vice President Breckinridge for president. With former Tennessee senator John Bell running a fourth-party candidacy and further dividing the vote, the Republican Party elected its first president, former Illinois representative Abraham Lincoln. The election of Lincoln, known to be against the spread of slavery, was unacceptable to many in the South. Although secession from the Union had not been an issue in the campaign, talk of it began in the Southern states. Johnson took to the Senate floor after the election, giving a speech well received in the North, "I will not give up this government ... No; I intend to stand by it ... and I invite every man who is a patriot to ... rally around the altar of our common country ... and swear by our God, and all that is sacred and holy, that the Constitution shall be saved, and the Union preserved." As Southern senators announced they would resign if their states seceded, he reminded Mississippi Senator Jefferson Davis that if Southerners would only hold to their seats, the Democrats would control the Senate, and could defend the South's interests against any infringement by Lincoln. Gordon-Reed points out that while Johnson's belief in an indissoluble Union was sincere, he had alienated Southern leaders, including Davis, who would soon be the president of the Confederate States of America, formed by the seceding states. If the Tennessean had backed the Confederacy, he would have had small influence in its government. Johnson returned home when his state took up the issue of secession. His successor as governor, Isham G. Harris, and the legislature organized a referendum on whether to have a constitutional convention to authorize secession; when that failed, they put the question of leaving the Union to a popular vote. Despite threats on Johnson's life, and actual assaults, he campaigned against both questions, sometimes speaking with a gun on the lectern before him. Although Johnson's eastern region of Tennessee was largely against secession, the second referendum passed, and in June 1861, Tennessee joined the Confederacy. Believing he would be killed if he stayed, Johnson fled through the Cumberland Gap, where his party was in fact shot at. He left his wife and family in Greeneville. As the only member from a seceded state to remain in the Senate and the most prominent Southern Unionist, Johnson had Lincoln's ear in the early months of the war. With most of Tennessee in Confederate hands, Johnson spent congressional recesses in Kentucky and Ohio, trying in vain to convince any Union commander who would listen to conduct an operation into East Tennessee. Military Governor of Tennessee Johnson's first tenure in the Senate came to a conclusion in March 1862 when Lincoln appointed him military governor of Tennessee. Much of the central and western portions of that seceded state had been recovered. Although some argued that civil government should simply resume once the Confederates were defeated in an area, Lincoln chose to use his power as commander in chief to appoint military governors over Union-controlled Southern regions. The Senate quickly confirmed Johnson's nomination along with the rank of brigadier general. In response, the Confederates confiscated his land and his slaves, and turned his home into a military hospital. Later in 1862, after his departure from the Senate and in the absence of most Southern legislators, the Homestead Bill was finally enacted. Along with legislation for land-grant colleges and for the transcontinental railroad, the Homestead Bill has been credited with opening the Western United States to settlement. As military governor, Johnson sought to eliminate rebel influence in the state. He demanded loyalty oaths from public officials, and shut down all newspapers owned by Confederate sympathizers. Much of eastern Tennessee remained in Confederate hands, and the ebb and flow of war during 1862 sometimes brought Confederate control again close to Nashville. However, the Confederates allowed his wife and family to pass through the lines to join him. Johnson undertook the defense of Nashville as well as he could, though the city was continually harassed by cavalry raids led by General Nathan Bedford Forrest. Relief from Union regulars did not come until General William S. Rosecrans defeated the Confederates at Murfreesboro in early 1863. Much of eastern Tennessee was captured later that year. When Lincoln issued the Emancipation Proclamation in January 1863, declaring freedom for all slaves in Confederate-held areas, he exempted Tennessee at Johnson's request. The proclamation increased the debate over what should become of the slaves after the war, as not all Unionists supported abolition. Johnson finally decided that slavery had to end. He wrote, "If the institution of slavery ... seeks to overthrow it [the Government], then the Government has a clear right to destroy it". He reluctantly supported efforts to enlist former slaves into the Union Army, feeling that African-Americans should perform menial tasks to release white Americans to do the fighting. Nevertheless, he succeeded in recruiting 20,000 black soldiers to serve the Union. Vice presidency (1865) In 1860, Lincoln's running mate had been Senator Hannibal Hamlin of Maine. Although Hamlin had served competently, was in good health, and was willing to run again, Johnson emerged as running mate for Lincoln's reelection bid in 1864. Lincoln considered several War Democrats for the ticket in 1864, and sent an agent to sound out General Benjamin Butler as a possible running mate. In May 1864, the president dispatched General Daniel Sickles to Nashville on a fact-finding mission. Although Sickles denied that he was there either to investigate or interview the military governor, Johnson biographer Hans L. Trefousse believes that Sickles's trip was connected to Johnson's subsequent nomination for vice president. According to historian Albert Castel in his account of Johnson's presidency, Lincoln was impressed by Johnson's administration of Tennessee. Gordon-Reed points out that while the Lincoln-Hamlin ticket might have been considered geographically balanced in 1860, "having Johnson, the southern War Democrat, on the ticket sent the right message about the folly of secession and the continuing capacity for union within the country." Another factor was the desire of Secretary of State William Seward to frustrate the vice-presidential candidacy of fellow New Yorker and former senator Daniel S. Dickinson, a War Democrat, as Seward would probably have had to yield his place if another New Yorker became vice president. Johnson, once he was told by reporters the likely purpose of Sickles' visit, was active on his own behalf, delivering speeches and having his political friends work behind the scenes to boost his candidacy. To sound a theme of unity in 1864, Lincoln ran under the banner of the National Union Party, rather than that of the Republicans. At the party's convention in Baltimore in June, Lincoln was easily nominated, although there had been some talk of replacing him with a cabinet officer or one of the more successful generals. After the convention backed Lincoln, former Secretary of War Simon Cameron offered a resolution to nominate Hamlin, but it was defeated. Johnson was nominated for vice president by C.M. Allen of Indiana with an Iowa delegate seconding it. On the first ballot, Johnson led with 200 votes to 150 for Hamlin and 108 for Dickinson. On the second ballot, Kentucky switched its vote for Johnson, beginning a stampede. Johnson was named on the second ballot with 491 votes to Hamlin's 17 and eight for Dickinson; the nomination was made unanimous. Lincoln expressed pleasure at the result, "Andy Johnson, I think, is a good man." When word reached Nashville, a crowd assembled and the military governor obliged with a speech contending his selection as a Southerner meant that the rebel states had not actually left the Union. Although it was unusual at the time for a national candidate to actively campaign, Johnson gave a number of speeches in Tennessee, Kentucky, Ohio, and Indiana. He also sought to boost his chances in Tennessee while reestablishing civil government by making the loyalty oath even more restrictive, in that voters would now have to swear that they opposed making a settlement with the Confederacy. The Democratic candidate for president, George McClellan, hoped to avoid additional bloodshed by negotiation, and so the stricter loyalty oath effectively disenfranchised his supporters. Lincoln declined to override Johnson, and their ticket took the state by 25,000 votes. Congress refused to count Tennessee's electoral votes, but Lincoln and Johnson did not need them, having won in most states that had voted, and easily secured the election. Now Vice President-elect, Johnson was eager to complete the work of reestablishing civilian government in Tennessee, although the timetable for the election of a new governor did not allow it to take place until after Inauguration Day, March 4. He hoped to remain in Nashville to complete his task, but was told by Lincoln's advisers that he could not stay, but would be sworn in with Lincoln. In these months, Union troops finished the retaking of eastern Tennessee, including Greeneville. Just before his departure, the voters of Tennessee ratified a new constitution, which abolished slavery, on February 22, 1865. One of Johnson's final acts as military governor was to certify the results. Johnson traveled to Washington to be sworn into office, although according to Gordon-Reed, "in light of what happened on March 4, 1865, it might have been better if Johnson had stayed in Nashville." Johnson may have been ill; Castel cited typhoid fever, though Gordon-Reed notes that there is no independent evidence for that diagnosis. On the evening of March 3, Johnson attended a party in his honor at which he drank heavily. Hung over the following morning at the Capitol, he asked Vice President Hamlin for some whiskey. Hamlin produced a bottle, and Johnson took two stiff drinks, stating "I need all the strength for the occasion I can have." In the Senate Chamber, Johnson delivered a rambling address as Lincoln, the Congress, and dignitaries looked on. Almost incoherent at times, he finally meandered to a halt, whereupon Hamlin hastily swore him in as vice president. Lincoln, who had watched sadly during the debacle, then went to his own swearing-in outside the Capitol, and delivered his acclaimed Second Inaugural Address. In the weeks after the inauguration, Johnson only presided over the Senate briefly, and hid from public ridicule at the Maryland home of a friend, Francis Preston Blair. When he did return to Washington, it was with the intent of leaving for Tennessee to reestablish his family in Greeneville. Instead, he remained after word came that General Ulysses S. Grant had captured the Confederate capital of Richmond, Virginia, presaging the end of the war. Lincoln stated, in response to criticism of Johnson's behavior, that "I have known Andy Johnson for many years; he made a bad slip the other day, but you need not be scared; Andy ain't a drunkard." Presidency (1865–1869) Accession On the afternoon of April 14, 1865, Lincoln and Johnson met for the first time since the inauguration. Trefousse states that Johnson wanted to "induce Lincoln not to be too lenient with traitors"; Gordon-Reed agrees. That night, President Lincoln was shot and mortally wounded at Ford's Theatre by John Wilkes Booth, a Confederate sympathizer. The shooting of the President was part of a conspiracy to assassinate Lincoln, Johnson, and Seward the same night. Seward barely survived his wounds, while Johnson escaped attack as his would-be assassin, George Atzerodt, got drunk instead of killing the vice president. Leonard J. Farwell, a fellow boarder at the Kirkwood House, awoke Johnson with news of Lincoln's shooting. Johnson rushed to the President's deathbed, where he remained a short time, on his return promising, "They shall suffer for this. They shall suffer for this." Lincoln died at 7:22 am the next morning; Johnson's swearing-in occurred between 10 and 11 am with Chief Justice Salmon P. Chase presiding in the presence of most of the Cabinet. Johnson's demeanor was described by the newspapers as "solemn and dignified". Some Cabinet members had last seen Johnson, apparently drunk, at the inauguration. At noon, Johnson conducted his first Cabinet meeting in the Treasury Secretary's office, and asked all members to remain in their positions. The events of the assassination resulted in speculation, then and subsequently, concerning Johnson and what the conspirators might have intended for him. In the vain hope of having his life spared after his capture, Atzerodt spoke much about the conspiracy, but did not say anything to indicate that the plotted assassination of Johnson was merely a ruse. Conspiracy theorists point to the fact that on the day of the assassination, Booth came to the Kirkwood House and left one of his cards with Johnson's private secretary, William A. Browning. The message on it was: "Don't wish to disturb you. Are you at home? J. Wilkes Booth." Johnson presided with dignity over Lincoln's funeral ceremonies in Washington, before his predecessor's body was sent home to Springfield, Illinois, for interment. Shortly after Lincoln's death, Union General William T. Sherman reported he had, without consulting Washington, reached an armistice agreement with Confederate General Joseph E. Johnston for the surrender of Confederate forces in North Carolina in exchange for the existing state government remaining in power, with private property rights (slaves) to be respected. This did not even grant freedom to those in slavery. This was not acceptable to Johnson or the Cabinet, who sent word for Sherman to secure the surrender without making political deals, which he did. Further, Johnson placed a $100,000 bounty (equivalent to $ in ) on Confederate President Davis, then a fugitive, which gave Johnson the reputation of a man who would be tough on the South. More controversially, he permitted the execution of Mary Surratt for her part in Lincoln's assassination. Surratt was executed with three others, including Atzerodt, on July 7, 1865. Reconstruction Background Upon taking office, Johnson faced the question of what to do with the former Confederacy. President Lincoln had authorized loyalist governments in Virginia, Arkansas, Louisiana, and Tennessee as the Union came to control large parts of those states and advocated a ten percent plan that would allow elections after ten percent of the voters in any state took an oath of future loyalty to the Union. Congress considered this too lenient; its own plan, requiring a majority of voters to take the loyalty oath, passed both houses in 1864, but Lincoln pocket vetoed it. Johnson had three goals in Reconstruction. He sought a speedy restoration of the states, on the grounds that they had never truly left the Union, and thus should again be recognized once loyal citizens formed a government. To Johnson, African-American suffrage was a delay and a distraction; it had always been a state responsibility to decide who should vote. Second, political power in the Southern states should pass from the planter class to his beloved "plebeians". Johnson feared that the freedmen, many of whom were still economically bound to their former masters, might vote at their direction. Johnson's third priority was election in his own right in 1868, a feat no one who had succeeded a deceased president had managed to accomplish, attempting to secure a Democratic anti-Congressional Reconstruction coalition in the South. The Republicans had formed a number of factions. The Radical Republicans sought voting and other civil rights for African Americans. They believed that the freedmen could be induced to vote Republican in gratitude for emancipation, and that black votes could keep the Republicans in power and Southern Democrats, including former rebels, out of influence. They believed that top Confederates should be punished. The Moderate Republicans sought to keep the Democrats out of power at a national level, and prevent former rebels from resuming power. They were not as enthusiastic about the idea of African-American suffrage as their Radical colleagues, either because of their own local political concerns, or because they believed that the freedman would be likely to cast his vote badly. Northern Democrats favored the unconditional restoration of the Southern states. They did not support African-American suffrage, which might threaten Democratic control in the South. Presidential Reconstruction Johnson was initially left to devise a Reconstruction policy without legislative intervention, as Congress was not due to meet again until December 1865. Radical Republicans told the President that the Southern states were economically in a state of chaos and urged him to use his leverage to insist on rights for freedmen as a condition of restoration to the Union. But Johnson, with the support of other officials including Seward, insisted that the franchise was a state, not a federal matter. The Cabinet was divided on the issue. Johnson's first Reconstruction actions were two proclamations, with the unanimous backing of his Cabinet, on May 29. One recognized the Virginia government led by provisional Governor Francis Pierpont. The second provided amnesty for all ex-rebels except those holding property valued at $20,000 or more; it also appointed a temporary governor for North Carolina and authorized elections. Neither of these proclamations included provisions regarding black suffrage or freedmen's rights. The President ordered constitutional conventions in other former rebel states. As Southern states began the process of forming governments, Johnson's policies received considerable public support in the North, which he took as unconditional backing for quick reinstatement of the South. While he received such support from the white South, he underestimated the determination of Northerners to ensure that the war had not been fought for nothing. It was important, in Northern public opinion, that the South acknowledge its defeat, that slavery be ended, and that the lot of African Americans be improved. Voting rights were less important—after all, only a handful of Northern states (mostly in New England) gave African-American men the right to vote on the same basis as whites, and in late 1865, Connecticut, Wisconsin, and Minnesota voted down African-American suffrage proposals by large margins. Northern public opinion tolerated Johnson's inaction on black suffrage as an experiment, to be allowed if it quickened Southern acceptance of defeat. Instead, white Southerners felt emboldened. A number of Southern states passed Black Codes, binding African-American laborers to farms on annual contracts they could not quit, and allowing law enforcement at whim to arrest them for vagrancy and rent out their labor. Most Southerners elected to Congress were former Confederates, with the most prominent being Georgia Senator-designate and former Confederate vice president Alexander Stephens. Congress assembled in early December 1865; Johnson's conciliatory annual message to them was well received. Nevertheless, Congress refused to seat the Southern legislators and established a committee to recommend appropriate Reconstruction legislation. Northerners were outraged at the idea of unrepentant Confederate leaders, such as Stephens, rejoining the federal government at a time when emotional wounds from the war remained raw. They saw the Black Codes placing African Americans in a position barely above slavery. Republicans also feared that restoration of the Southern states would return the Democrats to power. In addition, according to David O. Stewart in his book on Johnson's impeachment, "the violence and poverty that oppressed the South would galvanize the opposition to Johnson". Break with the Republicans: 1866 Congress was reluctant to confront the President, and initially only sought to fine-tune Johnson's policies towards the South. According to Trefousse, "If there was a time when Johnson could have come to an agreement with the moderates of the Republican Party, it was the period following the return of Congress." The President was unhappy about the provocative actions of the Southern states, and about the continued control by the antebellum elite there, but made no statement publicly, believing that Southerners had a right to act as they did, even if it was unwise to do so. By late January 1866, he was convinced that winning a showdown with the Radical Republicans was necessary to his political plans – both for the success of Reconstruction and for reelection in 1868. He would have preferred that the conflict arise over the legislative efforts to enfranchise African Americans in the District of Columbia, a proposal that had been defeated overwhelmingly in an all-white referendum. A bill to accomplish this passed the House of Representatives, but to Johnson's disappointment, stalled in the Senate before he could veto it. Illinois Senator Lyman Trumbull, leader of the Moderate Republicans and Chairman of the Judiciary Committee, was anxious to reach an understanding with the President. He ushered through Congress a bill extending the Freedmen's Bureau beyond its scheduled abolition in 1867, and the first Civil Rights Bill, to grant citizenship to the freedmen. Trumbull met several times with Johnson and was convinced the President would sign the measures (Johnson rarely contradicted visitors, often fooling those who met with him into thinking he was in accord). In fact, the President opposed both bills as infringements on state sovereignty. Additionally, both of Trumbull's bills were unpopular among white Southerners, whom Johnson hoped to include in his new party. Johnson vetoed the Freedman's Bureau bill on February 18, 1866, to the delight of white Southerners and the puzzled anger of Republican legislators. He considered himself vindicated when a move to override his veto failed in the Senate the following day. Johnson believed that the Radicals would now be isolated and defeated and that the moderate Republicans would form behind him; he did not understand that Moderates also wanted to see African Americans treated fairly. On February 22, 1866, Washington's Birthday, Johnson gave an impromptu speech to supporters who had marched to the White House and called for an address in honor of the first president. In his hour-long speech, he instead referred to himself over 200 times. More damagingly, he also spoke of "men ... still opposed to the Union" to whom he could not extend the hand of friendship he gave to the South. When called upon by the crowd to say who they were, Johnson named Pennsylvania Congressman Thaddeus Stevens, Massachusetts Senator Charles Sumner, and abolitionist Wendell Phillips, and accused them of plotting his assassination. Republicans viewed the address as a declaration of war, while one Democratic ally estimated Johnson's speech cost the party 200,000 votes in the 1866 congressional midterm elections. Although strongly urged by moderates to sign the Civil Rights Act of 1866, Johnson broke decisively with them by vetoing it on March 27. In his veto message, he objected to the measure because it conferred citizenship on the freedmen at a time when 11 out of 36 states were unrepresented in the Congress, and that it discriminated in favor of African Americans and against whites. Within three weeks, Congress had overridden his veto, the first time that had been done on a major bill in American history. The veto, often seen as a key mistake of Johnson's presidency, convinced moderates there was no hope of working with him. Historian Eric Foner, in his volume on Reconstruction, views it as "the most disastrous miscalculation of his political career". According to Stewart, the veto was "for many his defining blunder, setting a tone of perpetual confrontation with Congress that prevailed for the rest of his presidency". Congress also proposed the Fourteenth Amendment to the states. Written by Trumbull and others, it was sent for ratification by state legislatures in a process in which the president plays no part, though Johnson opposed it. The amendment was designed to put the key provisions of the Civil Rights Act into the Constitution, but also went further. The amendment extended citizenship to every person born in the United States (except Indians on reservations), penalized states that did not give the vote to freedmen, and most importantly, created new federal civil rights that could be protected by federal courts. It also guaranteed that the federal debt would be paid and forbade repayment of Confederate war debts. Further, it disqualified many former Confederates from office, although the disability could be removed — by Congress, not the president. Both houses passed the Freedmen's Bureau Act a second time, and again the President vetoed it; this time, the veto was overridden. By the summer of 1866, when Congress finally adjourned, Johnson's method of restoring states to the Union by executive fiat, without safeguards for the freedmen, was in deep trouble. His home state of Tennessee ratified the Fourteenth Amendment despite the President's opposition. When Tennessee did so, Congress immediately seated its proposed delegation, embarrassing Johnson. Efforts to compromise failed, and a political war ensued between the united Republicans on one side, and on the other, Johnson and his Northern and Southern allies in the Democratic Party. He called a convention of the National Union Party. Republicans had returned to using their previous identifier; Johnson intended to use the discarded name to unite his supporters and gain election to a full term, in 1868. The battleground was the election of 1866; Southern states were not allowed to vote. Johnson campaigned vigorously, undertaking a public speaking tour, known as the "Swing Around the Circle". The trip, including speeches in Chicago, St. Louis, Indianapolis, and Columbus, proved politically disastrous, with the President making controversial comparisons between himself and Jesus, and engaging in arguments with hecklers. These exchanges were attacked as beneath the dignity of the presidency. The Republicans won by a landslide, increasing their two-thirds majority in Congress, and made plans to control Reconstruction. Johnson blamed the Democrats for giving only lukewarm support to the National Union movement. Radical Reconstruction Even with the Republican victory in November 1866, Johnson considered himself in a strong position. The Fourteenth Amendment had been ratified by none of the Southern or border states except Tennessee, and had been rejected in Kentucky, Delaware, and Maryland. As the amendment required ratification by three-quarters of the states to become part of the Constitution, he believed the deadlock would be broken in his favor, leading to his election in 1868. Once it reconvened in December 1866, an energized Congress began passing legislation, often over a presidential veto; this included the District of Columbia voting bill. Congress admitted Nebraska to the Union over a veto, and the Republicans gained two senators and a state that promptly ratified the amendment. Johnson's veto of a bill for statehood for Colorado Territory was sustained; enough senators agreed that a district with a population of 30,000 was not yet worthy of statehood to win the day. In January 1867, Congressman Stevens introduced legislation to dissolve the Southern state governments and reconstitute them into five military districts, under martial law. The states would begin again by holding constitutional conventions. African Americans could vote for or become delegates; former Confederates could not. In the legislative process, Congress added to the bill that restoration to the Union would follow the state's ratification of the Fourteenth Amendment, and completion of the process of adding it to the Constitution. Johnson and the Southerners attempted a compromise, whereby the South would agree to a modified version of the amendment without the disqualification of former Confederates, and for limited black suffrage. The Republicans insisted on the full language of the amendment, and the deal fell through. Although Johnson could have pocket vetoed the First Reconstruction Act as it was presented to him less than ten days before the end of the Thirty-Ninth Congress, he chose to veto it directly on March 2, 1867; Congress overruled him the same day. Also on March 2, Congress passed the Tenure of Office Act over the President's veto, in response to statements during the Swing Around the Circle that he planned to fire Cabinet secretaries who did not agree with him. This bill, requiring Senate approval for the firing of Cabinet members during the tenure of the president who appointed them and for one month afterwards, was immediately controversial, with some senators doubting that it was constitutional or that its terms applied to Johnson, whose key Cabinet officers were Lincoln holdovers. Impeachment Secretary of War Edwin Stanton was an able and hard-working man, but difficult to deal with. Johnson both admired and was exasperated by his War Secretary, who, in combination with General of the Army Grant, worked to undermine the president's Southern policy from within his own administration. Johnson considered firing Stanton, but respected him for his wartime service as secretary. Stanton, for his part, feared allowing Johnson to appoint his successor and refused to resign, despite his public disagreements with his president. The new Congress met for a few weeks in March 1867, then adjourned, leaving the House Committee on the Judiciary behind, tasked in the first impeachment inquiry against Johnson with reporting back to the full House whether there were grounds for Johnson to be impeached. This committee duly met, examined the President's bank accounts, and summoned members of the Cabinet to testify. When a federal court released former Confederate president Davis on bail on May 13 (he had been captured shortly after the war), the committee investigated whether the President had impeded the prosecution. It learned that Johnson was eager to have Davis tried. A bipartisan majority of the committee voted down impeachment charges; the committee adjourned on June 3. Later in June, Johnson and Stanton battled over the question of whether the military officers placed in command of the South could override the civil authorities. The President had Attorney General Henry Stanbery issue an opinion backing his position that they could not. Johnson sought to pin down Stanton either as for, and thus endorsing Johnson's position, or against, showing himself to be opposed to his president and the rest of the Cabinet. Stanton evaded the point in meetings and written communications. When Congress reconvened in July, it passed a Reconstruction Act against Johnson's position, waited for his veto, overrode it, and went home. In addition to clarifying the powers of the generals, the legislation also deprived the President of control over the Army in the South. With Congress in recess until November, Johnson decided to fire Stanton and relieve one of the military commanders, General Philip Sheridan, who had dismissed the governor of Texas and installed a replacement with little popular support. Johnson was initially deterred by a strong objection from Grant, but on August 5, the President demanded Stanton's resignation; the secretary refused to quit with Congress out of session. Johnson then suspended him pending the next meeting of Congress as permitted under the Tenure of Office Act; Grant agreed to serve as temporary replacement while continuing to lead the Army. Grant, under protest, followed Johnson's order transferring Sheridan and another of the district commanders, Daniel Sickles, who had angered Johnson by firmly following Congress's plan. The President also issued a proclamation pardoning most Confederates, exempting those who held office under the Confederacy, or who had served in federal office before the war but had breached their oaths. Although Republicans expressed anger with his actions, the 1867 elections generally went Democratic. No seats in Congress were directly elected in the polling, but the Democrats took control of the Ohio General Assembly, allowing them to defeat for reelection one of Johnson's strongest opponents, Senator Benjamin Wade. Voters in Ohio, Connecticut, and Minnesota turned down propositions to grant African Americans the vote. The adverse results momentarily put a stop to Republican calls to impeach Johnson, who was elated by the elections. Nevertheless, once Congress met in November, the Judiciary Committee reversed itself and passed a resolution of impeachment against Johnson. After much debate about whether anything the President had done was a high crime or misdemeanor, the standard under the Constitution, the resolution was defeated by the House of Representatives on December 7, 1867, by a vote of 57 in favor to 108 opposed. Johnson notified Congress of Stanton's suspension and Grant's interim appointment. In January 1868, the Senate disapproved of his action, and reinstated Stanton, contending the President had violated the Tenure of Office Act. Grant stepped aside over Johnson's objection, causing a complete break between them. Johnson then dismissed Stanton and appointed Lorenzo Thomas to replace him. Stanton refused to leave his office, and on February 24, 1868, the House impeached the President for intentionally violating the Tenure of Office Act, by a vote of 128 to 47. The House subsequently adopted eleven articles of impeachment, for the most part alleging that he had violated the Tenure of Office Act, and had questioned the legitimacy of Congress. On March 5, 1868, the impeachment trial began in the Senate and lasted almost three months; Congressmen George S. Boutwell, Benjamin Butler and Thaddeus Stevens acted as managers for the House, or prosecutors, and William M. Evarts, Benjamin R. Curtis and former Attorney General Stanbery were Johnson's counsel; Chief Justice Chase served as presiding judge. The defense relied on the provision of the Tenure of Office Act that made it applicable only to appointees of the current administration. Since Lincoln had appointed Stanton, the defense maintained Johnson had not violated the act, and also argued that the President had the right to test the constitutionality of an act of Congress. Johnson's counsel insisted that he make no appearance at the trial, nor publicly comment about the proceedings, and except for a pair of interviews in April, he complied. Johnson maneuvered to gain an acquittal; for example, he pledged to Iowa Senator James W. Grimes that he would not interfere with Congress's Reconstruction efforts. Grimes reported to a group of Moderates, many of whom voted for acquittal, that he believed the President would keep his word. Johnson also promised to install the respected John Schofield as War Secretary. Kansas Senator Edmund G. Ross received assurances that the new, Radical-influenced constitutions ratified in South Carolina and Arkansas would be transmitted to the Congress without delay, an action which would give him and other senators political cover to vote for acquittal. One reason senators were reluctant to remove the President was that his successor would have been Ohio Senator Wade, the president pro tempore of the Senate. Wade, a lame duck who left office in early 1869, was a Radical who supported such measures as women's suffrage, placing him beyond the pale politically in much of the nation. Additionally, a President Wade was seen as an obstacle to Grant's ambitions. With the dealmaking, Johnson was confident of the result in advance of the verdict, and in the days leading up to the ballot, newspapers reported that Stevens and his Radicals had given up. On May 16, the Senate voted on the 11th article of impeachment, accusing Johnson of firing Stanton in violation of the Tenure of Office of Act once the Senate had overturned his suspension. Thirty-five senators voted "guilty" and 19 "not guilty", thus falling short by a single vote of the two-thirds majority required for conviction under the Constitution. Ten Republicans—Senators Grimes, Ross, Trumbull, James Dixon, James Rood Doolittle, Daniel Sheldon Norton, William Pitt Fessenden, Joseph S. Fowler, John B. Henderson, and Peter G. Van Winkle—voted to acquit the President. With Stevens bitterly disappointed at the result, the Senate then adjourned for the Republican National Convention; Grant was nominated for president. The Senate returned on May 26 and voted on the second and third articles, with identical 35–19 results. Faced with those results, Johnson's opponents gave up and dismissed proceedings. Stanton "relinquished" his office on May 26, and the Senate subsequently confirmed Schofield. When Johnson renominated Stanbery to return to his position as attorney general after his service as a defense manager, the Senate refused to confirm him. Allegations were made at the time and again later that bribery dictated the outcome of the trial. Even when it was in progress, Representative Butler began an investigation, held contentious hearings, and issued a report, unendorsed by any other congressman. Butler focused on a New York–based "Astor House Group", supposedly led by political boss and editor Thurlow Weed. This organization was said to have raised large sums of money from whiskey interests through Cincinnati lawyer Charles Woolley to bribe senators to acquit Johnson. Butler went so far as to imprison Woolley in the Capitol building when he refused to answer questions, but failed to prove bribery. Foreign policy Soon after taking office as president, Johnson reached an accord with Secretary of State William H. Seward that there would be no change in foreign policy. In practice, this meant that Seward would continue to run things as he had under Lincoln. Seward and Lincoln had been rivals for the nomination in 1860; the victor hoped that Seward would succeed him as president in 1869. At the time of Johnson's accession, the French had intervened in Mexico, sending troops there. While many politicians had indulged in saber rattling over the Mexican matter, Seward preferred quiet diplomacy, warning the French through diplomatic channels that their presence in Mexico was unacceptable. Although the President preferred a more aggressive approach, Seward persuaded him to follow his lead. In April 1866, the French government informed Seward that its troops would be brought home in stages, to conclude by November 1867. On August 14, 1866, Johnson and his cabinet gave a reception for Queen Emma of Hawaii who was returning to Hawaii after her trip to Britain and Europe. Seward was an expansionist, and sought opportunities to gain territory for the United States. After the loss of the Crimean War in the 1850s, the Russian government saw its North American colony (today Alaska) as a financial liability, and feared losing control to Britain whose troops would easily swoop in and annex the territory from neighboring Canada in any future conflict. Negotiations between Russia and the U.S. over the sale of Alaska were halted due to the outbreak of the Civil War, but after the U.S. victory in the war, talks resumed. Russia instructed its minister in Washington, Baron Eduard de Stoeckl, to negotiate a sale. De Stoeckl did so deftly, getting Seward to raise his offer from $5 million (coincidentally, the minimum that Russia had instructed de Stoeckl to accept) to $7 million, and then getting $200,000 added by raising various objections. This sum of $7.2 million is equivalent to $ in present-day terms. On March 30, 1867, de Stoeckl and Seward signed the treaty, working quickly as the Senate was about to adjourn. Johnson and Seward took the signed document to the President's Room in the Capitol, only to be told there was no time to deal with the matter before adjournment. The President summoned the Senate into session to meet on April 1; that body approved the treaty, 37–2. Emboldened by his success in Alaska, Seward sought acquisitions elsewhere. His only success was staking an American claim to uninhabited Wake Island in the Pacific, which would be officially claimed by the U.S. in 1898. He came close with the Danish West Indies as Denmark agreed to sell and the local population approved the transfer in a plebiscite, but the Senate never voted on the treaty and it expired. Another treaty that fared badly was the Johnson-Clarendon convention, negotiated in settlement of the Alabama Claims, for damages to American shipping from British-built Confederate raiders. Negotiated by the United States Minister to Britain, former Maryland senator Reverdy Johnson, in late 1868, it was ignored by the Senate during the remainder of the President's term. The treaty was rejected after he left office, and the Grant administration later negotiated considerably better terms from Britain. Administration and Cabinet Judicial appointments Johnson appointed nine Article III federal judges during his presidency, all to United States district courts; he did not appoint a justice to serve on the Supreme Court. In April 1866, he nominated Henry Stanbery to fill the vacancy left with the death of John Catron, but Congress eliminated the seat to prevent the appointment, and to ensure that he did not get to make any appointments eliminated the next vacancy as well, providing that the court would shrink by one justice when one next departed from office. Johnson appointed his Greeneville crony, Samuel Milligan, to the United States Court of Claims, where he served from 1868 until his death in 1874. Reforms initiated In June 1866, Johnson signed the Southern Homestead Act into law, believing that the legislation would assist poor whites. Around 28,000 land claims were successfully patented, although few former slaves benefitted from the law, fraud was rampant, and much of the best land was off-limits, reserved for grants to veterans or railroads. In June 1868, Johnson signed an eight-hour law passed by Congress that established an eight-hour workday for laborers and mechanics employed by the Federal Government. Although Johnson told members of a Workingmen's party delegation in Baltimore that he could not directly commit himself to an eight-hour day, he nevertheless told the same delegation that he greatly favoured the "shortest number of hours consistent with the interests of all". According to Richard F. Selcer, however, the good intentions behind the law were "immediately frustrated" as wages were cut by 20%. Completion of term Johnson sought nomination by the 1868 Democratic National Convention in New York in July 1868. He remained very popular among Southern whites, and boosted that popularity by issuing, just before the convention, a pardon ending the possibility of criminal proceedings against any Confederate not already indicted, meaning that only Davis and a few others still might face trial. On the first ballot, Johnson was second to former Ohio representative George H. Pendleton, who had been his Democratic opponent for vice president in 1864. Johnson's support was mostly from the South, and fell away as the ballots passed. On the 22nd ballot, former New York governor Horatio Seymour was nominated, and the President received only four votes, all from Tennessee. The conflict with Congress continued. Johnson sent Congress proposals for amendments to limit the president to a single six-year term and make the president and the Senate directly elected, and for term limits for judges. Congress took no action on them. When the President was slow to officially report ratifications of the Fourteenth Amendment by the new Southern legislatures, Congress passed a bill, again over his veto, requiring him to do so within ten days of receipt. He still delayed as much as he could, but was required, in July 1868, to report the ratifications making the amendment part of the Constitution. Seymour's operatives sought Johnson's support, but he long remained silent on the presidential campaign. It was not until October, with the vote already having taken place in some states, that he mentioned Seymour at all, and he never endorsed him. Nevertheless, Johnson regretted Grant's victory, in part because of their animus from the Stanton affair. In his annual message to Congress in December, Johnson urged the repeal of the Tenure of Office Act and told legislators that had they admitted their Southern colleagues in 1865, all would have been well. He celebrated his 60th birthday in late December with a party for several hundred children, though not including those of President-elect Grant, who did not allow his to go. On Christmas Day 1868, Johnson issued a final amnesty, this one covering everyone, including Davis. He also issued, in his final months in office, pardons for crimes, including one for Dr. Samuel Mudd, controversially convicted of involvement in the Lincoln assassination (he had set Booth's broken leg) and imprisoned in Fort Jefferson on Florida's Dry Tortugas. On March 3, the President hosted a large public reception at the White House on his final full day in office. Grant had made it known that he was unwilling to ride in the same carriage as Johnson, as was customary, and Johnson refused to go to the inauguration at all. Despite an effort by Seward to prompt a change of mind, he spent the morning of March 4 finishing last-minute business, and then shortly after noon rode from the White House to the home of a friend. Post-presidency (1869–1875) After leaving the presidency, Johnson remained for some weeks in Washington, then returned to Greeneville for the first time in eight years. He was honored with large public celebrations along the way, especially in Tennessee, where cities hostile to him during the war hung out welcome banners. He had arranged to purchase a large farm near Greeneville to live on after his presidency. Some expected Johnson to run for Governor of Tennessee or for the Senate again, while others thought that he would become a railroad executive. Johnson found Greeneville boring, and his private life was embittered by the suicide of his son Robert in 1869. Seeking vindication for himself, and revenge against his political enemies, he launched a Senate bid soon after returning home. Tennessee had gone Republican, but court rulings restoring the vote to some whites and suppression of the African-American vote by the Ku Klux Klan led to a Democratic victory in the legislative elections in August 1869. Johnson was seen as a likely victor in the Senate election, although hated by Radical Republicans, and by some Democrats because of his wartime activities. Although he was at one point within a single vote of victory in the legislature's balloting, the Republicans eventually elected Henry Cooper over Johnson, 54–51. In 1872, there was a special election for an at-large congressional seat for Tennessee; Johnson initially sought the Democratic nomination, but when he saw that it would go to former Confederate general Benjamin F. Cheatham, decided to run as an independent. The former president was defeated, finishing third, but the split in the Democratic Party defeated Cheatham in favor of an old Johnson Unionist ally, Horace Maynard. In 1873, Johnson contracted cholera during an epidemic but recovered; that year he lost about $73,000 (~$ in ) when the First National Bank of Washington went under, though he was eventually repaid much of the sum. Return to the Senate He began looking towards the next Senate election to take place in the legislature in early 1875. Johnson began to woo the farmers' Grange movement; with his Jeffersonian leanings, he easily gained their support. He spoke throughout the state in his final campaign tour. Few African Americans outside the large towns were now able to vote as Reconstruction faded in Tennessee, setting a pattern that would be repeated in the other Southern states; the white domination would last almost a century. In the Tennessee legislative elections in August, the Democrats elected 92 legislators to the Republicans' eight, and Johnson went to Nashville for the legislative session. When the balloting for the Senate seat began on January 20, 1875, he led with 30 votes, but did not have the required majority as three former Confederate generals, one former colonel, and a former Democratic congressman split the vote with him. Johnson's opponents tried to agree on a single candidate who might gain majority support and defeat him, but failed, and he was elected on January 26 on the 54th ballot, with a margin of a single vote. Nashville erupted in rejoicing; remarked Johnson, "Thank God for the vindication." Johnson's comeback garnered national attention, with the St. Louis Republican calling it "the most magnificent personal triumph which the history of American politics can show". At his swearing-in in the Senate on March 5, 1875, he was greeted with flowers, and sworn in alongside Hamlin (his predecessor as vice president) by incumbent Vice President Henry Wilson (who as senator had voted for Johnson's ouster). Many Republicans ignored Senator Johnson, though some, such as Ohio's John Sherman (who had voted for conviction), shook his hand. Johnson remains the only former president to serve in the Senate. He spoke only once in the short session, on March 22 lambasting President Grant for his use of federal troops in support of Louisiana's Reconstruction government. The former president asked, "How far off is military despotism?" and concluded his speech, "may God bless this people and God save the Constitution". Death Johnson returned home after the special session concluded. In late July 1875, convinced some of his opponents were defaming him in the Ohio gubernatorial race, he decided to travel there to give speeches. He began the trip on July 28, and broke the journey at his daughter Mary's farm near Elizabethton, where his daughter Martha was also staying. That evening he had a stroke, but refused medical treatment until the next day, when he did not improve and two doctors were sent for from Elizabethton. He seemed to respond to their ministrations, but had another stroke on the evening of July 30, and died early the following morning at the age of 66. President Grant had the "painful duty" of announcing the death of the only surviving past president. Northern newspapers, in their obituaries, tended to focus on Johnson's loyalty during the war, while Southern ones paid tribute to his actions as president. Johnson's funeral was held on August 3 in Greeneville. He was buried with his body wrapped in an American flag and a copy of the U.S. Constitution placed under his head, according to his wishes. The burial ground was dedicated as the Andrew Johnson National Cemetery in 1906, and with his home and tailor's shop, is part of the Andrew Johnson National Historic Site. Historical reputation and legacy According to Castel, "historians [of Johnson's presidency] have tended to concentrate to the exclusion of practically everything else upon his role in that titanic event [Reconstruction]." Through the remainder of the 19th century, there were few historical evaluations of Johnson and his presidency. Memoirs from Northerners who had dealt with him, such as former vice president Henry Wilson and Maine Senator James G. Blaine, depicted him as an obstinate boor who tried to favor the South in Reconstruction but was frustrated by Congress. According to historian Howard K. Beale in his journal article about the historiography of Reconstruction, "Men of the postwar decades were more concerned with justifying their own position than they were with painstaking search for truth. Thus [Alabama congressman and historian] Hilary Herbert and his corroborators presented a Southern indictment of Northern policies, and Henry Wilson's history was a brief for the North." The turn of the 20th century saw the first significant historical evaluations of Johnson. Leading the wave was Pulitzer Prize-winning historian James Ford Rhodes, who wrote of the former president: Rhodes ascribed Johnson's faults to his personal weaknesses, and blamed him for the problems of the postbellum South. Other early 20th-century historians, such as John Burgess, future president Woodrow Wilson, and William Dunning, concurred with Rhodes, believing Johnson flawed and politically inept but concluding that he had tried to carry out Lincoln's plans for the South in good faith. Author and journalist Jay Tolson suggests that Wilson "depict[ed Reconstruction] as a vindictive program that hurt even repentant southerners while benefiting northern opportunists, the so-called Carpetbaggers, and cynical white southerners, or Scalawags, who exploited alliances with blacks for political gain." Even as Rhodes and his school wrote, another group of historians (Dunning School) was setting out on the full rehabilitation of Johnson, using for the first time primary sources such as his papers, provided by his daughter Martha before her death in 1901, and the diaries of Johnson's Navy Secretary, Gideon Welles, first published in 1911. The resulting volumes, such as David Miller DeWitt's The Impeachment and Trial of President Andrew Johnson (1903), presented him far more favorably than they did those who had sought to oust him. In James Schouler's 1913 History of the Reconstruction Period, the author accused Rhodes of being "quite unfair to Johnson", though agreeing that the former president had created many of his own problems through inept political moves. These works had an effect; although historians continued to view Johnson as having deep flaws which sabotaged his presidency, they saw his Reconstruction policies as fundamentally correct. Castel writes: Beale wondered in 1940, "is it not time that we studied the history of Reconstruction without first assuming, at least subconsciously, that carpetbaggers and Southern white Republicans were wicked, that Negroes were illiterate incompetents, and that the whole white South owes a debt of gratitude to the restorers of 'white supremacy'?" Despite these doubts, the favorable view of Johnson survived for a time. In 1942, Van Heflin portrayed the former president as a fighter for democracy in the Hollywood film Tennessee Johnson. In 1948, a poll of his colleagues by historian Arthur M. Schlesinger deemed Johnson among the average presidents; in 1956, one by Clinton L. Rossiter named him as one of the near-great chief executives. Foner notes that at the time of these surveys, "the Reconstruction era that followed the Civil War was regarded as a time of corruption and misgovernment caused by granting black men the right to vote." Earlier historians, including Beale, believed that money drove events, and had seen Reconstruction as an economic struggle. They also accepted, for the most part, that reconciliation between North and South should have been the top priority of Reconstruction. In the 1950s, historians began to focus on the African-American experience as central to Reconstruction. They rejected completely any claim of black inferiority, which had marked many earlier historical works, and saw the developing civil rights movement as a second Reconstruction; some neoabolitionist writers stated they hoped their work on the postbellum era would advance the cause of civil rights. These authors sympathized with the Radical Republicans for their desire to help the African American, and saw Johnson as callous towards the freedman. In a number of works from 1956 onwards by such historians as Fawn Brodie, the former president was depicted as a successful saboteur of efforts to better the freedman's lot. These volumes included major biographies of Stevens and Stanton. Reconstruction was increasingly seen as a noble effort to integrate the freed slaves into society. In the early 21st century, Johnson is among those commonly mentioned as the worst presidents in U.S. history. According to historian Glenn W. Lafantasie, who believes James Buchanan the worst president, "Johnson is a particular favorite for the bottom of the pile because of his impeachment ... his complete mishandling of Reconstruction policy ... his bristling personality, and his enormous sense of self-importance." Tolson suggests that "Johnson is now scorned for having resisted Radical Republican policies aimed at securing the rights and well-being of the newly emancipated African-Americans." Gordon-Reed notes that Johnson, along with his contemporaries Pierce and Buchanan, is generally listed among the five worst presidents, but states "there have never been more difficult times in the life of this nation. The problems these men had to confront were enormous. It would have taken a succession of Lincolns to do them justice." Trefousse considers Johnson's legacy to be "the maintenance of white supremacy. His boost to Southern conservatives by undermining Reconstruction was his legacy to the nation, one that would trouble the country for generations to come." Gordon-Reed states of Johnson: See also Efforts to impeach Andrew Johnson Lincoln–Johnson ledger-removal allegation Andrew Johnson alcoholism debate Amphitheatrum Johnsonianum – 1867 illustration Tennessee Johnson – 1942 film Notes References Citations Works cited vol 5 1864–66 online and vol 6 1866–72 online Swanson, Ryan A. "Andrew Johnson and His Governors: An Examination of Failed Reconstruction Leadership." Tennessee Historical Quarterly 71.1 (2012): 16–45. online Primary sources Further reading Foner, Eric. The Dunning School: Historians, Race, and the Meaning of Reconstruction (University Press of Kentucky, 2013). Hardison, Edwin T. "In the toils of war: Andrew Johnson and the federal occupation of Tennessee, 1862-1865" (PhD thesis; . The University of Tennessee, 1981). excerpt McGuire, Tom. "Andrew Johnson and the northern revolution" (PhD thesis, Columbia University; ProQuest Dissertations Publishing,  2007. 3266640). Miller, Zachary A. "False Idol: The Memory of Andrew Johnson and Reconstruction in Greeneville, Tennessee 1869-2022" (MA thesis, East Tennessee State University ProQuest Dissertations Publishing,  2022. 29384020). O'Brien, John J., III. "The Mechanic Statesman and the Military Chieftain: Andrew Johnson, William B. Campbell and the Meaning of Liberty and Union in Antebellum Tennessee" (PhD thesis, Saint Louis University; ProQuest Dissertations Publishing, 2017. 10277975). Wedge, Lucius. "Andrew Johnson and the ministers of Nashville: A study in the relationship between war, politics, and morality" (PhD thesis, University of Akron; ProQuest Dissertations Publishing,  2013. 3671127). External links Andrew Johnson National Historic Site Andrew Johnson: A Resource Guide – Library of Congress Essays on Andrew Johnson and his presidency from the Miller Center of Public Affairs "Life Portrait of Andrew Johnson", from C-SPAN's American Presidents: Life Portraits, July 9, 1999 Text of a number of Johnson's speeches at the Miller Center of Public Affairs Andrew Johnson Personal Manuscripts and Letters – Shapell Manuscript Foundation Resolutions of Impeachment from the National Archives Tennessee State Library and Archives/Tennessee Virtual Archive/Andrew Johnson Collection/Andrew Johnson Bicentennial, 1808–2008 1808 births 1875 deaths 19th-century presidents of the United States 19th-century vice presidents of the United States 1860s in the United States Candidates in the 1860 United States presidential election Candidates in the 1868 United States presidential election 1864 United States vice-presidential candidates Presidents of the United States Vice presidents of the United States American people of English descent American people of Irish descent American people of Scotch-Irish descent Burials in Tennessee Democratic Party governors of Tennessee Democratic Party United States senators from Tennessee Governors of Tennessee Impeached presidents of the United States Lincoln administration cabinet members Mayors of places in Tennessee Members of the Tennessee House of Representatives People from Greeneville, Tennessee Politicians from Raleigh, North Carolina People of the Reconstruction Era People of North Carolina in the American Civil War People of Tennessee in the American Civil War Andrew Johnson family Republican Party (United States) vice presidential nominees Southern Unionists in the American Civil War American tailors People associated with the assassination of Abraham Lincoln Tennessee city council members Tennessee state senators Union Army generals Union (American Civil War) political leaders Democratic Party members of the United States House of Representatives from Tennessee People from Laurens, South Carolina Democratic Party presidents of the United States United States senators who owned slaves Members of the United States House of Representatives who owned slaves
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https://en.wikipedia.org/wiki/Aleksandr%20Solzhenitsyn
Aleksandr Solzhenitsyn
Aleksandr Isayevich Solzhenitsyn (11 December 1918 – 3 August 2008) was a Russian writer. A prominent Soviet dissident, Solzhenitsyn was an outspoken critic of communism and helped to raise global awareness of political repression in the Soviet Union, in particular the Gulag system. Solzhenitsyn was born into a family that defied the Soviet anti-religious campaign in the 1920s and remained devout members of the Russian Orthodox Church. However, Solzhenitsyn lost his faith in Christianity, became an atheist, and embraced Marxism–Leninism. While serving as a captain in the Red Army during World War II, Solzhenitsyn was arrested by SMERSH and sentenced to eight years in the Gulag and then internal exile for criticizing Soviet leader Joseph Stalin in a private letter. As a result of his experience in prison and the camps, he gradually became a philosophically minded Eastern Orthodox Christian. As a result of the Khrushchev Thaw, Solzhenitsyn was released and exonerated. He pursued writing novels about repression in the Soviet Union and his experiences. He published his first novel, One Day in the Life of Ivan Denisovich in 1962, with approval from Soviet leader Nikita Khrushchev, which was an account of Stalinist repressions. Solzhenitsyn's last work to be published in the Soviet Union was Matryona's Place in 1963. Following the removal of Khrushchev from power, the Soviet authorities attempted to discourage Solzhenitsyn from continuing to write. He continued to work on further novels and their publication in other countries including Cancer Ward in 1966, In the First Circle in 1968, August 1914 in 1971, and The Gulag Archipelago in 1973, the publication of which outraged Soviet authorities. In 1974, Solzhenitsyn was stripped of his Soviet citizenship and flown to West Germany. In 1976, he moved with his family to the United States, where he continued to write. In 1990, shortly before the dissolution of the Soviet Union, his citizenship was restored, and four years later he returned to Russia, where he remained until his death in 2008. He was awarded the 1970 Nobel Prize in Literature "for the ethical force with which he has pursued the indispensable traditions of Russian literature", and The Gulag Archipelago was a highly influential work that "amounted to a head-on challenge to the Soviet state", and sold tens of millions of copies. Biography Early years Solzhenitsyn was born in Kislovodsk (now in Stavropol Krai, Russia). His father, Isaakiy Semyonovich Solzhenitsyn, was of Russian descent and his mother, Taisiya Zakharovna (née Shcherbak), was of Ukrainian descent. Taisiya's father had risen from humble beginnings to become a wealthy landowner, acquiring a large estate in the Kuban region in the northern foothills of the Caucasus and during World War I, Taisiya had gone to Moscow to study. While there she met and married Isaakiy, a young officer in the Imperial Russian Army of Cossack origin and fellow native of the Caucasus region. The family background of his parents is vividly brought to life in the opening chapters of August 1914, and in the later Red Wheel novels. In 1918, Taisiya became pregnant with Aleksandr. On 15 June, shortly after her pregnancy was confirmed, Isaakiy was killed in a hunting accident. Aleksandr was raised by his widowed mother and his aunt in lowly circumstances. His earliest years coincided with the Russian Civil War. By 1930 the family property had been turned into a collective farm. Later, Solzhenitsyn recalled that his mother had fought for survival and that they had to keep his father's background in the old Imperial Army a secret. His educated mother encouraged his literary and scientific learnings and raised him in the Russian Orthodox faith; she died in 1944 having never remarried. As early as 1936, Solzhenitsyn began developing the characters and concepts for planned epic work on World War I and the Russian Revolution. This eventually led to the novel August 1914; some of the chapters he wrote then still survive. Solzhenitsyn studied mathematics and physics at Rostov State University. At the same time, he took correspondence courses from the Moscow Institute of Philosophy, Literature and History, which by this time were heavily ideological in scope. As he himself makes clear, he did not question the state ideology or the superiority of the Soviet Union until he was sentenced to time in the camps. World War II During the war, Solzhenitsyn served as the commander of a sound-ranging battery in the Red Army, was involved in major action at the front, and was twice decorated. He was awarded the Order of the Red Star on 8 July 1944 for sound-ranging two German artillery batteries and adjusting counterbattery fire onto them, resulting in their destruction. A series of writings published late in his life, including the early uncompleted novel Love the Revolution!, chronicle his wartime experience and growing doubts about the moral foundations of the Soviet regime. While serving as an artillery officer in East Prussia, Solzhenitsyn witnessed war crimes against local German civilians by Soviet military personnel. Of the atrocities, Solzhenitsyn wrote: "You know very well that we've come to Germany to take our revenge" for Nazi atrocities committed in the Soviet Union. The noncombatants and the elderly were robbed of their meager possessions and women and girls were gang-raped. A few years later, in the forced labor camp, he memorized a poem titled "Prussian Nights" about a woman raped to death in East Prussia. In this poem, which describes the gang-rape of a Polish woman whom the Red Army soldiers mistakenly thought to be a German, the first-person narrator comments on the events with sarcasm and refers to the responsibility of official Soviet writers like Ilya Ehrenburg. In The Gulag Archipelago, Solzhenitsyn wrote, "There is nothing that so assists the awakening of omniscience within us as insistent thoughts about one's own transgressions, errors, mistakes. After the difficult cycles of such ponderings over many years, whenever I mentioned the heartlessness of our highest-ranking bureaucrats, the cruelty of our executioners, I remember myself in my Captain's shoulder boards and the forward march of my battery through East Prussia, enshrouded in fire, and I say: 'So were we any better?'" Imprisonment In February 1945, while serving in East Prussia, Solzhenitsyn was arrested by SMERSH for writing derogatory comments in private letters to a friend, Nikolai Vitkevich, about the conduct of the war by Joseph Stalin, whom he called "Khozyain" ("the boss"), and "Balabos" (Yiddish rendering of Hebrew baal ha-bayit for "master of the house"). He also had talks with the same friend about the need for a new organization to replace the Soviet regime. Solzhenitsyn was accused of anti-Soviet propaganda under Article 58, paragraph 10 of the Soviet criminal code, and of "founding a hostile organization" under paragraph 11. Solzhenitsyn was taken to the Lubyanka prison in Moscow, where he was interrogated. On 9 May 1945, it was announced that Germany had surrendered and all of Moscow broke out in celebrations with fireworks and searchlights illuminating the sky to celebrate the victory in the Great Patriotic War. From his cell in the Lubyanka, Solzhenitsyn remembered: "Above the muzzle of our window, and from all the other cells of the Lubyanka, and from all the windows of the Moscow prisons, we too, former prisoners of war and former front-line soldiers, watched the Moscow heavens, patterned with fireworks and crisscrossed with beams of searchlights. There was no rejoicing in our cells and no hugs and no kisses for us. That victory was not ours." On 7 July 1945, he was sentenced in his absence by Special Council of the NKVD to an eight-year term in a labour camp. This was the usual sentence for most crimes under Article 58 at the time. The first part of Solzhenitsyn's sentence was served in several work camps; the "middle phase", as he later referred to it, was spent in a sharashka (a special scientific research facility run by Ministry of State Security), where he met Lev Kopelev, upon whom he based the character of Lev Rubin in his book The First Circle, published in a self-censored or "distorted" version in the West in 1968 (an English translation of the full version was eventually published by Harper Perennial in October 2009). In 1950, Solzhenitsyn was sent to a "Special Camp" for political prisoners. During his imprisonment at the camp in the town of Ekibastuz in Kazakhstan, he worked as a miner, bricklayer, and foundry foreman. His experiences at Ekibastuz formed the basis for the book One Day in the Life of Ivan Denisovich. One of his fellow political prisoners, Ion Moraru, remembers that Solzhenitsyn spent some of his time at Ekibastuz writing. While there, Solzhenitsyn had a tumor removed. His cancer was not diagnosed at the time. In March 1953, after his sentence ended, Solzhenitsyn was sent to internal exile for life at Birlik, a village in Baidibek District of South Kazakhstan. His undiagnosed cancer spread until, by the end of the year, he was close to death. In 1954, Solzhenitsyn was permitted to be treated in a hospital in Tashkent, where his tumor went into remission. His experiences there became the basis of his novel Cancer Ward and also found an echo in the short story "The Right Hand." It was during this decade of imprisonment and exile that Solzhenitsyn developed the philosophical and religious positions of his later life, gradually becoming a philosophically minded Eastern Orthodox Christian as a result of his experience in prison and the camps. He repented for some of his actions as a Red Army captain, and in prison compared himself to the perpetrators of the Gulag. His transformation is described at some length in the fourth part of The Gulag Archipelago ("The Soul and Barbed Wire"). The narrative poem The Trail (written without benefit of pen or paper in prison and camps between 1947 and 1952) and the 28 poems composed in prison, forced-labour camp, and exile also provide crucial material for understanding Solzhenitsyn's intellectual and spiritual odyssey during this period. These "early" works, largely unknown in the West, were published for the first time in Russian in 1999 and excerpted in English in 2006. Marriages and children On 7 April 1940, while at the university, Solzhenitsyn married Natalia Alekseevna Reshetovskaya. They had just over a year of married life before he went into the army, then to the Gulag. They divorced in 1952, a year before his release because the wives of Gulag prisoners faced the loss of work or residence permits. After the end of his internal exile, they remarried in 1957, divorcing a second time in 1972. Reshetovskaya wrote negatively of Solzhenitsyn in her memoirs, accusing him of having affairs, and said of the relationship that "[Solzhenitsyn]'s despotism ... would crush my independence and would not permit my personality to develop." In her 1974 memoir, Sanya: My Life with Aleksandr Solzhenitsyn, she wrote that she was "perplexed" that the West had accepted The Gulag Archipelago as "the solemn, ultimate truth", saying its significance had been "overestimated and wrongly appraised". Pointing out that the book's subtitle is "An Experiment in Literary Investigation", she said that her husband did not regard the work as "historical research, or scientific research". She contended that it was, rather, a collection of "camp folklore", containing "raw material" which her husband was planning to use in his future productions. In 1973, Solzhenitsyn married his second wife, Natalia Dmitrievna Svetlova, a mathematician who had a son, Dmitri Turin, from a brief prior marriage. He and Svetlova (born 1939) had three sons: Yermolai (1970), Ignat (1972), and Stepan (1973). Dmitri Turin died on 18 March 1994, aged 32, at his home in New York City. After prison After Khrushchev's Secret Speech in 1956, Solzhenitsyn was freed from exile and exonerated. Following his return from exile, Solzhenitsyn was, while teaching at a secondary school during the day, spending his nights secretly engaged in writing. In his Nobel Prize acceptance speech he wrote that "during all the years until 1961, not only was I convinced I should never see a single line of mine in print in my lifetime, but, also, I scarcely dared allow any of my close acquaintances to read anything I had written because I feared this would become known." In 1960, aged 42, Solzhenitsyn approached Aleksandr Tvardovsky, a poet and the chief editor of the Novy Mir magazine, with the manuscript of One Day in the Life of Ivan Denisovich. It was published in edited form in 1962, with the explicit approval of Nikita Khrushchev, who defended it at the presidium of the Politburo hearing on whether to allow its publication, and added: "There's a Stalinist in each of you; there's even a Stalinist in me. We must root out this evil." The book quickly sold out and became an instant hit. In the 1960s, while Solzhenitsyn was publicly known to be writing Cancer Ward, he was simultaneously writing The Gulag Archipelago. During Khrushchev's tenure, One Day in the Life of Ivan Denisovich was studied in schools in the Soviet Union, as were three more short works of Solzhenitsyn's, including his short story "Matryona's Home", published in 1963. These would be the last of his works published in the Soviet Union until 1990. One Day in the Life of Ivan Denisovich brought the Soviet system of prison labour to the attention of the West. It caused as much of a sensation in the Soviet Union as it did in the West—not only by its striking realism and candour, but also because it was the first major piece of Soviet literature since the 1920s on a politically charged theme, written by a non-party member, indeed a man who had been to Siberia for "libelous speech" about the leaders, and yet its publication had been officially permitted. In this sense, the publication of Solzhenitsyn's story was almost unheard of instance of free, unrestrained discussion of politics through literature. However, after Khrushchev had been ousted from power in 1964, the time for such raw, exposing works came to an end. Later years in the Soviet Union Solzhenitsyn made an unsuccessful attempt, with the help of Tvardovsky, to have his novel Cancer Ward legally published in the Soviet Union. This required the approval of the Union of Writers. Though some there appreciated it, the work was ultimately denied publication unless it was to be revised and cleaned of suspect statements and anti-Soviet insinuations. After Khrushchev's removal in 1964, the cultural climate again became more repressive. Publishing of Solzhenitsyn's work quickly stopped; as a writer, he became a non-person, and, by 1965, the KGB had seized some of his papers, including the manuscript of The First Circle. Meanwhile, Solzhenitsyn continued to secretly and feverishly work on the most well-known of his writings, The Gulag Archipelago. The seizing of his novel manuscript first made him desperate and frightened, but gradually he realized that it had set him free from the pretenses and trappings of being an "officially acclaimed" writer, a status which had become familiar but which was becoming increasingly irrelevant. After the KGB had confiscated Solzhenitsyn's materials in Moscow, in the years 1965 to 1967, the preparatory drafts of The Gulag Archipelago were turned into finished typescript in hiding at his friends' homes in Soviet Estonia. Solzhenitsyn had befriended Arnold Susi, a lawyer and former Minister of Education of Estonia in a Lubyanka Building prison cell. After completion, Solzhenitsyn's original handwritten script was kept hidden from the KGB in Estonia by Arnold Susi's daughter Heli Susi until the collapse of the Soviet Union. In 1969, Solzhenitsyn was expelled from the Union of Writers. In 1970, he was awarded the Nobel Prize in Literature. He could not receive the prize personally in Stockholm at that time, since he was afraid he would not be let back into the Soviet Union. Instead, it was suggested he should receive the prize in a special ceremony at the Swedish embassy in Moscow. The Swedish government refused to accept this solution because such a ceremony and the ensuing media coverage might upset the Soviet Union and damage Swedish-Soviet relations. Instead, Solzhenitsyn received his prize at the 1974 ceremony after he had been expelled from the Soviet Union. In 1973, another manuscript written by Solzhenitsyn was confiscated by the KGB after his friend Elizaveta Voronyanskaya was questioned non-stop for five days until she revealed its location, according to a statement by Solzhenitsyn to Western reporters on September 6, 1973. According to Solzhenitsyn, "When she returned home, she hanged herself." The Gulag Archipelago was composed from 1958 to 1967, and has sold over thirty million copies in thirty-five languages. It was a three-volume, seven-part work on the Soviet prison camp system, which drew from Solzhenitsyn's experiences and the testimony of 256 former prisoners and Solzhenitsyn's own research into the history of the Russian penal system. It discusses the system's origins from the founding of the Communist regime, with Vladimir Lenin having responsibility, detailing interrogation procedures, prisoner transports, prison camp culture, prisoner uprisings and revolts such as the Kengir uprising, and the practice of internal exile. Soviet and Communist studies historian and archival researcher Stephen G. Wheatcroft wrote that the book was essentially a "literary and political work", and "never claimed to place the camps in a historical or social-scientific quantitative perspective" but that in the case of qualitative estimates, Solzhenitsyn gave his high estimate as he wanted to challenge the Soviet authorities to show that "the scale of the camps was less than this." Historian J. Arch Getty wrote of Solzhenitsyn's methodology that "such documentation is methodically unacceptable in other fields of history", which gives priority to vague hearsay and leads towards selective bias. According to journalist Anne Applebaum, who has made extensive research on the Gulag, The Gulag Archipelago'''s rich and varied authorial voice, its unique weaving together of personal testimony, philosophical analysis, and historical investigation, and its unrelenting indictment of Communist ideology made it one of the most influential books of the 20th century. On 8 August 1971, the KGB allegedly attempted to assassinate Solzhenitsyn using an unknown chemical agent (most likely ricin) with an experimental gel-based delivery method. The attempt left him seriously ill but he survived. Although The Gulag Archipelago was not published in the Soviet Union, it was extensively criticized by the Party-controlled Soviet press. An editorial in Pravda on 14 January 1974 accused Solzhenitsyn of supporting "Hitlerites" and making "excuses for the crimes of the Vlasovites and Bandera gangs." According to the editorial, Solzhenitsyn was "choking with pathological hatred for the country where he was born and grew up, for the socialist system, and for Soviet people." During this period, he was sheltered by the cellist Mstislav Rostropovich, who suffered considerably for his support of Solzhenitsyn and was eventually forced into exile himself. Expulsion from the Soviet Union In a discussion of its options in dealing with Solzhenitsyn, the members of the Politburo considered his arrest and imprisonment and his expulsion to a capitalist country willing to take him. Guided by KGB chief Yuri Andropov, and following a statement from West German Chancellor Willy Brandt that Solzhenitsyn could live and work freely in West Germany, it was decided to deport the writer directly to that country. In the West On 12 February 1974, Solzhenitsyn was arrested and deported the next day from the Soviet Union to Frankfurt, West Germany and stripped of his Soviet citizenship. The KGB had found the manuscript for the first part of The Gulag Archipelago. U.S. military attaché William Odom managed to smuggle out a large portion of Solzhenitsyn's archive, including the author's membership card for the Writers' Union and his Second World War military citations. Solzhenitsyn paid tribute to Odom's role in his memoir Invisible Allies (1995). In West Germany, Solzhenitsyn lived in Heinrich Böll's house in . He then moved to Zürich, Switzerland before Stanford University invited him to stay in the United States to "facilitate your work, and to accommodate you and your family". He stayed at the Hoover Tower, part of the Hoover Institution, before moving to Cavendish, Vermont, in 1976. He was given an honorary literary degree from Harvard University in 1978 and on 8 June 1978 he gave a commencement address, condemning, among other things, the press, the lack of spirituality and traditional values, and the anthropocentrism of Western culture. Solzhenitsyn also received an honorary degree from the College of the Holy Cross in 1984. On 19 September 1974, Yuri Andropov approved a large-scale operation to discredit Solzhenitsyn and his family and cut his communications with Soviet dissidents. The plan was jointly approved by Vladimir Kryuchkov, Philipp Bobkov, and Grigorenko (heads of First, Second and Fifth KGB Directorates). The residencies in Geneva, London, Paris, Rome and other European cities participated in the operation. Among other active measures, at least three StB agents became translators and secretaries of Solzhenitsyn (one of them translated the poem Prussian Nights), keeping the KGB informed regarding all contacts by Solzhenitsyn. The KGB also sponsored a series of hostile books about Solzhenitsyn, most notably a "memoir published under the name of his first wife, Natalia Reshetovskaya, but probably mostly composed by Service A", according to historian Christopher Andrew. Andropov also gave an order to create "an atmosphere of distrust and suspicion between Pauk and the people around him" by feeding him rumors that the people around him were KGB agents, and deceiving him at every opportunity. Among other things, he continually received envelopes with photographs of car crashes, brain surgery and other disturbing imagery. After the KGB harassment in Zürich, Solzhenitsyn settled in Cavendish, Vermont, reduced communications with others. His influence and moral authority for the West diminished as he became increasingly isolated and critical of Western individualism. KGB and CPSU experts finally concluded that he alienated American listeners by his "reactionary views and intransigent criticism of the US way of life", so no further active measures would be required. Over the next 17 years, Solzhenitsyn worked on his dramatized history of the Russian Revolution of 1917, The Red Wheel. By 1992, four sections had been completed and he had also written several shorter works. Solzhenitsyn's warnings about the dangers of Communist aggression and the weakening of the moral fiber of the West were generally well received in Western conservative circles (e.g. Ford administration staffers Dick Cheney and Donald Rumsfeld advocated on Solzhenitsyn's behalf for him to speak directly to President Gerald Ford about the Soviet threat), prior to and alongside the tougher foreign policy pursued by US President Ronald Reagan. At the same time, liberals and secularists became increasingly critical of what they perceived as his reactionary preference for Russian nationalism and the Russian Orthodox religion. Solzhenitsyn also harshly criticised what he saw as the ugliness and spiritual vapidity of the dominant pop culture of the modern West, including television and much of popular music: "...the human soul longs for things higher, warmer, and purer than those offered by today's mass living habits... by TV stupor and by intolerable music." Despite his criticism of the "weakness" of the West, Solzhenitsyn always made clear that he admired the political liberty which was one of the enduring strengths of Western democratic societies. In a major speech delivered to the International Academy of Philosophy in Liechtenstein on 14 September 1993, Solzhenitsyn implored the West not to "lose sight of its own values, its historically unique stability of civic life under the rule of law—a hard-won stability which grants independence and space to every private citizen." In a series of writings, speeches, and interviews after his return to his native Russia in 1994, Solzhenitsyn spoke about his admiration for the local self-government he had witnessed first hand in Switzerland and New England."The Cavendish Farewell" in Ericson (2009) pp. 606–07 He "praised 'the sensible and sure process of grassroots democracy, in which the local population solves most of its problems on its own, not waiting for the decisions of higher authorities.'" Solzhenitsyn's patriotism was inward-looking. He called for Russia to "renounce all mad fantasies of foreign conquest and begin the peaceful long, long long period of recuperation," as he put it in a 1979 BBC interview with Latvian-born BBC journalist Janis Sapiets. Return to Russia In 1990, his Soviet citizenship was restored, and, in 1994, he returned to Russia with his wife, Natalia, who had become a United States citizen. Their sons stayed behind in the United States (later, his eldest son Yermolai returned to Russia). From then until his death, he lived with his wife in a dacha in Troitse-Lykovo in west Moscow between the dachas once occupied by Soviet leaders Mikhail Suslov and Konstantin Chernenko. A staunch believer in traditional Russian culture, Solzhenitsyn expressed his disillusionment with post-Soviet Russia in works such as Rebuilding Russia, and called for the establishment of a strong presidential republic balanced by vigorous institutions of local self-government. The latter would remain his major political theme. Solzhenitsyn also published eight two-part short stories, a series of contemplative "miniatures" or prose poems, and a literary memoir on his years in the West The Grain Between the Millstones, translated and released as two works by the University of Notre Dame as part of the Kennan Institute's Solzhenitsyn Initiative. The first, Between Two Millstones, Book 1: Sketches of Exile (1974–1978), was translated by Peter Constantine and published in October 2018, the second, Book 2: Exile in America (1978–1994) translated by Clare Kitson and Melanie Moore and published in October 2020. Once back in Russia Solzhenitsyn hosted a television talk show program. Its eventual format was Solzhenitsyn delivering a 15-minute monologue twice a month; it was discontinued in 1995. Solzhenitsyn became a supporter of Vladimir Putin, who said he shared Solzhenitsyn's critical view towards the Russian Revolution. All of Solzhenitsyn's sons became U.S. citizens. One, Ignat, is a pianist and conductor. Another Solzhenitsyn son, Yermolai, works for the Moscow office of McKinsey & Company, a management consultancy firm, where he is a senior partner. Death Solzhenitsyn died of heart failure near Moscow on 3 August 2008, at the age of 89. A burial service was held at Donskoy Monastery, Moscow, on 6 August 2008. He was buried the same day in the monastery, in a spot he had chosen. Russian and world leaders paid tribute to Solzhenitsyn following his death. Views on history and politics On Christianity, Tsarism, and Russian nationalism According to William Harrison, Solzhenitsyn was an "arch-reactionary", who argued that the Soviet State "suppressed" traditional Russian and Ukrainian culture, called for the creation of a united Slavic state encompassing Russia, Ukraine, and Belarus, and who was a fierce opponent of Ukrainian independence. It is well documented that his negative views on Ukrainian independence became more radical over the years. Harrison also alleged that Solzhenitsyn held Pan-Slavist and monarchist views. According to Harrison, "His historical writing is imbued with a hankering after an idealized Tsarist era when, seemingly, everything was rosy. He sought refuge in a dreamy past, where, he believed, a united Slavic state (the Russian empire) built on Orthodox foundations had provided an ideological alternative to western individualistic liberalism." Solzhenitsyn also repeatedly denounced Tsar Alexis of Russia and Patriarch Nikon of Moscow for causing the Great Schism of 1666, which Solzhenitsyn said both divided and weakened the Russian Orthodox Church at a time when unity was desperately needed. Solzhenitsyn also attacked both the Tsar and the Patriarch for using excommunication, Siberian exile, imprisonment, torture, and even burning at the stake against the Old Believers, who rejected the liturgical changes which caused the Schism. Solzhenitsyn also argued that the Dechristianization of Russian culture, which he considered most responsible for the Bolshevik Revolution, began in 1666, became much worse during the Reign of Tsar Peter the Great, and accelerated into an epidemic during The Enlightenment, the Romantic era, and the Silver Age. Expanding upon this theme, Solzhenitsyn once declared, "Over a half century ago, while I was still a child, I recall hearing a number of old people offer the following explanation for the great disasters that had befallen Russia: 'Men have forgotten God; that's why all this has happened. Since then I have spent well-nigh 50 years working on the history of our revolution; in the process I have read hundreds of books, collected hundreds of personal testimonies, and have already contributed eight volumes of my own toward the effort of clearing away the rubble left by that upheaval. But if I were asked today to formulate as concisely as possible the main cause of the ruinous revolution that swallowed up some 60 million of our people, I could not put it more accurately than to repeat: 'Men have forgotten God; that's why all this has happened.'" In an interview with Joseph Pearce, however, Solzhenitsyn commented, "[The Old Believers were] treated amazingly unjustly because some very insignificant, trifling differences in ritual which were promoted with poor judgment and without much sound basis. Because of these small differences, they were persecuted in very many cruel ways, they were suppressed, they were exiled. From the perspective of historical justice, I sympathise with them and I am on their side, but this in no way ties in with what I have just said about the fact that religion in order to keep up with mankind must adapt its forms toward modern culture. In other words, do I agree with the Old Believers that religion should freeze and not move at all? Not at all!" When asked by Pearce for his opinions about the division within the Roman Catholic Church over the Second Vatican Council and the Mass of Paul VI, Solzhenitsyn replied, "A question peculiar to the Russian Orthodox Church is, should we continue to use Old Church Slavonic, or should we start to introduce more of the contemporary Russian language into the service? I understand the fears of both those in the Orthodox and in the Catholic Church, the wariness, the hesitation, and the fear that this is lowering the Church to the modern condition, the modern surroundings. I understand this, but alas, I fear that if religion does not allow itself to change, it will be impossible to return the world to religion because the world is incapable on its own of rising as high as the old demands of religion. Religion needs to come and meet it somewhat." Surprised to hear Solzhenitsyn, "so often perceived as an arch-traditionalist, apparently coming down on the side of the reformers", Pearce then asked Solzhenitsyn what he thought of the division caused within the Anglican Communion by the decision to ordain female priests. Solzhenitsyn replied, "Certainly there are many firm boundaries that should not be changed. When I speak of some sort of correlation between the cultural norms of the present, it is really only a small part of the whole thing." Solzhenitsyn then added, "Certainly, I do not believe that women priests is the way to go!" On Russia and the Jews In his 1974 essay "Repentance and Self-Limitation in the Life of Nations", Solzhenitsyn urged "Russian Gentiles" and Jews alike to take moral responsibility for the "renegades" from both communities who enthusiastically embraced atheism and Marxism–Leninism and participated in the Red Terror and many other acts of torture and mass murder following the October Revolution. Solzhenitsyn argued that both Russian Gentiles and Jews should be prepared to treat the atrocities committed by Jewish and Gentile Bolsheviks as though they were the acts of their own family members, before their consciences and before God. Solzhenitsyn said that if we deny all responsibility for the crimes of our national kin, "the very concept of a people loses all meaning." In a review of Solzhenitsyn's novel August 1914 in The New York Times on 13 November 1985, Jewish American historian Richard Pipes wrote: "Every culture has its own brand of anti-Semitism. In Solzhenitsyn's case, it's not racial. It has nothing to do with blood. He's certainly not a racist; the question is fundamentally religious and cultural. He bears some resemblance to Fyodor Dostoyevsky, who was a fervent Christian and patriot and a rabid anti-Semite. Solzhenitsyn is unquestionably in the grip of the Russian extreme right's view of the Revolution, which is that it was the doing of the Jews". Award-winning Jewish novelist and the Holocaust survivor Elie Wiesel disagreed and wrote that Solzhenitsyn was "too intelligent, too honest, too courageous, too great a writer" to be an anti-Semite. In his 1998 book Russia in Collapse, Solzhenitsyn criticized the Russian far-right's obsession with anti-Semitic and anti-Masonic conspiracy theories. In 2001, Solzhenitsyn published a two-volume work on the history of Russian-Jewish relations (Two Hundred Years Together 2001, 2002). The book triggered renewed accusations of anti-Semitism. In the book, he repeated his call for Russian Gentiles and Jews to share responsibility for everything that happened in the Soviet Union. He also downplayed the number of victims of an 1882 pogrom despite current evidence, and failed to mention the Beilis affair, a 1911 trial in Kiev where a Jew was accused of ritually murdering Christian children. He was also criticized for relying on outdated scholarship, ignoring current western scholarship, and for selectively quoting to strengthen his preconceptions, such as that the Soviet Union often treated Jews better than non-Jewish Russians. Similarities between Two Hundred Years Together and an anti-Semitic essay titled "Jews in the USSR and in the Future Russia", attributed to Solzhenitsyn, have led to the inference that he stands behind the anti-Semitic passages. Solzhenitsyn himself explained that the essay consists of manuscripts stolen from him by the KGB, and then carefully edited to appear anti-Semitic, before being published, 40 years before, without his consent.Cathy Young: Reply to Daniel J. Mahoney in Reason Magazine, August–September 2004. According to the historian Semyon Reznik, textological analyses have proven Solzhenitsyn's authorship. Criticism of communism Solzhenitsyn emphasized the significantly more oppressive character of the Soviet police state, in comparison to the Russian Empire of the House of Romanov. He asserted that Imperial Russia did not censor literature or the media to the extreme style of the Soviet Glavlit, that political prisoners typically were not forced into labor camps, and that the number of political prisoners and exiles was only one ten-thousandth of the numbers of prisoners and Exiles following the Bolshevik Revolution. He noted that the Tsar's secret police, the Okhrana, was only present in the three largest cities, and not at all in the Imperial Russian Army. Shortly before his return to Russia, Solzhenitsyn delivered a speech in Les Lucs-sur-Boulogne to commemorate the 200th anniversary of the Vendée Uprising. During his speech, Solzhenitsyn compared Lenin's Bolsheviks with the Jacobin Club during the French Revolution. He also compared the Vendean rebels with the Russian, Ukrainian, and Cossack peasants who rebelled against the Bolsheviks, saying that both were destroyed mercilessly by revolutionary despotism. He commented that, while the French Reign of Terror ended with the Thermidorian reaction and the toppling of the Jacobins and the execution of Maximilien Robespierre, its Soviet equivalent continued to accelerate until the Khrushchev thaw of the 1950s. According to Solzhenitsyn, Russians were not the ruling nation in the Soviet Union. He believed that all the traditional culture of all ethnic groups were equally oppressed in favor of atheism and Marxist–Leninism. Russian culture was even more repressed than any other culture in the Soviet Union, since the regime was more afraid of ethnic uprisings among Russian Christians than among any other ethnicity. Therefore, Solzhenitsyn argued, Russian nationalism and the Russian Orthodox Church should not be regarded as a threat by the West but rather as allies. Solzhenitsyn made a speaking tour after Francisco Franco's death, and "told liberals not to push too hard for changes because Spain had more freedoms now than the Soviet Union had ever known." As reported by The New York Times, he "blamed Communism for the death of 110 million Russians and derided those in Spain who complained of dictatorship." Solzhenitsyn recalled: "I had to explain to the people of Spain in the most concise possible terms what it meant to have been subjugated by an ideology as we in the Soviet Union had been, and give the Spanish to understand what a terrible fate they escaped in 1939", a reference to the Spanish Civil War between the Nationalists and the Republicans, which was not a common view at that time among American diplomats. For Winston Lord, a protégé of the then United States Secretary of State Henry Kissinger, Solzhenitsyn was "just about a fascist." According to Elisa Kriza, Solzhenitsyn held "benevolent views" on Franco's dictatorship and Francoist Spain because it was a Christian one, and his Christian worldview operated ideologically. In The Little Grain Managed to Land Between Two Millstones, Franco's Spain is "held up as a model of a proper Christian response to the evil of Bolshevism." According to Peter Brooke, Solzhenitsyn approached the position argued by Christian Dmitri Panin, with whom he had a fall out in exile, namely that evil "must be confronted by force, and the centralised, spiritually independent Roman Catholic Church is better placed to do it than Orthodoxy with its otherworldliness and tradition of subservience to the state." In "Rebuilding Russia", an essay first published in 1990 in Komsomolskaya Pravda, Solzhenitsyn urged the Soviet Union to grant independence to all the non-Slav republics, which he claimed were sapping the Russian nation and he called for the creation of a new Slavic state bringing together Russia, Ukraine, Belarus, and parts of Kazakhstan that he considered to be Russified. Regarding Ukraine he wrote “All the talk of a separate Ukrainian people existing since something like the ninth century and possessing its own non-Russian language is recently invented falsehood” and "we all sprang from precious Kiev". On post-Soviet Russia In some of his later political writings, such as Rebuilding Russia (1990) and Russia in Collapse (1998), Solzhenitsyn criticized the oligarchic excesses of the new Russian democracy, while opposing any nostalgia for Soviet Communism. He defended moderate and self-critical patriotism (as opposed to extreme nationalism). He also urged for local self-government similar to what he had seen in New England town meetings and in the cantons of Switzerland. He also expressed concern for the fate of the 25 million ethnic Russians in the "near abroad" of the former Soviet Union. In an interview with Joseph Pearce, Solzhenitsyn was asked whether he felt that the socioeconomic theories of E.F. Schumacher were, "the key to society rediscovering its sanity". He replied, "I do believe that it would be the key, but I don't think this will happen, because people succumb to fashion, and they suffer from inertia and it is hard to them to come round to a different point of view." Solzhenitsyn refused to accept Russia's highest honor, the Order of St. Andrew, in 1998. Solzhenitsyn later said: "In 1998, it was the country's low point, with people in misery; ... Yeltsin decreed I be honored the highest state order. I replied that I was unable to receive an award from a government that had led Russia into such dire straits." In a 2003 interview with Joseph Pearce, Solzhenitsyn said: "We are exiting from communism in a most unfortunate and awkward way. It would have been difficult to design a path out of communism worse than the one that has been followed." In a 2007 interview with Der Spiegel, Solzhenitsyn expressed disappointment that the "conflation of 'Soviet' and 'Russian'", against which he spoke so often in the 1970s, had not passed away in the West, in the ex-socialist countries, or in the former Soviet republics. He commented, "The elder political generation in communist countries is not ready for repentance, while the new generation is only too happy to voice grievances and level accusations, with present-day Moscow [as] a convenient target. They behave as if they heroically liberated themselves and lead a new life now, while Moscow has remained communist. Nevertheless, I dare [to] hope that this unhealthy phase will soon be over, that all the peoples who have lived through communism will understand that communism is to blame for the bitter pages of their history." In 2008, Solzhenitsyn praised Putin, saying Russia was rediscovering what it meant to be Russian. Solzhenitsyn also praised the Russian president Dmitry Medvedev as a "nice young man" who was capable of taking on the challenges Russia was facing. Criticism of the West Once in the United States, Solzhenitsyn sharply criticized the West. Solzhenitsyn criticized the Allies for not opening a new front against Nazi Germany in the west earlier in World War II. This resulted in Soviet domination and control of the nations of Eastern Europe. Solzhenitsyn claimed the Western democracies apparently cared little about how many died in the East, as long as they could end the war quickly and painlessly for themselves in the West. Delivering the commencement address at Harvard University in 1978, he called the United States "Dechristianized" and mired in boorish consumerism. The American people, he said, speaking in Russian through a translator, were also suffering from a "decline in courage" and a "lack of manliness." Few were willing to die for their ideals, he said. He also condemned the 1960s counterculture for forcing the United States federal government to accept a "hasty" capitulation in the Vietnam War. In a reference to the Communist governments in Southeast Asia's use of re-education camps, politicide, human rights abuses, and genocide following the Fall of Saigon, Solzhenitsyn said: "But members of the U.S. antiwar movement wound up being involved in the betrayal of Far Eastern nations, in a genocide and in the suffering today imposed on 30 million people there. Do those convinced pacifists hear the moans coming from there?" He also accused the Western news media of left-wing bias, of violating the privacy of celebrities, and of filling up the "immortal souls" of their readers with celebrity gossip and other "vain talk". He also said that the West erred in thinking that the whole world should embrace this as model. While faulting Soviet society for rejecting basic human rights and the rule of law, he also critiqued the West for being too legalistic: "A society which is based on the letter of the law and never reaches any higher is taking very scarce advantage of the high level of human possibilities." Solzhenitsyn also argued that the West erred in "denying [Russian culture's] autonomous character and therefore never understood it". Solzhenitsyn criticized the 2003 invasion of Iraq and accused the United States of the "occupation" of Kosovo, Afghanistan and Iraq. Solzhenitsyn was critical of NATO's eastward expansion towards Russia's borders. In 2006, Solzhenitsyn accused NATO of trying to bring Russia under its control; he claimed this was visible because of its "ideological support for the 'colour revolutions' and the paradoxical forcing of North Atlantic interests on Central Asia". In a 2006 interview with Der Spiegel he stated "This was especially painful in the case of Ukraine, a country whose closeness to Russia is defined by literally millions of family ties among our peoples, relatives living on different sides of the national border. At one fell stroke, these families could be torn apart by a new dividing line, the border of a military bloc." On the Holodomor Solzhenitsyn gave a speech to AFL–CIO in Washington, D.C., on 30 June 1975 in which he mentioned how the system created by the Bolsheviks in 1917 caused dozens of problems in the Soviet Union. He described how this system was responsible for the Holodomor: "It was a system which, in time of peace, artificially created a famine, causing 6 million people to die in the Ukraine in 1932 and 1933." Solzhenitsyn added, "they died on the very edge of Europe. And Europe didn't even notice it. The world didn't even notice it—6 million people!" Shortly before his death, Solzhenitsyn opined in an interview published 2 April 2008 in Izvestia that, while the famine in Ukraine was both artificial and caused by the state, it was no different from the Russian famine of 1921–1922. Solzhenitsyn expressed the belief that both famines were caused by systematic armed robbery of the harvests from both Russian and Ukrainian peasants by Bolshevik units, which were under orders from the Politburo to bring back food for the starving urban population centers while refusing for ideological reasons to permit any private sale of food supplies in the cities or to give any payment to the peasants in return for the food that was seized. Solzhenitsyn further alleged that the theory that the Holodomor was a genocide which only victimized the Ukrainian people was created decades later by believers in an anti-Russian form of extreme Ukrainian nationalism. Solzhenitsyn also cautioned that the ultranationalists' claims risked being accepted without question in the West due to widespread ignorance and misunderstanding there of both Russian and Ukrainian history. Legacy The Aleksandr Solzhenitsyn Center in Worcester, Massachusetts promotes the author and hosts the official English-language website dedicated to him. Television documentaries on Solzhenitsyn In October 1983, French literary journalist Bernard Pivot made an hour-long television interview with Solzhenitsyn at his rural home in Vermont, US. Solzhenitsyn discussed his writing, the evolution of his language and style, his family and his outlook on the future—and stated his wish to return to Russia in his lifetime, not just to see his books eventually printed there.Apostrophes: Alexandre Soljenitsyne répond à Bernard Pivot | Archive INA Ina Talk Shows Earlier the same year, Solzhenitsyn was interviewed on separate occasions by two British journalists, Bernard Levin and Malcolm Muggeridge. In 1998, Russian filmmaker Alexander Sokurov made a four-part television documentary, Besedy s Solzhenitsynym (The Dialogues with Solzhenitsyn). The documentary was shot in Solzhenitsyn's home depicting his everyday life and his reflections on Russian history and literature. In December 2009, the Russian channel Rossiya K broadcast the French television documentary L'Histoire Secrète de l'Archipel du Goulag (The Secret History of the Gulag Archipelago) made by Jean Crépu and Nicolas Miletitch and translated into Russian under the title Taynaya Istoriya "Arkhipelaga Gulag" (Тайная история "Архипелага ГУЛАГ"). The documentary covers events related to creation and publication of The Gulag Archipelago. Published works and speeches Also known as The Prisoner and the Camp Hooker or The Tenderfoot and the Tart. The beginning of a history of the birth of the USSR. Centers on the disastrous loss in the Battle of Tannenberg in August 1914, and the ineptitude of the military leadership. Other works, similarly titled, follow the story: see The Red Wheel (overall title). (3 vols.), not a memoir, but a history of the entire process of developing and administering a police state in the Soviet Union. . . ; separate publication of chapters on Vladimir Lenin, none of them published before this point, from The Red Wheel. The first of them was later incorporated into the 1984 edition of the expanded August 1914 (though it had been written at the same time as the original version of the novel) and the rest in November 1916 and March 1917. on Russian-Jewish relations since 1772, aroused ambiguous public response. See also Literature covering the Gulag system List of refugees Ivan Bunin Czesław Miłosz Đoàn Văn Toại Wei Jingsheng Yevgeny Zamyatin Notes References Sources Kriza, Elisa (2014) Alexander Solzhenitsyn: Cold War Icon, Gulag Author, Russian Nationalist? A Study of the Western Reception of his Literary Writings, Historical Interpretations, and Political Ideas. Stuttgart: Ibidem Press. Further reading Biographies Ostrovsky Alexander (2004). Солженицын: прощание с мифом (Solzhenitsyn: Farewell to the myth) – Moscow: «Yauza», Presscom. Reference works . ; Prof. Vittorio Strada, Dott. Julija Dobrovol'skaja. Anatoly Livry, « Soljénitsyne et la République régicide », Les Lettres et Les Arts, Cahiers suisses de critique littéraire et artistiques, Association de la revue Les Lettres et les Arts, Suisse, Vicques, 2011, pp. 70–72. http://anatoly-livry.e-monsite.com/medias/files/soljenitsine-livry-1.pdf . . . . . . . . External links The Nobel Prize in Literature 1970 Negative Analysis of Alexander Solzhenitsyn by the Stalin Society'' . Vermont Recluse Aleksandr Solzhenitsyn Der Spiegel interviews Alexander Solzhenitsyn: 'I Am Not Afraid of Death', 23 July 2007 As delivered text and video of Harvard Commencement Address at AmericanRhetoric.com The Solzhenitsyn Reader: New and Essential Writings, 1947–2005 1918 births 2008 deaths 20th-century male writers 20th-century non-fiction writers Russian writers of Ukrainian descent 20th-century Russian short story writers Burials at Donskoy Monastery Censorship in the Soviet Union Christian humanists Christian novelists Christian writers Converts to Eastern Orthodoxy from atheism or agnosticism Critics of atheism Eastern Orthodox philosophers Full Members of the Russian Academy of Sciences Gulag detainees Inmates of Lefortovo Prison Members of the Serbian Academy of Sciences and Arts Nobel laureates in Literature People denaturalized by the Soviet Union People from Cavendish, Vermont People from Kislovodsk People of the Cold War Prison writings Recipients of the Order of the Red Star Southern Federal University alumni Russian anti-communists Russian exiles 20th-century Russian historians Russian humanitarians Russian male novelists Russian male short story writers Russian monarchists Russian nationalists Russian Nobel laureates Russian Orthodox Christians from Russia Russian Orthodox Christians from the Soviet Union Russian people of Ukrainian descent Russian prisoners and detainees Sharashka inmates Soviet Army officers Soviet dissidents Soviet emigrants to Germany Soviet emigrants to Switzerland Soviet emigrants to the United States Soviet expellees Soviet male writers Soviet military personnel of World War II Soviet Nobel laureates Soviet historians Soviet novelists Soviet prisoners and detainees Soviet psychiatric abuse whistleblowers Soviet rehabilitations Soviet short story writers Soviet whistleblowers Stalinism-era scholars and writers State Prize of the Russian Federation laureates Stateless people Russian television talk show hosts Templeton Prize laureates World War II poets Male non-fiction writers Russian Christians Foreign members of the Serbian Academy of Sciences and Arts
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https://en.wikipedia.org/wiki/Aberdeen
Aberdeen
Aberdeen (; ; ; ) is a city in North East Scotland, and is the third most populous Scottish city. Aberdeen is one of Scotland's 32 local government council areas (as Aberdeen City), and has a population estimate of for the city of Aberdeen, and for the local council area making it the United Kingdom's 39th most populous built-up area. The city is northeast of Edinburgh and north of London, and is the northernmost major city in the United Kingdom. Aberdeen has a long, sandy coastline and features an oceanic climate, with cool summers and mild, rainy winters. During the mid-18th to mid-20th centuries, Aberdeen's buildings incorporated locally quarried grey granite, which may sparkle like silver because of its high mica content. Since the discovery of North Sea oil in 1969, Aberdeen has been known as the offshore oil capital of Europe. Based upon the discovery of prehistoric villages around the mouths of the rivers Dee and Don, the area around Aberdeen has been thought to have been settled for at least 6,000 years. Aberdeen received royal burgh status from David I of Scotland (1124–1153), which transformed the city economically. The traditional industries of fishing, paper-making, shipbuilding, and textiles have been overtaken by the oil industry and Aberdeen's seaport. Aberdeen Heliport is one of the busiest commercial heliports in the world, and the seaport is the largest in the north-east part of Scotland. A university town, the city is known for the University of Aberdeen, founded in 1495 as the fifth oldest university in the English-speaking world and located in Old Aberdeen. In 2012, HSBC named Aberdeen as a leading business hub and one of eight 'super cities' spearheading the UK's economy, marking it as the only city in Scotland so designated. In 2018, Aberdeen was found to be the best city in the UK to start a business in a study released by card payment firm Paymentsense. History The Aberdeen area has seen human settlement for at least 8,000 years. The city began as two separate burghs: Old Aberdeen at the mouth of the river Don; and New Aberdeen, a fishing and trading settlement, where the Denburn waterway entered the river Dee estuary. The earliest charter was granted by William the Lion in 1179 and confirmed the corporate rights granted by David I. In 1319, the Great Charter of Robert the Bruce transformed Aberdeen into a property-owning and financially independent community. Granted with it was the nearby Forest of Stocket, whose income formed the basis for the city's Common Good Fund which still benefits Aberdonians. During the Wars of Scottish Independence, Aberdeen was under English rule, so Robert the Bruce laid siege to Aberdeen Castle before destroying it in 1308, followed by executing the English garrison. The city was burned by Edward III of England in 1336, but was rebuilt and extended. The city was strongly fortified to prevent attacks by neighbouring lords, but the gates were removed by 1770. Aberdeen's medieval council registers survive from 1398 onwards and are exceptional for their quantity and continuity among surviving Scottish burgh records. The earliest eight volumes, from 1398 to 1511, have been included in the UNESCO UK Memory of the World Register, and have been edited in a digital edition. During the Wars of the Three Kingdoms of 1644 to 1647 the city was plundered by both sides. In 1644, it was taken and ransacked by Royalist troops after the Battle of Aberdeen and two years later it was stormed by a Royalist force under the command of the George Gordon, 2nd Marquis of Huntly. An outbreak of bubonic plague over 1687 and 1688 killed 8.5% of the population, adding to the economic and demographic damage caused by war. In the 18th century, a new Town Hall was built and the first social services appeared with the Aberdeen Infirmary at Woolmanhill in 1739 and the Aberdeen Lunatic Asylum in 1800. The expensive infrastructure works led to the city becoming bankrupt in 1817 during the Post-Napoleonic depression, an economic downturn immediately after the Napoleonic Wars; but the city's prosperity later recovered. The increasing economic importance of Aberdeen and the development of the shipbuilding and fishing industries led to the construction of the present harbour including Victoria Dock and the South Breakwater, and the extension of the North Pier. Gas street lighting arrived in 1824 and an enhanced water supply appeared in 1830 when water was pumped from the Dee to a reservoir in Union Place. An underground sewer system replaced open sewers in 1865. The city was incorporated in 1891. Although Old Aberdeen has a separate history and still holds its ancient charter, it was annexed by the City of Aberdeen in 1891. Over the course of the Second World War Aberdeen was attacked 32 times by the German Luftwaffe. One of the most devastating attacks was on Wednesday 21 April 1943 when 29 Luftwaffe Dornier 217s flying from Stavanger, Norway attacked the city between the hours of 22:17 and 23:04. A total of 98 civilians and 27 servicemen were killed, along with 12,000 houses damaged, after a mixture of 127 Incendiary, High Explosive and Cluster bombs were dropped on the city in one night. Two books written in 2018 and 2022 using bombing records held in London identified that unexploded bombs from the 1943 raid were found in the 1950s and 1980s making the bombs dropped 129 in total. Damage from the raid can still be seen in some parts of Aberdeen. Toponymy The name given to Aberdeen translates as 'mouth of the river Don', and is recorded as Aberdon in 1172 and Aberden in . The first element of the name is the Pictish word 'river mouth'. The second element is from the Celtic river goddess Devona. Aberdeen is usually described as within the historical Pictish territory, and became Gaelic-speaking at some time in the medieval period. Old Aberdeen is the approximate location of Aberdon, the first settlement of Aberdeen; this literally means "the mouth of the Don". The Celtic word means "river mouth", as in modern Welsh (Aberystwyth, Aberdare, Aberbeeg etc.). The Scottish Gaelic name is (variation: ; presumably being a loan from the earlier Pictish; the Gaelic term is ), and in Latin, the Romans referred to the river as . Medieval (or Ecclesiastical) Latin has it as . Governance Aberdeen is locally governed by Aberdeen City Council, which comprises forty-five councillors who represent the city's wards and is headed by the Lord Provost. The current Lord Provost is David Cameron. From May 2003 until May 2007 the council was run by a Liberal Democrat and Conservative Party coalition. Following the May 2007 local elections, the Liberal Democrats formed a new coalition with the Scottish National Party. After a later SNP by-election gain from the Conservatives, this coalition held 28 of the 43 seats. Following the election of 4 May 2017, the council was controlled by a coalition of Scottish Labour, Scottish Conservatives and independent councillors; the Labour councillors were subsequently suspended by Scottish Labour Party leader, Kezia Dugdale. Following Conservative losses in the May 2022 local elections, the Liberal Democrats and SNP agreed to work in partnership, agreed on a policy programme and formed the Council's administration. Aberdeen is represented in the Parliament of the United Kingdom by three constituencies: Aberdeen North and Aberdeen South which are wholly within the Aberdeen City council area, and Gordon, which includes a large area of the Aberdeenshire Council area. In the Scottish Parliament, the city is represented by three constituencies with different boundaries: Aberdeen Central and Aberdeen Donside are wholly within the Aberdeen City council area. Aberdeen South and North Kincardine includes the North Kincardine ward of Aberdeenshire Council. A further seven MSPs are elected as part of the North East Scotland electoral region. In the European Parliament the city was represented by six MEPs as part of the all-inclusive Scotland constituency. Heraldry The arms and banner of the city show three silver towers on red. This motif dates from at least the time of Robert the Bruce and represents the buildings that stood on the three hills of medieval Aberdeen: Aberdeen Castle on Castle Hill (today's Castlegate); the city gate on Port Hill; and a church on St Catherine's Hill (now levelled). "Bon Accord" is the motto of the city and is French for "Good Agreement". Legend tells that its use dates from a password used by Robert the Bruce during the 14th century Wars of Scottish Independence, when he and his men laid siege to the English-held Aberdeen Castle before destroying it in 1308. It is still widely present in the city, throughout street names, business names and the city's Bon Accord shopping mall. The shield in the coat of arms is supported by two leopards. A local magazine is called the "Leopard" and, when Union Bridge was widened in the 20th century, small statues of the creature in a sitting position were cast and placed on top of the railing posts (known locally as Kelly's Cats). The city's toast is "Happy to meet, sorry to part, happy to meet again"; this has been commonly misinterpreted as the translation of Bon Accord. Geography Being situated between two river mouths, the city has little natural exposure of bedrock. The small amount of geophysics done, and occasional building-related exposures, combined with small exposures in the banks of the River Don, suggest that it is actually sited on an inlier of Devonian "Old Red" sandstones and silts. The outskirts of the city spread beyond the (inferred) limits of the outlier onto the surrounding metamorphic/ igneous complexes formed during the Dalradian period (approximately 480–600 million years ago) with sporadic areas of igneous Diorite granites to be found, such as that at the Rubislaw quarry which was used to build much of the Victorian parts of the city. The city extends to , and includes the former burghs of Old Aberdeen, New Aberdeen, Woodside and the Royal Burgh of Torry to the south of River Dee. In this gave the city a population density of . The city is built on many hills, with the original beginnings of the city growing from Castle Hill, St. Catherine's Hill and Windmill Hill. When compared to mainland Europe, Aberdeen is further north than almost all of Denmark and plenty of southern Sweden, being just south of Gothenburg in terms of latitude. Climate Aberdeen features an oceanic climate (Köppen Cfb), with far milder winter temperatures than one might expect for its northern location, although statistically, it is the coldest city in the UK. During the winter, especially throughout December, the length of the day is very short, averaging 6 hours and 41 minutes between sunrise and sunset at the winter solstice. As winter progresses, the length of the day grows fairly quickly, to 8 hours and 20 minutes by the end of January. Around summer solstice, the days will be around 18 hours long, having 17 hours and 55 minutes between sunrise and sunset. During this time of the year marginal nautical twilight lasts the entire night. Temperatures at this time of year hover around during the day in most of the urban area, though nearer directly on the coast, and around in the westernmost suburbs. Two weather stations collect climate data for the area, Aberdeen/Dyce Airport, and Craibstone. Both are about to the northwest of the city centre, and given that they are in close proximity to each other, exhibit very similar climatic regimes. Dyce tends to have marginally warmer daytime temperatures year-round owing to its slightly lower elevation, though it is more susceptible to harsh frosts. The coldest temperature to occur in recent years was during December 2010, while the following winter, Dyce set a new February high-temperature station record on 28 February 2012 of , and a new March high temperature record of on 25 March 2012. The average temperature of the sea ranges from in March to in August. Demography The Aberdeen locality population estimate is . For the wider settlement of Aberdeen including Cove Bay and Dyce, the population estimate is . For Aberdeen City council area, the population estimate is (). In 1396, the population was about 3,000. By 1801, it had become 26,992, then 153,503 in 1901, and finally 182,467 in 1941. The 2011 census showed that there are fewer young people in Aberdeen, with 16.4% under 16, as opposed to the national average of 19.2%. According to the 2011 census Aberdeen is 91.9% white, ethnically, 24.7% were born outside Scotland, higher than the national average of 16%. Of this population, 7.6% were born in other parts of the UK. 8.2% of Aberdonians stated to be from an ethnic minority (non-white) in the 2011 census, with 9,519 (4.3%) being Asian, with 3,385 (1.5%) coming from India and 2,187 (1.0%) being Chinese. The city has around 5,610 (2.6%) residents of African or Caribbean origin, which is a higher percentage than both Glasgow and Edinburgh. In the household, there were 97,013 individual dwellings recorded in the city, of which 61% were privately owned, 9% privately rented and 23% rented from the council. The most popular type of dwellings are apartments which comprise 49% of residences followed by semi-detached at just below 22%. The median income of a household in the city is £16,813 (the mean income is £20,292) (2005) which places approximately 18% households in the city below the poverty line (defined as 60% of the mean income). Conversely, an Aberdeen postcode has the second highest number of millionaires of any postcode in the UK. Ethnicity Religion Christianity is the main religion practised in the city. Aberdeen's largest denominations are the Church of Scotland (through the Presbytery of Aberdeen) and the Roman Catholic Church, both with numerous churches across the city, with the Scottish Episcopal Church having the third-largest number. The most recent census in 2001 showed that Aberdeen has the highest proportion of non-religious residents of any city in Scotland, with nearly 43% of citizens claiming to have no religion and several former churches in the city have been converted into bars and restaurants. In the Middle Ages, the Kirk of St Nicholas was the only burgh kirk and one of Scotland's largest parish churches. Like a number of other Scottish kirks, it was subdivided after the Reformation, in this case into the East and West churches. At that time, the city also was home to houses of the Carmelites (Whitefriars) and Franciscans (Greyfriars). The latter of these survives in modified form as the chapel of Marischal College. St Machar's Cathedral was built twenty years after David I (1124–1153) transferred the pre-Reformation diocese from Mortlach in Banffshire to Old Aberdeen in 1137. With the exception of the episcopate of William Elphinstone (1484–1511), building progressed slowly. Gavin Dunbar, who followed him in 1518, completed the structure by adding the two western spires and the southern transept. It is now a congregation of the Church of Scotland. Aberdeen has two other cathedrals: St. Mary's Cathedral is a Roman Catholic cathedral in Gothic style, erected in 1859. In addition, St. Andrew's Cathedral serves the Scottish Episcopal Church. It was constructed in 1817 as Archibald Simpson's first commission and contains a memorial to the consecration of the first bishop of the Episcopal Church in the United States of America, which took place nearby. In 1804, St Peter's Church, the first permanent Roman Catholic church in the city after the Reformation was built. Numerous other Protestant denominations have a presence in Aberdeen. The Salvation Army citadel on the Castlegate dominates the view of east end of Union Street. In addition, there is a Unitarian church, established in 1833 and located in Skene Terrace. Christadelphians have been present in Aberdeen since at least 1844. Over the years, they have rented space to meet at a number of locations and currently meet in the Inchgarth Community Centre in Garthdee. There is also a Quaker meetinghouse on Crown Street, the only purpose built Friends meeting house in Scotland that is still in use today. In addition, there are a number of Baptist congregations in the city, and Evangelical congregations have been appearing in significant numbers since the late 2000s. The city also has two meeting houses of the Church of Jesus Christ of Latter-day Saints (LDS Church). There are also four mosques in Aberdeen which serve the Islamic community in the city. There is an Orthodox Jewish Synagogue established in 1945. There is also a Thai Buddhist temple located in the Hazelhead area of the city. There are no formal Hindu buildings, although there is a fortnightly Hindu religious gathering on the first and third Sunday afternoons at Queens Cross Parish church hall. The University of Aberdeen has a small Baháʼí society. Economy Traditionally, Aberdeen was home to fishing, textile mills, shipbuilding and paper-making. These industries have been largely replaced. High technology developments in the electronics design and development industry, research in agriculture and fishing and the oil industry, which have been largely responsible for Aberdeen's economic growth, are now major parts of Aberdeen's economy. Until the 1970s, most of Aberdeen's leading industries dated from the 18th century; mainly these were textiles, foundry work, shipbuilding and paper-making, the oldest industry in the city, with paper having been first made there in 1694. Paper-making has reduced in importance since the closures of Donside Paper Mill in 2001 and the Davidson Mill in 2005 leaving the Stoneywood Paper Mill with a workforce of approximately 500. Textile production ended in 2004 when Richards of Aberdeen closed. Grey granite was quarried at Rubislaw quarry for more than 300 years, and used for paving setts, kerb and building stones, and monumental and other ornamental pieces. Aberdeen granite was used to build the terraces of the Houses of Parliament and Waterloo Bridge in London. Quarrying finally ceased in 1971. The current owners have begun pumping 40 years of rainwater from the quarry with the aim of developing a heritage centre on the site. In-shore fishing was once the predominant industry but was surpassed by deep-sea fisheries, which derived a great impetus from improved technologies throughout the 20th century. Catches have fallen because of overfishing and the use of the harbour by oil support vessels, and so although still an important fishing port it is now eclipsed by the more northerly ports of Peterhead and Fraserburgh. The Fisheries Research Services are headquartered in Aberdeen, and there is a marine research laboratory there. Aberdeen is well regarded for the agricultural and soil research carried out at The James Hutton Institute (formerly the Macaulay Land Use Research Institute), which has close links to the city's two universities. The Rowett Research Institute is a world-renowned research centre for studies into food and nutrition located in Aberdeen. It has produced three Nobel laureates and there is a high concentration of life scientists working in the city. As oil reserves in the North Sea decrease there is an effort to rebrand Aberdeen as "Energy Capital of Europe" rather than "Oil Capital of Europe", and there is interest in the development of new energy sources, and technology transfer from oil into renewable energy and other industries is underway. The "Energetica" initiative led by Scottish Enterprise has been designed to accelerate this process. Aberdeen has become a major world centre for undersea petroleum technology. North Sea oil and gas Aberdeen had been a major maritime centre throughout the 19th century, when a group of local entrepreneurs launched the first steam-powered trawler. The steam trawling industry expanded and by 1933 Aberdeen was Scotland's top fishing port, employing nearly 3,000 men with 300 vessels sailing from its harbour. By the time oil was coming on stream, much of the trawling fleet had relocated to Peterhead. Geologists had speculated about the existence of oil and gas in the North Sea since the middle of the 20th century, but tapping its deep and inhospitable waters was another story. With the Middle Eastern oil sheiks becoming more aware of the political and economic power of their oil reserves and government threats of rationing, the industry began to consider the North Sea as a viable source of oil. Exploration commenced in the 1960s and the first major find in the British sector was in November 1970 in the Forties field, east of Aberdeen. By late 1975, after years of intense construction, the necessary infrastructure was in place. Oil flowed through the Forties pipeline system directly to the refinery at far-away Grangemouth. Business In 2011, the Centre for Cities named Aberdeen as the best placed city for growth in Britain, as the country looked to emerge from the recent economic downturn. With energy still providing the backbone of the local economy, recent years have seen very large new investment in the North Sea owing to rising oil prices and favourable government tax incentives. This has led to several oil majors and independents building new global offices in the city. Five of Scotland's top ten businesses are based in Aberdeen with a collective turnover of £14 billion, yielding a profit in excess of £2.4 billion. Alongside this 29 of Scotland's top 100 businesses are located in Aberdeen with an employment rate of 77.9%, making it the second highest UK city for employment. Figures released in 2016 ranked Aberdeen as having the second highest number of patents processed per person in the UK. Shopping The traditional shopping streets are Union Street and George Street, now complemented by shopping centres, including the Bon Accord Centre and the Trinity Shopping Centre. A £190 million retail development, Union Square, reached completion in late September/early October 2009. Major retail parks away from the city centre include the Berryden Retail Park, the Kittybrewster Retail Park and the Beach Boulevard Retail Park. Aberdeen Market has been rebuilt twice, but closed in 2020. In March 2004, Aberdeen was awarded Fairtrade City status by the Fairtrade Foundation. Landmarks Aberdeen's architecture is known for its principal use during the Victorian era of granite, which has led to its local nickname of the Granite City. Amongst the notable buildings in the city's main street, Union Street, are the Town and County Bank, the Music Hall, the Trinity Hall of the incorporated trades (originating between 1398 and 1527, although completely rebuilt in the 1860s), now a shopping mall; the former office of the Northern Assurance Company, and the National Bank of Scotland. In Castle Street, a continuation eastwards of Union Street, is the new Aberdeen Town House, a very prominent landmark in Aberdeen, built between 1868 and 1873 to a design by Peddie and Kinnear. Alexander Marshall Mackenzie's extension to Marischal College on Broad Street, opened by King Edward VII in 1906, created the second largest granite building in the world (after the Escorial, Madrid). In addition to the many fine landmark buildings, Aberdeen has many prominent public statues, three of the most notable being William Wallace at the junction between Union Terrace and Rosemount Viaduct, Robert Burns on Union Terrace above Union Terrace Gardens, and Robert the Bruce holding aloft the charter he issued to the city in 1319 on Broad Street, outside Marischal College. Parks, gardens and open spaces Aberdeen has long been famous for its 45 parks and gardens, and citywide floral displays which include two million roses, eleven million daffodils and three million crocuses. The city has won the Royal Horticultural Society's Britain in Bloom 'Best City' award ten times, the overall Scotland in Bloom competition twenty times and the large city category every year since 1968. However, despite recent spurious reports, Aberdeen has never been banned from the Britain in Bloom competition. The city won the 2006 Scotland in Bloom "Best City" award along with the International Cities in Bloom award. The suburb of Dyce also won the Small Towns award. Duthie Park opened in 1899 on the north bank of the River Dee. It was named after and given to the city by Miss Elizabeth Crombie Duthie of Ruthrieston in 1881. Hazlehead Park, is large and forested, and located on the outskirts of the city. Johnston Gardens is a small park of one hectare in the west end of the city. In 2002, the garden was named the best garden in the British Islands. Seaton Park, formerly the grounds of a private house, is on the edge of the grounds of St Machar's Cathedral and was acquired for the city in 1947. Theatres and concert halls Aberdeen has hosted several theatres throughout its history, some of which have subsequently been converted or destroyed. The most famous include: His Majesty's Theatre (HMT), on Rosemount Viaduct The Tivoli, on Guild Street Capitol Theatre, on Union Street Aberdeen Arts Centre, on King Street The Palace Theatre, on Bridge Street The main concert hall is the Music Hall on Union Street, built in 1822. Transport Aberdeen Airport (ABZ), in Dyce in the north of the city, serves domestic and international destinations including France, the Netherlands, Spain, Ireland and Scandinavian countries. The heliport which serves the oil industry and rescue services is one of the world's busiest commercial heliports. Aberdeen has two railway stations. Aberdeen railway station has frequent direct trains operated by ScotRail to major cities Edinburgh, Glasgow and Inverness. London North Eastern Railway and the Caledonian Sleeper operate direct trains to London. The UK's longest direct rail journey runs from Aberdeen to Penzance. It is operated by CrossCountry, leaving Aberdeen at 08:20 and taking 13 hours and 23 minutes. Today, all railway services to the south run via Dundee. The faster mainline from Aberdeen to Perth via Forfar and Strathmore closed in 1967 as a result of the Beeching cuts, and the faster main line from Perth to Edinburgh via Glenfarg also subsequently closed in 1970. The other railway station, Dyce railway station in Dyce to the north of the city centre, is on the Aberdeen–Inverness line. There are six major roads in and out of the city. The A90 is the main arterial route into the city from the north and south, linking Aberdeen to Edinburgh (via the M90), Dundee, Brechin and Perth in the south and Ellon, Peterhead and Fraserburgh in the north. The A96 links Elgin and Inverness and the northwest. The A93 is the main route to the west, heading towards Royal Deeside and the Cairngorms. After Braemar, it turns south, providing an alternative tourist route to Perth. The A944 also heads west, through Westhill and on to Alford. The A92 was the original southerly road to Aberdeen prior to the building of the A90, and is now used as a tourist route, connecting the towns of Montrose and Arbroath and on the east coast. The A947 exits the city at Dyce and goes on to Newmachar, Oldmeldrum and Turriff finally ending at Banff and Macduff. In 2019, the Aberdeen Western Peripheral Route bypass was completed. Aberdeen Harbour is important as the largest in the north of Scotland and serves the ferry route to Orkney and Shetland. Established in 1136, the harbour has been referred to as the oldest business in Britain. FirstGroup operates the city buses under the name First Aberdeen, as the successor of Grampian Regional Transport (GRT) and Aberdeen Corporation Tramways. Aberdeen is the global headquarters of FirstGroup plc, having grown from the GRT Group. First is still based at the former Aberdeen Tramways depot on King Street, which has now been redeveloped into a new headquarters and bus depot. National Express operate express coach services to London twice daily. The 590 service, operated by Bruce's Coaches of Salsburgh operates in the morning and runs through the day, calling at Dundee, Perth, Glasgow, Hamilton, Carlisle, Milton Keynes, Golders Green and Victoria Coach Station, whilst the 592 (operated by Parks of Hamilton) leaves in the evening and travels overnight, calling at Dundee, Glasgow, Hamilton, Carlisle, Heathrow Airport and Victoria Coach Station. Aberdeen is connected to the UK National Cycle Network, and has a track to the south connecting to cities such as Dundee and Edinburgh and one to the north that forks about from the city into two different tracks heading to Inverness and Fraserburgh respectively. Two popular footpaths along old railway lines are the Deeside Way to Banchory (which will eventually connect to Ballater) and the Formartine and Buchan Way to Ellon, both used by a mixture of cyclists, walkers and occasionally horses. The Dee Estuary, Aberdeen's harbour, has continually been improved. Starting out as a fishing port, moving onto steam trawlers, the oil industry, it is now a major port of departure for the Baltic and Scandinavia. Education Universities and colleges Aberdeen has two universities, the ancient University of Aberdeen, and Robert Gordon University, a modern university often referred to as RGU. Aberdeen's student rate of 11.5% is higher than the national average of 7%. The University of Aberdeen began as King's College, Aberdeen, which was founded in 1495 by William Elphinstone (1431–1514), Bishop of Aberdeen and Chancellor of Scotland. Marischal College, a separate institution, was founded in "New" Aberdeen by George Keith, fifth Earl Marischal of Scotland in 1593. These institutions were merged by order of Parliament in 1860 to form the University of Aberdeen. The university is the fifth oldest in the English-speaking world and offers degrees in a full range of disciplines. Its main campus is in Old Aberdeen in the north of the city and it currently has approximately 14,000 students. The university's debating society is the oldest in Scotland, founded in 1848 as the King's College Debating Society. Today, Aberdeen is consistently ranked among the top 200 universities in the world and is ranked within the top 20 universities in the United Kingdom. Aberdeen was also named the 2019 Scottish University of the Year by The Times and Sunday Times Good University Guide. In early 2022, Aberdeen opened the Science Teaching Hub. Robert Gordon's College (originally Robert Gordon's Hospital) was founded in 1750 by the merchant Robert Gordon, grandson of the map maker Robert Gordon of Straloch, and was further endowed in 1816 by Alexander Simpson of Collyhill. Originally devoted to the instruction and maintenance of the sons of poor burgesses of guild and trade in the city, it was reorganised in 1881 as a day and night school for secondary and technical education. In 1903, the vocational education component of the college was designated a Central Institution and was renamed as the Robert Gordon Institute of Technology in 1965. In 1992, university status was awarded and it became Robert Gordon University. The university has expanded and developed significantly in recent years, and was named Best Modern University in the UK for 2012 by The Sunday Times. It was previously The Sunday Times Scottish University of the Year for 2011, primarily because of its record on graduate employment. The citation for the 2011 award read: "With a graduate unemployment rate that is lower than the most famous universities, including Oxford and Cambridge, plus a flourishing reputation for research, high student satisfaction rates and ambitious plans for its picturesque campus, the Robert Gordon University is The Sunday Times Scottish University of the Year". Aberdeen is also home to two artistic schools: Gray's School of Art, founded in 1886, which is one of the oldest established colleges of art in the UK. Scott Sutherland School of Architecture and Built Environment, was one of the first architectural schools to have its training courses recognised by the Royal Institute of British Architects. Both are now part of Robert Gordon University and are based at its Garthdee campus. North East Scotland College has several campuses in the city and offers a wide variety of part-time and full-time courses leading to several different qualifications in science. The Scottish Agricultural College is based just outside Aberdeen, on the Craibstone Estate. This is situated beside the roundabout for Aberdeen Airport on the A96. The college provides three services—Learning, Research and Consultancy. The college features many land-based courses such as Agriculture, Countryside Management, Sustainable Environmental Management and Rural Business Management. There are a variety of courses from diplomas to master's degrees. The Marine Laboratory Aberdeen, which specialises in fisheries, Macaulay Land Use Research Institute (soil science), and the Rowett Research Institute (animal nutrition) are some other higher education institutions. The Aberdeen College of Performing Arts also provides full-time Drama and Musical Theatre training at Further Education level. Schools There are currently 15 secondary schools and 54 primary schools which are run by the city council. There are a number of private schools in Aberdeen: Robert Gordon's College, Albyn School for Girls (co-educational as of October 2022), St Margaret's School for Girls, the International School of Aberdeen and a Waldorf/Steiner School. State primary schools in Aberdeen include Airyhall Primary School, Ashley Road Primary School, Balgownie Primary School, Bramble Brae Primary School, Broomhill Primary School, Cornhill Primary School (the city's largest), Culter Primary School, Cults Primary School, Danestone Primary School, Fernielea Primary school, Ferryhill Primary School, Gilcomstoun Primary School, Glashieburn Primary School, Greenbrae School, Hamilton School, Kaimhill Primary School, Kingsford Primary School, Kittybrewster Primary School, Middleton Park Primary School, Mile End School, Muirfield Primary School, Skene Square Primary School, and St. Joseph's Primary School. State secondary schools in Aberdeen include Aberdeen Grammar School, Albyn School, Bridge of Don Academy, Bucksburn Academy, Cults Academy, Dyce Academy, Harlaw Academy, Hazlehead Academy, Lochside Academy, Northfield Academy, Oldmachar Academy, Robert Gordon's College, St Machar Academy, St Margaret's School for Girls, and The International School Aberdeen. Independent primary schools in Aberdeen include Albyn School, Robert Gordon's College, St Margaret's School for Girls, and the International School of Aberdeen. Culture The city has a wide range of cultural activities, amenities, and museums, and is regularly visited by Scotland's National Arts Companies. It was awarded the Nicholson Trophy for the best-kept town at the Britain in Bloom contest in 1975. Museums and galleries The Aberdeen Art Gallery houses a collection of Impressionist, Victorian, Scottish and 20th-century British paintings as well as collections of silver and glass. It also includes The Alexander Macdonald Bequest, a collection of late 19th-century works donated by the museum's first benefactor and a constantly changing collection of contemporary work and regular visiting exhibitions. The Aberdeen Art Gallery reopened in 2019 after a four-year refurbishment costing £34.6m. The Aberdeen Maritime Museum, located in Shiprow, tells the story of Aberdeen's links with the sea from the days of sail and clipper ships to the latest oil and gas exploration technology. It includes an model of the Murchison oil production platform and a 19th-century assembly taken from Rattray Head lighthouse Provost Ross' House is the second oldest dwelling house in the city. It was built in 1593 and became the residence of Provost John Ross of Arnage in 1702. The house retains some original medieval features, including a kitchen, fireplaces and beam-and-board ceilings. The Gordon Highlanders Museum tells the story of one of Scotland's best known regiments. Provost Skene's House on Flourmill Lane dates from 1545 and is the oldest surviving townhouse in the city. It reopened in October 2021 after significant refurbishment costing £3.8m. One of the new exhibitions is a Hall of Heroes featuring 100 Aberdonians who have made a significant contribution to the city. The Tollbooth Museum on the Castlegate (currently closed to visitors) is a former jail, which first opened as a public museum in 1995. The Aberdeen Treasure Hub is a storage facility for Aberdeen Museums and Galleries containing over 100,000 items. The store is open for infrequent tours, for example as part of Doors Open Day. Marischal Museum holds the principal collections of the University of Aberdeen, comprising some 80,000 items in the areas of fine art, Scottish history and archaeology, and European, Mediterranean and Near Eastern archaeology. The permanent displays and reference collections are augmented by regular temporary exhibitions, and since its closure to the public it now has a virtual online presence It closed to the public in 2008. The King's Museum acts as the main museum of the university now. Festivals and performing arts Aberdeen is home to a number of events and festivals including the Aberdeen International Youth Festival (the world's largest arts festival for young performers), Aberdeen Jazz Festival, Aberdeen Alternative Festival, Rootin' Aboot (a folk and roots music event), Triptych, the University of Aberdeen's annual May Fest (formerly the Word festival) and DanceLive, Scotland's only festival of contemporary dance, produced by the city's Citymoves dance organisation. The Aberdeen Student Show, performed annually without interruption since 1921, under the auspices of the Aberdeen Students' Charities Campaign, is the longest-running of its kind in the United Kingdom. It is written, produced and performed by students and graduates of Aberdeen's universities and higher education institutions. Since 1929—other than on a handful of occasions—it has been staged at His Majesty's Theatre. National festivals which visited Aberdeen in 2012 included the British Science Festival in September, hosted by the University of Aberdeen but with events also taking place at Robert Gordon University and at other venues across the city. In February 2012 the University of Aberdeen also hosted the Inter Varsity Folk Dance Festival, the longest-running folk festival in the United Kingdom. Aberdeen is home to Spectra, an annual light festival hosted in different locations across the city. Aberdeen is home to Nuart, a festival showcasing street art around the city. The festival has run since 2017. Music and film Music venues include Aberdeen Music Hall and the P&J Live. Dialect The local dialect of Lowland Scots is often known as Doric and is spoken not just in the city, but across the northeast of Scotland. It differs somewhat from other Scots dialects: most noticeable are the pronunciation "f" for what is normally written "wh" and "ee" for what in standard English would usually be written "oo" (Scots "ui"). Every year the annual Doric Festival takes place in Aberdeenshire to celebrate the history of the north-east's language. Media Aberdeen is home to Scotland's oldest newspaper the Press and Journal, a local and regional newspaper first published in 1747. The Press and Journal and its sister paper the tabloid Evening Express are printed six days a week by Aberdeen Journals. There was one free newspaper, the Aberdeen Citizen. BBC Scotland has a network studio production base in the city's Beechgrove area, and BBC Aberdeen produces The Beechgrove Potting Shed for radio while Tern Television produces The Beechgrove Garden. The city is also home to STV North (formerly Grampian Television), which produces the regional news programmes such as STV News at Six, as well as local commercials. The station, based at Craigshaw Business Park in Tullos, was based at larger studios in Queens Cross from September 1961 until June 2003. There are three commercial radio stations operating in the city, Northsound 1, Greatest Hits Radio North East Scotland, and independent station Original 106. Other radio stations include NECR FM (North-East Community Radio FM) DAB station, and shmu FM managed by Station House Media Unit which supports community members to run Aberdeen's full-time community radio station, broadcasting on 99.8 MHz FM. Food The Aberdeen region has given its name to a number of dishes, including the Aberdeen buttery (also known as "rowie") and Aberdeen Sausage. In 2015, a study was published in The Scotsman which analysed the presence of branded fast food outlets in Scotland. Of the ten towns and cities analysed, Aberdeen was found to have the lowest per capita concentration, with just 0.12 stores per 1,000 inhabitants. Sport Football The first ever recorded game of football, was outlined by teacher David Wedderburn in his book "Vocabula" written in 1633, during his time teaching at Aberdeen Grammar School. There are two Aberdeen-based football clubs in the SPFL, the senior branch of Scottish football. Aberdeen F.C. (The Dons) play in the Scottish Premiership at Pittodrie Stadium. The club won the European Cup Winners Cup and the European Super Cup in 1983, the Scottish Premier League Championship four times (1955, 1980, 1984 and 1985), and the Scottish Cup seven times (1947, 1970, 1982, 1983, 1984, 1986 and 1990). Under the management of Alex Ferguson, Aberdeen was a major force in British football during the 1980s. After 8 seasons in charge, the most recent of Managers Derek McInnes, was relieved of his duties, the club's failure to achieve anything more than 1 trophy in 24 competitions during his tenure and a recent run of games which saw 1 goal in ten matches ultimately proved costly for the Manager and his Assistant Tony Docherty. Under the management of McInnes the team won the 2014 Scottish League Cup and followed it up with a second-place league finish for the first time in more than 20 years in the following season. But it was over the last few seasons that results stagnated and McInnes was replaced by former Aberdeen and Newcastle player Stephen Glass. The other senior team is Cove Rangers of League One, who play at Balmoral Stadium in the suburb of Cove Bay. Cove won the Highland Football League championship in 2001, 2008, 2009, 2013 and 2019, winning the League Two play-offs in 2019 and earning promotion. At the point at which the 2019/20 League Two season was curtailed due to the COVID-19 pandemic, Cove was sitting top of the League Two table and were promoted as Champions. Local junior teams include Banks O' Dee F.C., Culter F.C., F.C. Stoneywood, Glentanar F.C., Sunnybank and Hermes F.C. Rugby Union Aberdeen hosted Caledonia Reds, a Scottish rugby team, before they merged with the Glasgow Warriors in 1998. The city is also home to the Scottish Premiership Division One rugby club Aberdeen GSFP RFC who play at Rubislaw Playing Fields, and Aberdeenshire RFC which was founded in 1875 and runs Junior, Senior Men's, Senior Ladies and Touch sections from the Woodside Sports Complex and also Aberdeen Wanderers RFC. In 2005 the President of the SRU said it was hoped eventually to establish a professional team in Aberdeen. In November 2008 the city hosted a rugby international at Pittodrie between Scotland and Canada, with Scotland winning 41–0. In November 2010 the city once again hosted a rugby international at Pittodrie between Scotland and Samoa, with Scotland winning 19–16. Rugby League Aberdeen Warriors rugby league team play in the Rugby League Conference Division One. The Warriors also run Under 15's and 17's teams. Aberdeen Grammar School won the Saltire Schools Cup in 2011. Golf The Royal Aberdeen Golf Club, founded in 1780 is the sixth oldest golf club in the world, and hosted the Senior British Open in 2005, and the amateur team event the Walker Cup in 2011. Royal Aberdeen also hosted the Scottish Open in 2014, won by Justin Rose. The club has a second course, and there are public golf courses at Auchmill, Balnagask, Hazlehead and King's Links. There are new courses planned for the area, including world-class facilities with major financial backing, the city and shire are set to become important in golf tourism. In Summer 2012, Donald Trump opened a new state of the art golf course at Menie, just north of the city, as the Trump International Golf Links, Scotland. Swimming The City of Aberdeen Swim Team (COAST) was based in Northfield swimming pool, but since the opening of the Aberdeen Aquatics Centre in 2014, it is now based there, as it has a 50 m pool as opposed to the 25 m pool at Northfield. It has been in operation since 1996. The team comprises several smaller swimming clubs and has enjoyed success throughout Scotland and in international competitions. Three of the team's swimmers qualified for the 2006 Commonwealth Games. Rowing There are four boat clubs that row on the River Dee: Aberdeen Boat Club (ABC), Aberdeen Schools Rowing Association (ASRA), Aberdeen University Boat Club (AUBC) and Robert Gordon University Boat Club (RGUBC). Cricket The city has one national league side, Stoneywood-Dyce. Local "Grades" cricket has been played in Aberdeen since 1884. Aberdeenshire were the 2009 and 2014 Scottish National Premier League and Scottish Cup Champions. Ice hockey Aberdeen Lynx are an ice hockey team that plays in the Scottish National League and is based at the Linx Ice Arena. Shinty Aberdeen University Shinty Club (Scottish Gaelic: Club Camanachd Oilthigh Obar Dheathain) is the oldest constituted shinty club in the world, dating back to 1861. Other sports The city council operates public tennis courts in various parks including an indoor tennis centre at Westburn Park. The Beach Leisure Centre is home to a climbing wall, gymnasium and a swimming pool. There are numerous swimming pools dotted around the city notably the largest, the Bon Accord Baths which closed down in 2008. In common with many other major towns and cities in the UK, Aberdeen has an active roller derby league, Granite City Roller Derb. American Football The Aberdeen Roughnecks American football club is a new team that started in 2012 and is the first team that Aberdeen has witnessed since the Granite City Oilers that began in 1986 and were wound up in the mid-1990s. Aberdeen Oilers Floorball Club was founded in 2007. The club initially attracted a range of experienced Scandinavian and other European players who were studying in Aberdeen. Since their formation, Aberdeen Oilers have played in the British Floorball Northern League and went on to win the league in the 2008/09 season. The club played a major role in setting up a ladies league in Scotland. The Oilers' ladies team ended up second in the first ladies league season (2008/09). Public services The public health service in Scotland, NHS Scotland provides for the people of Aberdeen through the NHS Grampian health board. Aberdeen Royal Infirmary is the largest hospital in the city and one of the largest in Europe (the location of the city's A&E department), Royal Aberdeen Children's Hospital, a paediatric hospital, Royal Cornhill Hospital for mental health, Aberdeen Maternity Hospital, an antenatal hospital, Woodend Hospital, which specialises in rehabilitation and long-term illnesses and conditions, and City Hospital and Woolmanhill Hospital, which host several out-patient clinics and offices. Albyn Hospital is a private hospital located in the west end of the city. Aberdeen City Council is responsible for city-owned infrastructure which is paid for by a mixture of Council Tax and income from the Scottish Government. Infrastructure and services run by the council include: nursery, primary and secondary education, roads, clearing snow in winter, city wardens, maintaining parks, refuse collection, economic development, public analyst, public mortuary, street cleaning and street lighting. Infrastructure in private hands includes electricity, gas and telecoms. Water and sewerage services are provided by Scottish Water. Police: Policing in Aberdeen is the responsibility of Police Scotland (the British Transport Police has responsibility for railways). Ambulance: The North East divisional headquarters of the Scottish Ambulance Service is located in Aberdeen. Fire and rescue: This is the responsibility of the Scottish Fire and Rescue Service. Lifeboat: The Royal National Lifeboat Institution operates Aberdeen Lifeboat Station. It is located at Victoria Dock Entrance in York Place. Twin cities Aberdeen is twinned with Stavanger, Norway, since 1990 Regensburg, Germany, since 1955 Clermont-Ferrand, France, since 1983 Gomel, Belarus, since 1990 Bulawayo, Zimbabwe, since 1986 Houston, Texas, US, since 1979, is twinned with the former region of Grampian of which Aberdeen is the regional centre Kobe, Japan, since 2022, is twinned with Aberdeen for its hydrogen work. Notable people and residents William Alexander (1826 - 1894), journalist and author of Johnny Gibb of Gushetneuk. Leslie Benzies, Former president of Rockstar North, creators of the critically acclaimed Grand Theft Auto series. Scott Booth, former football player, played for Aberdeen F.C., FC Twente, Borussia Dortmund and the Scotland national football team. Alf Burnett, footballer who played for Dundee United Lord Byron FRS (1788–1824), poet, was raised (age 2–10) in Aberdeen. Andrew Cant, (1584–1663) Presbyterian minister and leader of the Scottish Covenanters David Carry, swimmer, 2x 2006 Commonwealth Games gold medallist. Henry Cecil, one of the most successful horse trainers of all time. Oswald Chambers, author of My Utmost for His Highest Alexander Christie, portrait painter. Dan Crenshaw, Member of the U.S. House of Representatives from Texas's 2nd district. Andrew Cruickshank, actor famous for his role in Dr Finlay's Casebook John Mathieson Dodds, apprentice and engineer with Metrovick, Manchester and radar pioneer in Chain Home defence system for 1940 Battle of Britain. Neil Fachie, cyclist, 2012 Paralympic Games gold and silver medalist. Simon Farquhar, playwright. Graeme Garden, author, actor, comedian, artist, TV presenter, famous for The Goodies. Martin Gatt, principal bassoonist English Chamber Orchestra, LPO and LSO. Ryan Gauld, footballer who currently plays for Sporting Lisbon in the Portuguese Primeira Liga. James Gibbs, 18th-century architect. Quentin Gibson FRS (1918–2011), physiologist and biochemist James Gregory FRS (1638–1675), Scottish mathematician and astronomer, born in the manse at Drumoak, just outside Aberdeen. Attended Aberdeen Grammar School and Marischal College, University of Aberdeen. Discovered diffraction gratings a year after Newton's prism experiments, and invented the Gregorian telescope design in 1663 which is used in telescopes such as the Arecibo Observatory. David Gregory FRS (1659–1708), Scottish mathematician and astronomer. Attended Aberdeen Grammar School and Marischal College, University of Aberdeen. A professor of mathematics. Based on his uncle James Gregory's work, he extended or discovered the method of quadratures by infinite series. His principle work "Astronomiae physicae et geometricae elementa" (1702) was the first text-book on gravitational principles. Michael Gove, politician and MP. George Jamesone, Scotland's first eminent portrait-painter. Reginald Victor Jones, physicist, Chair of Natural Philosophy at the University of Aberdeen, author. John Michael Kosterlitz, physicist, professor of physics at Brown University. Awarded the Nobel Prize in physics in 2016. Denis Law, former football player, played for Manchester City, Manchester United and the Scotland national team, joint all-time record Scotland goalscorer with 30 goals. Paul Lawrie, golfer, winner of the 1999 Open Championship. Annie Lennox, musician, winner of eight Brit Awards, grew up in Ellon. Rose Leslie, actress, best known for playing Ygritte in HBO's Game of Thrones. John Macleod FRSE FRS LLD (1876–1935) Biochemist and Physiologist. For his role in the discovery and isolation of insulin he was awarded the Nobel Prize for Physiology or Medicine in 1923. John Alexander MacWilliam FRS (1857–1937), Professor of the Institutes of Medicine (later Physiology) at the University of Aberdeen. Pioneer in the field of cardiac electro-physiology & ventricular fibrillation of the heart. First to propose ventricular fibrillation as the most common cause of sudden death through heart attack. First to propose use of life saving electrical de-fibrilators. His work laid the frame work for the development of the pace maker. Laura Main, actress, best known for playing Sister Bernadette/Shelagh Turner in the BBC's Call the Midwife James Clerk Maxwell FRSE FRS (1831–1879), Chair of Natural Philosophy at Marischal College, University of Aberdeen from 1856 to 1860. Formulated the classical theory of electromagnetic radiation. Robert Morison (1620–1683), a Scottish botanist and taxonomist. He elucidated and developed the first systematic classification of plants. Gained his Master of Arts from the University of Aberdeen at the age of eighteen. For ten years Director of Louis XIV's royal gardens at Blois, France, then physician, botanist & superintendent of all royal gardens for Charles II of Scotland. Alberto Morrocco OBE FRSA FRSE RSW RP RGI LLD (1917–1998), Scottish artist and teacher famous for his landscapes of Scotland and abroad. Andy Nisbet (1953–2019), a Scottish mountaineer, guide, climbing instructor, and editor of climbing guidebooks. A pioneer of mixed rock and ice climbing techniques over 45 years. Developed over 1,000 new winter climbing routes in Scotland. Ara Paiaya, film producer and director of Skin Traffik, Instant Death and Purge of Kingdoms. Robbie Renwick, swimmer, 1x 2010 Commonwealth Games gold medalist. Professor Sir C. Duncan Rice, historian, former principal of the University of Aberdeen. Lawson Robertson (1883–1951), born in Aberdeen, competed for the U.S. Olympic Team at the 1904 Olympics in St. Louis, winning the bronze medal in the standing high jump. Head coach of U.S. track team at 4 successive Olympic games, 1924, 1928, 1932, 1936. Archibald Simpson, architect, one of Aberdeen's major architects. John Smith, architect, Aberdeen's other major architect and official City Architect Nicol Stephen, former Scottish Liberal Democrats leader, former Deputy First Minister of Scotland John Strachan, first Anglican Bishop of Toronto. Annie Wallace, actress in Hollyoaks. Ron Yeats, former football player, captain of the first great Liverpool team of the 1960s, also played for the Scotland national team. Aberdeen in popular culture Stuart MacBride's crime novels Cold Granite, Dying Light, Broken Skin, Flesh House, Blind Eye and Dark Blood (a series with main protagonist, DS Logan McRae) are all set in Aberdeen. A large part of the plot of the World War II thriller Eye of the Needle by Welsh author, Ken Follett, takes place in wartime Aberdeen, from which a German spy is trying to escape to a submarine waiting offshore. A portion of Ian Rankin's novel Black and Blue (1997) is set in Aberdeen, where its nickname "Furry Boots" is noted. Songs titled "Aberdeen" have been recorded by the music groups Danny Wilson, Royseven, and Cage the Elephant. The Scottish rock band The Xcerts released the song "Aberdeen 1987" on their debut album In the Cold Wind We Smile, released on 30 March 2009. The first verse contains the line "15, sitting in a graveyard talking about their history". The graveyard referenced in the song is the graveyard of the Kirk of St Nicholas on Union Street. See also Aberdeen Bestiary Aberdeen City Youth Council Aberdeen Safer Community Trust Aberdeen typhoid outbreak 1964 Aberdonia (disambiguation) List of places in Aberdeen List of places in Scotland Our Lady of Aberdeen Voluntary Service Aberdeen Freedom of the City of Aberdeen Notes References Further reading Shepherd, Mike (2015). Oil Strike North Sea: A first-hand history of North Sea oil. Luath Press. External links Aberdeen City Council A collection of historic maps of Aberdeen from the 1660s onward at National Library of Scotland A selection of archive films relating to Aberdeen at the Scottish Screen Archive Engraving of Aberdeen in 1693 by John Slezer at National Library of Scotland Cities in Scotland Council areas of Scotland Fishing communities in Scotland Lieutenancy areas of Scotland Port cities and towns in Scotland Port cities and towns of the North Sea Royal burghs Grampian
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https://en.wikipedia.org/wiki/August%2023
August 23
Events Pre-1600 30 BC – After the successful invasion of Egypt, Octavian executes Marcus Antonius Antyllus, the eldest son of Mark Antony, and Caesarion, the last king of the Ptolemaic dynasty of Egypt and only child of Julius Caesar and Cleopatra. 79 – Mount Vesuvius begins stirring, on the feast day of Vulcan, the Roman god of fire. 476 – Odoacer, chieftain of the Germanic tribes (Herulic - Scirian foederati), is proclaimed rex Italiae ("King of Italy") by his troops. 1244 – Siege of Jerusalem: The city's citadel, the Tower of David, surrenders to the Khwarazmiyya. 1268 – The Battle of Tagliacozzo marks the fall of the Hohenstaufen family from the Imperial and Sicilian thrones, and leading to the new chapter of Angevin domination in Southern Italy. 1328 – Battle of Cassel: French troops stop an uprising of Flemish farmers. 1382 – Siege of Moscow: The Golden Horde led by Tokhtamysh lays siege to the capital of the Grand Duchy of Moscow. 1514 – The Battle of Chaldiran ends with a decisive victory for the Sultan Selim I, Ottoman Empire, over the Shah Ismail I, founder of the Safavid dynasty. 1521 – Christian II of Denmark is deposed as king of Sweden and Gustav Vasa is elected regent. 1541 – French explorer Jacques Cartier lands near Quebec City in his third voyage to Canada. 1572 – French Wars of Religion: Mob violence against thousands of Huguenots in Paris results in the St. Bartholomew's Day massacre. 1595 – Long Turkish War: Wallachian prince Michael the Brave confronts the Ottoman army in the Battle of Călugăreni and achieves a tactical victory. 1600 – Battle of Gifu Castle: The eastern forces of Tokugawa Ieyasu defeat the western Japanese clans loyal to Toyotomi Hideyori, leading to the destruction of Gifu Castle and serving as a prelude to the Battle of Sekigahara. 1601–1900 1628 – George Villiers, the first Duke of Buckingham, is assassinated by John Felton. 1655 – Battle of Sobota: The Swedish Empire led by Charles X Gustav defeats the Polish–Lithuanian Commonwealth. 1703 – Edirne event: Sultan Mustafa II of the Ottoman Empire is dethroned. 1775 – American Revolutionary War: King George III delivers his Proclamation of Rebellion to the Court of St James's stating that the American colonies have proceeded to a state of open and avowed rebellion. 1782 – British forces under Edward Despard complete the reconquest of the Black River settlements on the Mosquito Coast from the Spanish. 1784 – Western North Carolina (now eastern Tennessee) declares itself an independent state under the name of Franklin; it is not accepted into the United States, and only lasts for four years. 1799 – Napoleon I of France leaves Egypt for France en route to seizing power. 1813 – At the Battle of Großbeeren, the Prussians under Von Bülow repulse the French army. 1831 – Nat Turner's rebellion of enslaved Virginians is suppressed. 1839 – The United Kingdom captures Hong Kong as a base as it prepares for the First Opium War with Qing China. 1864 – American Civil War: The Union Navy captures Fort Morgan, Alabama, thus breaking Confederate dominance of all ports on the Gulf of Mexico except Galveston, Texas. 1866 – The Austro-Prussian War ends with the Treaty of Prague. 1873 – The Albert Bridge in Chelsea, London opens. 1898 – The Southern Cross Expedition, the first British venture of the Heroic Age of Antarctic Exploration, departs from London. 1901–present 1904 – The automobile tire chain is patented. 1914 – World War I: The British Expeditionary Force and the French Fifth Army begin their Great Retreat before the German Army. 1914 – World War I: Japan declares war on Germany. 1921 – British airship R-38 experiences structural failure over Hull in England and crashes in the Humber Estuary; of her 49 British and American training crew, only four survive. 1923 – Captain Lowell Smith and Lieutenant John P. Richter perform the first mid-air refueling on De Havilland DH-4B, setting an endurance flight record of 37 hours. 1927 – Italian anarchists Sacco and Vanzetti are executed after a lengthy, controversial trial. 1929 – Hebron Massacre during the 1929 Palestine riots: Arab attacks on the Jewish community in Hebron in the British Mandate of Palestine occur, continuing until the next day, resulting in the death of 65–68 Jews and the remaining Jews being forced to leave the city. 1939 – World War II: Nazi Germany and the Soviet Union sign the Molotov–Ribbentrop Pact. In a secret protocol to the pact, Poland, Finland, Estonia, Latvia, Lithuania, and Romania are divided into German and Soviet "spheres of influence". 1942 – World War II: Beginning of the Battle of Stalingrad. 1943 – World War II: Kharkiv is liberated by the Soviet Red Army for the second time after the Battle of Kursk. 1944 – World War II: Marseille is liberated by the Allied forces. 1944 – World War II: King Michael of Romania dismisses the pro-Nazi government of Marshal Antonescu, who is later arrested. Romania switches sides from the Axis to the Allies. 1944 – Freckleton air disaster: A United States Army Air Forces B-24 Liberator bomber crashes into a school in Freckleton, England, killing 61 people. 1945 – World War II: Soviet–Japanese War: The USSR State Defense Committee issues Decree no. 9898cc "About Receiving, Accommodation, and Labor Utilization of the Japanese Army Prisoners of War". 1946 – Ordinance No. 46 of the British Military Government constitutes the German Länder (states) of Hanover and Schleswig-Holstein. 1948 – The World Council of Churches is formed by 147 churches from 44 countries. 1954 – The first flight of the Lockheed C-130 multi-role aircraft takes place. 1958 – Chinese Civil War: The Second Taiwan Strait Crisis begins with the People's Liberation Army's bombardment of Quemoy. 1966 – Lunar Orbiter 1 takes the first photograph of Earth from orbit around the Moon. 1970 – Organized by Mexican American labor union leader César Chávez, the Salad Bowl strike, the largest farm worker strike in U.S. history, begins. 1973 – A bank robbery gone wrong in Stockholm, Sweden, turns into a hostage crisis; over the next five days the hostages begin to sympathise with their captors, leading to the term "Stockholm syndrome". 1975 – The start of the Wave Hill walk-off by Gurindji people in Australia, lasting eight years, a landmark event in the history of Indigenous land rights in Australia, commemorated in a 1991 Paul Kelly song and an annual celebration. 1975 – The Pontiac Silverdome opens in Pontiac, Michigan, northwest of Detroit, Michigan 1985 – Hans Tiedge, top counter-spy of West Germany, defects to East Germany. 1989 – Singing Revolution: Two million people from Estonia, Latvia and Lithuania stand on the Vilnius–Tallinn road, holding hands. 1990 – Saddam Hussein appears on Iraqi state television with a number of Western "guests" (actually hostages) to try to prevent the Gulf War. 1990 – Armenia declares its independence from the Soviet Union. 1990 – West and East Germany announce that they will reunite on October 3. 1991 – The World Wide Web is opened to the public. 1994 – Eugene Bullard, the only African American pilot in World War I, is posthumously commissioned as Second Lieutenant in the United States Air Force. 2000 – Gulf Air Flight 072 crashes into the Persian Gulf near Manama, Bahrain, killing 143. 2006 – Natascha Kampusch, who had been abducted at the age of ten, escapes from her captor Wolfgang Přiklopil, after eight years of captivity. 2007 – The skeletal remains of Russia's last royal family members Alexei Nikolaevich, Tsarevich of Russia, and his sister Grand Duchess Anastasia are discovered near Yekaterinburg, Russia. 2010 – The Manila hostage crisis occurred near the Quirino Grandstand in Manila, Philippines killing 9 people including the perpetrator while injuring 9 others. 2011 – A magnitude 5.8 (class: moderate) earthquake occurs in Virginia. Damage occurs to monuments and structures in Washington, D.C. and the resulted damage is estimated at 200 million–300 million USD. 2011 – Libyan leader Muammar Gaddafi is overthrown after the National Transitional Council forces take control of Bab al-Azizia compound during the Libyan Civil War. 2012 – A hot-air balloon crashes near the Slovenian capital of Ljubljana, killing six people and injuring 28 others. 2013 – A riot at the Palmasola prison complex in Santa Cruz, Bolivia kills 31 people. 2023 – Chandrayaan-3 mission initiated first Moon landing in Indian history. 2023 – A business jet carrying key leadership members of the Russian private military company Wagner Group crashes, killing all ten people on-board. Births Pre-1600 1482 – Jo Gwang-jo, Korean philosopher (d. 1520) 1486 – Sigismund von Herberstein, Slovenian historian and diplomat (d. 1566) 1498 – Miguel da Paz, Prince of Portugal (d. 1500) 1524 – François Hotman, French lawyer and jurist (d. 1590) 1579 – Thomas Dempster, Scottish scholar and historian (d. 1625) 1601–1900 1623 – Stanisław Lubieniecki, Polish astronomer, theologian, and historian (d. 1675) 1724 – Abraham Yates Jr., American lawyer and civil servant (d. 1796) 1741 – Jean-François de Galaup, comte de Lapérouse, French admiral and explorer (d. 1788) 1754 – Louis XVI of France (d. 1793) 1768 – Astley Cooper, British surgeon and anatomist (d. 1841) 1769 – Georges Cuvier, French biologist and academic (d. 1832) 1783 – William Tierney Clark, English engineer, designed the Hammersmith Bridge (d. 1852) 1785 – Oliver Hazard Perry, American commander (d. 1819) 1800 – Evangelos Zappas, Greek patriot, philanthropist, and businessman (d. 1865) 1805 – Anton von Schmerling, Austrian judge and politician (d. 1893) 1814 – James Roosevelt Bayley, American archbishop (d. 1877) 1829 – Moritz Cantor, German mathematician and historian (d. 1920) 1843 – William Southam, Canadian publisher (d. 1932) 1846 – Alexander Milne Calder, Scottish-American sculptor (d. 1923) 1847 – Sarah Frances Whiting, American physicist and astronomer (d. 1927) 1849 – William Ernest Henley, English poet and critic (d. 1903) 1850 – John Cockburn, Scottish-Australian politician, 18th Premier of South Australia (d. 1929) 1852 – Radha Gobinda Kar, Indian physician and philanthropist (d. 1918) 1852 – Clímaco Calderón, Colombian lawyer and politician, 15th President of Colombia (d. 1913) 1852 – Arnold Toynbee, English economist and historian (d. 1883) 1854 – Moritz Moszkowski, Polish-German pianist and composer (d. 1925) 1864 – Eleftherios Venizelos, Greek lawyer, jurist, and politician, 93rd Prime Minister of Greece (d. 1936) 1867 – Edgar de Wahl, Ukrainian-Estonian linguist and academic (d. 1948) 1868 – Edgar Lee Masters, American lawyer, author, poet, and playwright (d. 1950) 1872 – Tanguturi Prakasam, Indian lawyer and politician, 1st Chief Minister of Andhra (d. 1957) 1875 – William Eccles, English physicist and engineer (d. 1966) 1875 – Eugene Lanceray, Russian painter and sculptor (d. 1946) 1877 – István Medgyaszay, Hungarian architect and academic (d. 1959) 1880 – Alexander Grin, Russian sailor and author (d. 1932) 1882 – Volin, Russia anarchist intellectual (d. 1945) 1883 – Jonathan M. Wainwright, American general, Medal of Honor recipient (d. 1953) 1884 – Will Cuppy, American author and critic (d. 1949) 1884 – Ogden L. Mills, American captain, lawyer, and politician, 50th United States Secretary of the Treasury (d. 1937) 1890 – Harry Frank Guggenheim, American businessman and publisher, co-founded Newsday (d. 1971) 1891 – Roy Agnew, Australian pianist and composer (d. 1944) 1891 – Minna Craucher, Finnish socialite and spy (d. 1932) 1894 – John Auden, English solicitor, deputy coroner and a territorial soldier (d. 1959) 1897 – Henry F. Pringle, American historian and journalist (d. 1958) 1900 – Frances Adaskin, Canadian pianist (d. 2001) 1900 – Ernst Krenek, Austrian-American composer and educator (d. 1991) 1900 – Malvina Reynolds, American singer-songwriter and activist (d. 1978) 1901–present 1901 – Guy Bush, American baseball player and manager (d. 1985) 1901 – John Sherman Cooper, American captain, lawyer, and politician, 2nd United States Ambassador to East Germany (d. 1991) 1904 – William Primrose, Scottish viola player and educator (d. 1982) 1905 – Ernie Bushmiller, American cartoonist (d. 1982) 1905 – Constant Lambert, English composer and conductor (d. 1951) 1906 – Zoltan Sarosy, Hungarian-Canadian chess master (d. 2017) 1908 – Hannah Frank, Scottish sculptor and illustrator (d. 2008) 1909 – Syd Buller, English cricketer and umpire (d. 1970) 1910 – Lonny Frey, American baseball player and soldier (d. 2009) 1910 – Giuseppe Meazza, Italian footballer and manager (d. 1979) 1911 – Betty Robinson, American sprinter (d. 1999) 1911 – J.V. Cunningham, American poet, literary critic, and translator (d. 1985) 1912 – Gene Kelly, American actor, singer, and dancer (d. 1996) 1912 – Igor Troubetzkoy, Russian aristocrat and race car driver (d. 2008) 1913 – Bob Crosby, American swing singer and bandleader (d. 1993) 1917 – Tex Williams, American singer-songwriter and guitarist (d. 1985) 1919 – Vladimir Abramovich Rokhlin, Azerbaijani mathematician and theorist (d. 1984) 1921 – Kenneth Arrow, American economist and academic, Nobel Prize laureate (d. 2017) 1921 – Sam Cook, English cricketer and umpire (d. 1996) 1922 – Nazik Al-Malaika, Iraqi poet and academic (d. 2007) 1922 – Jean Darling, American actress and singer (d. 2015) 1922 – George Kell, American baseball player and sportscaster (d. 2009) 1924 – Ephraim Kishon, Israeli author, screenwriter, and director (d. 2005) 1924 – Robert Solow, American economist and academic, Nobel Prize laureate 1925 – Robert Mulligan, American director and producer (d. 2008) 1926 – Clifford Geertz, American anthropologist and academic (d. 2006) 1926 – Gyula Hernádi, Hungarian author and screenwriter (d. 2005) 1927 – Dick Bruna, Dutch author and illustrator (d. 2017) 1927 – Allan Kaprow, American painter and author (d. 2006) 1927 – Martial Solal, Algerian-French pianist and composer 1928 – Marian Seldes, American actress (d. 2014) 1929 – Vladimir Beekman, Estonian poet and translator (d. 2009) 1929 – Zoltán Czibor, Hungarian footballer (d. 1997) 1929 – Vera Miles, American actress 1929 – Peter Thomson, Australian golfer (d. 2018) 1930 – Michel Rocard, French civil servant and politician, 160th Prime Minister of France (d. 2016) 1931 – Barbara Eden, American actress and singer 1931 – Hamilton O. Smith, American microbiologist and academic, Nobel Prize laureate 1932 – Houari Boumediene, Algerian colonel and politician, 2nd President of Algeria (d. 1978) 1932 – Enos Nkala, Zimbabwean soldier and politician, Zimbabwean Minister of Defence (d. 2013) 1932 – Mark Russell, American comedian and pianist 1933 – Robert Curl, American chemist, Nobel Prize laureate (d. 2022) 1933 – Don Talbot, Australian swim coach and administrator (d. 2020) 1933 – Pete Wilson, American commander and politician, 36th Governor of California 1934 – Sonny Jurgensen, American football player and sportscaster 1935 – Roy Strong, English historian, curator, and author 1936 – Rudy Lewis, American R&B singer (d. 1964) 1936 – Henry Lee Lucas, American murderer (d. 2001) 1936 – Chuck Brown, American musician, "The Godfather of Go-Go" (d. 2012) 1938 – Giacomo Bini, Italian priest and missionary (d. 2014) 1938 – Roger Greenaway, English singer-songwriter and producer 1940 – Galen Rowell, American mountaineer and photographer (d. 2002) 1940 – Richard Sanders, American actor and screenwriter 1941 – Onora O'Neill, Baroness O'Neill of Bengarve, British philosopher, academic, and politician 1942 – Nancy Richey, American tennis player 1943 – Dale Campbell-Savours, Baron Campbell-Savours, English businessman and politician 1943 – Nelson DeMille, American lieutenant and author 1943 – Peter Lilley, English politician, Secretary of State for Business, Innovation and Skills 1943 – Pino Presti, Italian bass player, composer, conductor, and producer 1944 – Antonia Novello, Puerto Rican-American physician and admiral, 14th Surgeon General of the United States 1945 – Rayfield Wright, American football player and coach 1946 – Keith Moon, English drummer, songwriter, and producer (d. 1978) 1947 – David Robb, Scottish actor 1947 – Willy Russell, English playwright and composer 1947 – Linda Thompson, English folk-rock singer-songwriter 1948 – Atef Bseiso, Palestinian intelligence officer (d. 1992) 1948 – Andrei Pleșu, Romanian journalist and politician, 95th Romanian Minister of Foreign Affairs 1948 – Rudy Ruettiger, American football player 1948 – Lev Zeleny, Russian physicist and academic 1949 – Vicky Leandros, Greek singer and politician 1949 – Shelley Long, American actress 1949 – Rick Springfield, Australian-American singer-songwriter, guitarist, and actor 1950 – Luigi Delneri, Italian footballer and manager 1951 – Mark Hudson, American record producer and musician 1951 – Jimi Jamison, American singer-songwriter and musician (d. 2014) 1951 – Akhmad Kadyrov, Chechen cleric and politician, 1st President of the Chechen Republic (d. 2004) 1951 – Queen Noor of Jordan 1952 – Santillana, Spanish footballer 1952 – Georgios Paraschos, Greek footballer and manager 1953 – Bobby G, English singer-songwriter 1954 – Charles Busch, American actor and screenwriter 1954 – Halimah Yacob, Singaporean unionist and politician, 9th Speaker and 8th President of Singapore 1955 – David Learner, British actor 1956 – Andreas Floer, German mathematician and academic (d. 1991) 1956 – Valgerd Svarstad Haugland, Norwegian educator and politician, Norwegian Minister of Culture 1956 – Skipp Sudduth, American actor 1957 – Tasos Mitropoulos, Greek footballer and politician 1958 – Julio Franco, Dominican baseball player and manager 1959 – Edwyn Collins, Scottish singer-songwriter and guitarist 1959 – George Kalovelonis, Greek tennis player and coach 1960 – Gary Hoey, American guitarist, songwriter, and producer 1961 – Dean DeLeo, American guitarist and songwriter 1961 – Alexandre Desplat, French composer and conductor 1961 – Mohammad Bagher Ghalibaf, Iranian commander and politician, 54th Mayor of Tehran 1961 – Gary Mabbutt, English footballer 1961 – Hitomi Takahashi, Japanese actress 1962 – Martin Cauchon, Canadian lawyer and politician, 46th Canadian Minister of Justice 1962 – Shaun Ryder, English singer-songwriter and actor 1963 – Park Chan-wook, South Korean director, producer, and screenwriter 1963 – Glória Pires, Brazilian actress 1963 – Richard Illingworth, English cricketer and umpire 1963 – Kenny Wallace, American race car driver 1964 – Ray Ferraro, Canadian ice hockey player and broadcaster 1964 – Kong Hee, Singaporean minister and criminal 1965 – Roger Avary, Canadian director, producer, and screenwriter 1966 – Rik Smits, Dutch-American basketball player 1967 – Jim Murphy, Scottish lawyer and politician, Minister of State for Europe 1967 – Richard Petrie, New Zealand cricketer 1968 – Laura Claycomb, American soprano 1968 – Chris DiMarco, American golfer 1968 – Cortez Kennedy, American football player (d. 2017) 1969 – Tinus Linee, South African rugby player and coach (d. 2014) 1969 – Jack Lopresti, English soldier and politician 1969 – Jeremy Schaap, American journalist and author 1969 – Keith Tyson, English painter and illustrator 1970 – Lawrence Frank, American basketball player and coach 1970 – Jason Hetherington, Australian rugby league player 1970 – Jay Mohr, American actor, producer, and screenwriter 1970 – River Phoenix, American actor (d. 1993) 1971 – Demetrio Albertini, Italian footballer and manager 1971 – Tim Gutberlet, German footballer 1971 – Gretchen Whitmer, 49th Governor of Michigan 1972 – Mark Butcher, English cricketer and singer 1972 – Raul Casanova, Puerto Rican-American baseball player 1972 – Anthony Calvillo, Canadian football player 1972 – Martin Grainger, English footballer and manager 1972 – Manuel Vidrio, Mexican footballer, coach, and manager 1973 – Casey Blake, American baseball player 1973 – Kerry Walmsley, New Zealand cricketer 1974 – Lexi Alexander, American film and television director 1974 – Mark Bellhorn, American baseball player 1974 – Benjamin Limo, Kenyan runner 1974 – Konstantin Novoselov, Russian-English physicist and academic, Nobel Prize laureate 1974 – Ray Park, Scottish actor and stuntman 1975 – Eliza Carthy, English folk musician 1975 – Sean Marks, New Zealand basketball player and manager 1975 – Jarkko Ruutu, Finnish ice hockey player 1976 – Scott Caan, American actor 1976 – Pat Garrity, American basketball player and executive 1976 – Melanie Gabriel, English singer 1977 – Douglas Sequeira, Costa Rican footballer and manager 1977 – Jared Fogle, American spokesman and criminal 1978 – Kobe Bryant, American basketball player and businessman (d. 2020) 1978 – Julian Casablancas, American singer-songwriter and producer 1978 – Randal Tye Thomas, American journalist and politician (d. 2014) 1978 – Andrew Rannells, American actor and singer 1979 – Jessica Bibby, Australian basketball player 1979 – Saskia Clark, English sailor 1979 – Edgar Sosa, Mexican boxer 1979 – Zuzana Váleková, Slovak tennis player 1980 – Denny Bautista, Dominican baseball player 1980 – Nadine Jolie Courtney, American journalist, reality personality and author 1980 – Joanne Froggatt, English actress 1980 – Rex Grossman, American football player 1980 – Nenad Vučković, Serbian handball player 1981 – Carlos Cuéllar, Spanish footballer 1981 – Jaime Lee Kirchner, American actress 1981 – Stephan Loboué, Ivorian footballer 1982 – Natalie Coughlin, American swimmer 1982 – Scott Palguta, American soccer player 1982 – Cristian Tudor, Romanian footballer (d. 2012) 1983 – James Collins, Welsh footballer 1983 – Athena Farrokhzad, Iranian-Swedish poet, playwright, and critic 1983 – Sun Mingming, Chinese basketball player 1983 – Tony Moll, American football player 1983 – Fiona Onasanya, British politician and criminal 1983 – Bruno Spengler, Canadian race car driver 1984 – Glen Johnson, English footballer 1984 – Eric Tai, New Zealand rugby player and actor 1985 – Valeria Lukyanova, Moldovan-Ukrainian model and singer 1986 – Sky Blu, American rapper and DJ 1986 – Neil Cicierega, American comedian and musician 1986 – Ayron Jones, American musician 1986 – Brett Morris, Australian rugby league player 1986 – Josh Morris, Australian rugby league player 1987 – Darren Collison, American basketball player 1988 – Olga Govortsova, Belarusian tennis player 1988 – Carl Hagelin, Swedish ice hockey player 1988 – Jeremy Lin, American basketball player 1988 – Kim Matula, American actress 1988 – Miles Mikolas, American baseball player 1989 – Lianne La Havas, British singer, songwriter, and multi-instrumentalist 1989 – Trixie Mattel, American drag queen, actor, and country singer 1989 – Heiko Schwarz, German footballer 1989 – TeddyLoid, Japanese musician 1990 – Seth Curry, American basketball player 1990 – Mike Yastrzemski, American baseball player 1992 – Nicola Docherty, Scottish footballer 1993 – Taylor Decker, American football player 1993 – Tyler Glasnow, American baseball player 1993 – Iván López, Spanish professional footballer 1994 – August Ames, Canadian pornographic actress (d. 2017) 1994 – Jusuf Nurkić, Bosnian basketball player 1995 – Gabriela Lee, Romanian tennis player 1995 – Cameron Norrie, British tennis player 1997 – Lil Yachty, American rapper and singer 1998 – P. J. Washington, American basketball player Deaths Pre-1600 30 BC – Caesarion, Egyptian king (b. 47 BC) 30 BC – Marcus Antonius Antyllus, Roman soldier (b. 47 BC) 93 – Gnaeus Julius Agricola, Roman general and politician (b. AD 40) 406 – Radagaisus, Gothic king 634 – Abu Bakr, Arabian caliph (b. 573) 992 – Volkold, bishop of Meissen 1106 – Magnus, Duke of Saxony (b. 1045) 1176 – Emperor Rokujō of Japan (b. 1164) 1305 – William Wallace, Scottish knight and rebel leader (b. c.1270) 1328 – Nicolaas Zannekin, Flemish peasant leader (in the battle of Cassel) 1329 – Frederick IV, Duke of Lorraine (b. 1282) 1335 – Heilwige Bloemardinne, Christian mystic (b. c. 1265) 1348 – John de Stratford, Archbishop of Canterbury 1363 – Chen Youliang, founder of the Dahan regime (b. 1320) 1367 – Gil Álvarez Carrillo de Albornoz, Spanish cardinal (b. 1310) 1478 – Johannes Pullois, Franco-Flemish composer (b. c. 1420?) 1481 – Thomas de Littleton, English judge and legal author (b. c. 1407) 1498 – Isabella of Aragon, Queen of Portugal, eldest daughter of Isabella I of Castile and Ferdinand II of Aragon (b. 1470) 1507 – Jean Molinet, French poet and composer (b. 1435) 1519 – Philibert Berthelier, Swiss soldier (b. 1465) 1540 – Guillaume Budé, French philosopher and scholar (b. 1467) 1568 – Thomas Wharton, 1st Baron Wharton (b. 1495) 1574 – Ebussuud Efendi, Turkish lawyer and jurist (b. 1490) 1591 – Luis de León, Spanish poet and academic (b. 1527) 1601–1900 1618 – Gerbrand Adriaenszoon Bredero, Dutch poet and playwright (b. 1585) 1628 – George Villiers, 1st Duke of Buckingham, English politician, Lord Lieutenant of Buckinghamshire (b. 1592) 1652 – John Byron, 1st Baron Byron, English soldier and politician (b. 1600) 1706 – Edward Nott, English politician, Colonial Governor of Virginia (b. 1654) 1723 – Increase Mather, American minister and author (b. 1639) 1806 – Charles-Augustin de Coulomb, French physicist and engineer (b. 1736) 1813 – Alexander Wilson, Scottish-American poet, ornithologist, and illustrator (b. 1766) 1819 – Oliver Hazard Perry, American commander (b. 1785) 1831 – Ferenc Kazinczy, Hungarian author and poet (b. 1759) 1831 – August Neidhardt von Gneisenau, Prussian field marshal (b. 1760) 1853 – Alexander Calder, American lawyer and politician (b. 1806) 1867 – Auguste-Marseille Barthélemy, French poet and author (b. 1796) 1880 – William Thompson, British boxer (b. 1811) 1892 – Deodoro da Fonseca, Brazilian field marshal and politician, 1st President of Brazil (b. 1827) 1900 – Kuroda Kiyotaka, Japanese general and politician, 2nd Prime Minister of Japan (b. 1840) 1901–present 1924 – Heinrich Berté, Slovak-Austrian composer (b. 1856) 1926 – Rudolph Valentino, Italian actor (b. 1895) 1927 – Nicola Sacco, Italian anarchist convicted of murder (b. 1891) 1927 – Bartolomeo Vanzetti, Italian anarchist convicted of murder (b. 1888) 1933 – Adolf Loos, Austrian architect and theoretician, designed Villa Müller (b. 1870) 1937 – Albert Roussel, French composer (b. 1869) 1944 – Abdülmecid II, Ottoman sultan (b. 1868) 1944 – Stefan Filipkiewicz, Polish painter and illustrator (b. 1879) 1949 – Helen Churchill Candee, American geographer, journalist, and author (b. 1858) 1954 – Jaan Sarv, Estonian mathematician and scholar (b. 1877) 1960 – Oscar Hammerstein II, American director, producer, and composer (b. 1895) 1962 – Walter Anderson, Russian-German ethnologist and academic (b. 1885) 1962 – Hoot Gibson, American actor, director, and producer (b. 1892) 1964 – Edmond Hogan, Australian politician, 30th Premier of Victoria (b. 1883) 1966 – Francis X. Bushman, American actor, director, and screenwriter (b. 1883) 1967 – Georges Berger, Belgian race car driver (b. 1918) 1967 – Nathaniel Cartmell, American runner and coach (b. 1883) 1974 – Roberto Assagioli, Italian psychiatrist and author (b. 1888) 1975 – Faruk Gürler, Turkish general (b. 1913) 1977 – Naum Gabo, Russian sculptor and academic (b. 1890) 1982 – Stanford Moore, American biochemist and academic, Nobel Prize laureate (b. 1913) 1987 – Didier Pironi, French race car and boat driver (b. 1952) 1989 – Mohammed Abed Elhai, Sudanese poet and academic (b. 1944) 1989 – R. D. Laing, Scottish psychiatrist and author (b. 1927) 1990 – David Rose, American pianist and composer (b. 1910) 1994 – Zoltán Fábri, Hungarian director and screenwriter (b. 1917) 1995 – Alfred Eisenstaedt, German-American photographer and journalist (b. 1898) 1996 – Margaret Tucker, Australian author and activist (b. 1904) 1997 – Eric Gairy, Grenadian educator and politician, 1st Prime Minister of Grenada (b. 1922) 1997 – John Kendrew, English biochemist and crystallographer, Nobel Prize laureate (b. 1917) 1999 – Norman Wexler, American screenwriter (b. 1926) 1999 – James White, Irish author (b. 1928) 2000 – John Anthony Kaiser, American priest and missionary (b. 1932) 2001 – Kathleen Freeman, American actress (b. 1919) 2001 – Peter Maas, American journalist and author (b. 1929) 2002 – Hoyt Wilhelm, American baseball player and coach (b. 1922) 2003 – Bobby Bonds, American baseball player and manager (b. 1946) 2003 – Jack Dyer, Australian footballer and coach (b. 1913) 2003 – Jan Sedivka, Czech-Australian violinist and educator (b. 1917) 2003 – Michael Kijana Wamalwa, Kenyan lawyer and politician, 8th Vice President of Kenya (b. 1944) 2005 – Brock Peters, American actor (b. 1927) 2006 – Maynard Ferguson, Canadian trumpet player and bandleader (b. 1928) 2008 – John Russell, English-American author and critic (b. 1919) 2012 – Jerry Nelson, American puppeteer and voice actor (b. 1934) 2012 – Josepha Sherman, American anthologist and author (b. 1946) 2013 – Richard J. Corman, American businessman, founded the R.J. Corman Railroad Group (b. 1955) 2013 – William Glasser, American psychiatrist and author (b. 1925) 2013 – Charles Lisanby, American production designer and set director (b. 1924) 2013 – Konstanty Miodowicz, Polish ethnographer and politician (b. 1951) 2013 – Vesna Rožič, Slovenian chess player (b. 1987) 2013 – Tatyana Zaslavskaya, Russian sociologist and economist (b. 1927) 2014 – Albert Ebossé Bodjongo, Cameroonian footballer (b. 1989) 2014 – Annefleur Kalvenhaar, Dutch cyclist (b. 1994) 2014 – Birgitta Stenberg, Swedish author and illustrator (b. 1932) 2014 – Jaume Vallcorba Plana, Spanish philologist and publisher (b. 1949) 2015 – Augusta Chiwy, Congolese-Belgian nurse (b. 1921) 2015 – Guy Ligier, French rugby player and race car driver (b. 1930) 2015 – Enrique Reneau, Honduran footballer (b. 1971) 2015 – Paul Royle, Australian lieutenant and pilot (b. 1914) 2021 – Elizabeth Blackadder, Scottish painter and printmaker (b. 1931) 2023 – Dmitry Utkin, Russian army officer, founder of Wagner Group (b. 1970) 2023 – Yevgeny Prigozhin, Russian businessman, chief of Wagner Group (b. 1961) Holidays and observances Battle of Kursk Day (Russia) Christian feast day: Ascelina Asterius, Claudius, and Neon Éogan of Ardstraw Lupus (Luppus) of Novae Philip Benitius Quiriacus and companions, of Ostia Rose of Lima Tydfil Zacchaeus of Jerusalem August 23 (Eastern Orthodox liturgics) Day of the National Flag (Ukraine) European Day of Remembrance for Victims of Stalinism and Nazism or Black Ribbon Day (European Union and other countries), and related observances: Liberation from Fascist Occupation Day (Romania) International Day for the Remembrance of the Slave Trade and its Abolition National Day for Physicians (Iran) References External links Days of the year August
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https://en.wikipedia.org/wiki/August%2024
August 24
Events Pre-1600 367 – Gratian, son of Roman Emperor Valentinian I, is named co-Augustus at the age of eight by his father. 394 – The Graffito of Esmet-Akhom, the latest known inscription in Egyptian hieroglyphs, is written. 410 – The Visigoths under king Alaric I begin to pillage Rome. 1185 – Sack of Thessalonica by the Normans. 1200 – King John of England, signer of the first Magna Carta, marries Isabella of Angoulême in Angoulême Cathedral. 1215 – Pope Innocent III issues a bull declaring Magna Carta invalid. 1349 – Six thousand Jews are killed in Mainz after being blamed for the bubonic plague. 1482 – The town and castle of Berwick-upon-Tweed is captured from Scotland by an English army. 1516 – The Ottoman Empire under Selim I defeats the Mamluk Sultanate and captures present-day Syria at the Battle of Marj Dabiq. 1561 – Willem of Orange marries duchess Anna of Saxony. 1601–1900 1608 – The first official English representative to India lands in Surat. 1643 – A Dutch fleet establishes a new colony in the ruins of Valdivia in southern Chile. 1662 – The 1662 Book of Common Prayer is legally enforced as the liturgy of the Church of England, precipitating the Great Ejection of Dissenter ministers from their benefices. 1682 – William Penn receives the area that is now the state of Delaware, and adds it to his colony of Pennsylvania. 1690 – Job Charnock of the East India Company establishes a factory in Calcutta, an event formerly considered the founding of the city (in 2003 the Calcutta High Court ruled that the city's foundation date is unknown). 1743 – The War of the Hats: The Swedish army surrenders to the Russians in Helsinki, ending the war and starting Lesser Wrath. 1781 – American Revolutionary War: A small force of Pennsylvania militia is ambushed and overwhelmed by an American Indian group, which forces George Rogers Clark to abandon his attempt to attack Detroit. 1789 – The first naval battle of the Svensksund began in the Gulf of Finland. 1812 – Peninsular War: A coalition of Spanish, British, and Portuguese forces succeed in lifting the two-and-a-half-year-long Siege of Cádiz. 1814 – British troops invade Washington, D.C. and during the Burning of Washington the White House, the Capitol and many other buildings are set ablaze. 1815 – The modern Constitution of the Netherlands is signed. 1816 – The Treaty of St. Louis is signed in St. Louis, Missouri. 1820 – Constitutionalist insurrection at Oporto, Portugal. 1821 – The Treaty of Córdoba is signed in Córdoba, now in Veracruz, Mexico, concluding the Mexican War of Independence from Spain. 1857 – The Panic of 1857 begins, setting off one of the most severe economic crises in United States history. 1870 – The Wolseley expedition reaches Manitoba to end the Red River Rebellion. 1898 – Count Muravyov, Foreign Minister of Russia presents a rescript that convoked the First Hague Peace Conference. 1901–present 1909 – Workers start pouring concrete for the Panama Canal. 1911 – Manuel de Arriaga is elected and sworn in as the first President of Portugal. 1914 – World War I: German troops capture Namur. 1914 – World War I: The Battle of Cer ends as the first Allied victory in the war. 1929 – Second day of two-day Hebron massacre during the 1929 Palestine riots: Arab attacks on the Jewish community in Hebron in the British Mandate of Palestine, result in the death of 65–68 Jews; the remaining Jews are forced to flee the city. 1931 – Resignation of the United Kingdom's Second Labour Government. Formation of the UK National Government. 1932 – Amelia Earhart becomes the first woman to fly across the United States non-stop (from Los Angeles to Newark, New Jersey). 1933 – The Crescent Limited train derails in Washington, D.C., after the bridge it is crossing is washed out by the 1933 Chesapeake–Potomac hurricane. 1936 – The Australian Antarctic Territory is created. 1937 – Spanish Civil War: the Basque Army surrenders to the Italian Corpo Truppe Volontarie following the Santoña Agreement. 1937 – Spanish Civil War: Sovereign Council of Asturias and León is proclaimed in Gijón. 1938 – Kweilin incident: A Japanese warplane shoots down the Kweilin, a Chinese civilian airliner, killing 14. It is the first recorded instance of a civilian airliner being shot down. 1941 – The Holocaust: Adolf Hitler orders the cessation of Nazi Germany's systematic T4 euthanasia program of the mentally ill and the handicapped due to protests, although killings continue for the remainder of the war. 1942 – World War II: The Battle of the Eastern Solomons. Japanese aircraft carrier Ryūjō is sunk, with the loss of seven officers and 113 crewmen. The US carrier is heavily damaged. 1944 – World War II: Allied troops begin the attack on Paris. 1949 – The treaty creating the North Atlantic Treaty Organization goes into effect. 1950 – Edith Sampson becomes the first black U.S. delegate to the United Nations. 1951 – United Air Lines Flight 615 crashes near Decoto, California, killing 50 people. 1954 – The Communist Control Act goes into effect, outlawing the American Communist Party. 1954 – Vice president João Café Filho takes office as president of Brazil, following the suicide of Getúlio Vargas. 1963 – Buddhist crisis: As a result of the Xá Lợi Pagoda raids, the US State Department cables the United States Embassy, Saigon to encourage Army of the Republic of Vietnam generals to launch a coup against President Ngô Đình Diệm if he did not remove his brother Ngô Đình Nhu. 1967 – Led by Abbie Hoffman, the Youth International Party temporarily disrupts trading at the New York Stock Exchange by throwing dollar bills from the viewing gallery, causing trading to cease as brokers scramble to grab them. 1970 – Vietnam War protesters bomb Sterling Hall at the University of Wisconsin–Madison, leading to an international manhunt for the perpetrators. 1981 – Mark David Chapman is sentenced to 20 years to life in prison for murdering John Lennon. 1989 – Colombian drug barons declare "total war" on the Colombian government. 1989 – Tadeusz Mazowiecki is chosen as the first non-communist prime minister in Central and Eastern Europe. 1991 – Mikhail Gorbachev resigns as head of the Communist Party of the Soviet Union. 1991 – Ukraine declares itself independent from the Soviet Union. 1992 – Hurricane Andrew makes landfall in Homestead, Florida as a Category 5 hurricane, causing up to $25 billion (1992 USD) in damages. 1995 – Microsoft Windows 95 was released to the public in North America. 1998 – First radio-frequency identification (RFID) human implantation tested in the United Kingdom. 2001 – Air Transat Flight 236 loses all engine power over the Atlantic Ocean, forcing the pilots to conduct an emergency landing in the Azores. 2004 – Ninety passengers die after two airliners explode after flying out of Domodedovo International Airport, near Moscow. The explosions are caused by suicide bombers from Chechnya. 2006 – The International Astronomical Union (IAU) redefines the term "planet" such that Pluto is now considered a dwarf planet. 2008 – Sixty-five passengers are killed when Iran Aseman Airlines Flight 6895 crashes during an emergency landing at Manas International Airport in Bishkek, Kyrgyzstan. 2008 – A Cessna 208 Caravan crashes in Cabañas, Zacapa, Guatemala, killing 11 people. 2010 – In San Fernando, Tamaulipas, Mexico, 72 illegal immigrants are killed by Los Zetas and eventually found dead by Mexican authorities. 2010 – Henan Airlines Flight 8387 crashes at Yichun Lindu Airport in Yichun, Heilongjiang, China, killing 44 out of the 96 people on board. 2010 – Agni Air Flight 101 crashes near Shikharpur, Makwanpur, Nepal, killing all 14 people on board. 2012 – Anders Behring Breivik, perpetrator of the 2011 Norway attacks, is sentenced to 21 years of preventive detention. 2014 – A magnitude 6.0 earthquake strikes the San Francisco Bay Area; it is the largest in that area since 1989. 2016 – An earthquake strikes Central Italy with a magnitude of 6.2, with aftershocks felt as far as Rome and Florence. Around 300 people are killed. 2017 – The National Space Agency of Taiwan successfully launches the observation satellite Formosat-5 into space. 2020 – Erin O’Toole is elected leader of the Conservative Party of Canada. 2023 – Japan officially begins discharging treated radioactive water from the Fukushima Daiichi Nuclear Power Plant into the Pacific Ocean, sparking international concerns and condemnation. Births Pre-1600 1016 – Fujiwara no Genshi, Japanese empress consort (d. 1039) 1113 – Geoffrey Plantagenet, Count of Anjou (d. 1151) 1198 – Alexander II of Scotland (d. 1249) 1358 – John I of Castile (d. 1390) 1393 – Arthur III, Duke of Brittany (d. 1458) 1423 – Thomas Rotherham, English cleric (d. 1500) 1498 – John, Hereditary Prince of Saxony (d. 1537) 1510 – Elisabeth of Brandenburg, Duchess of Brunswick-Calenberg-Göttingen (d. 1558) 1552 – Lavinia Fontana, Italian painter and educator (d. 1614) 1556 – Sophia Brahe, Danish horticulturalist and astronomer (d. 1643) 1561 – Thomas Howard, 1st Earl of Suffolk (d. 1626) 1578 – John Taylor, English poet and author (d. 1653) 1591 – Robert Herrick, English poet and cleric (d. 1674) 1601–1900 1631 – Philip Henry, English minister (d. 1696) 1635 – Peder Griffenfeld, Danish lawyer and politician (d. 1699) 1684 – Sir Robert Munro, 6th Baronet, British politician (d. 1746) 1714 – Alaungpaya, Burmese king (d. 1760) 1758 – Duchess Sophia Frederica of Mecklenburg-Schwerin (d. 1794) 1759 – William Wilberforce, English philanthropist and politician (d. 1833) 1772 – William I of the Netherlands (d. 1840) 1787 – James Weddell, Belgian-English sailor, hunter, and explorer (d. 1834) 1824 – Antonio Stoppani, Italian geologist and scholar (d. 1891) 1837 – Théodore Dubois, French organist, composer, and educator (d. 1924) 1843 – Boyd Dunlop Morehead, Australian politician, 10th Premier of Queensland (d. 1905) 1845 – James Calhoun, American lieutenant (d. 1876) 1851 – Tom Kendall, Australian cricketer and journalist (d. 1924) 1852 – Agnes Marshall, English culinary entrepreneur, inventor, and celebrity chef (d. 1905) 1860 – David Bowman, Australian lawyer and politician (d. 1916) 1862 – Zonia Baber, American geographer and geologist (d. 1956) 1863 – Dragutin Lerman, Croatian explorer (d. 1918) 1865 – Ferdinand I of Romania (d. 1927) 1872 – Max Beerbohm, English essayist, parodist, and caricaturist (d. 1956) 1884 – Earl Derr Biggers, American author and playwright (d. 1933) 1887 – Harry Hooper, American baseball player (d. 1974) 1888 – Valentine Baker, Welsh co-founder of the Martin-Baker Aircraft Company (d. 1942) 1890 – Duke Kahanamoku, American swimmer, actor, and surfer (d. 1968) 1890 – Jean Rhys, Dominican-English novelist (d. 1979) 1893 – Haim Ernst Wertheimer, German-Israeli biochemist and academic (d. 1978) 1895 – Richard Cushing, American cardinal (d. 1970) 1897 – Fred Rose, American pianist, songwriter, and publisher (d. 1954) 1898 – Malcolm Cowley, American novelist, poet, literary critic (d. 1989) 1899 – Jorge Luis Borges, Argentine short-story writer, essayist, poet and translator (d. 1986) 1899 – Albert Claude, Belgian biologist and academic, Nobel Prize laureate (d. 1983) 1901–present 1901 – Preston Foster, American actor (d. 1970) 1902 – Fernand Braudel, French historian and academic (d. 1985) 1902 – Carlo Gambino, Italian-American mob boss (d. 1976) 1903 – Karl Hanke, German businessman and politician (d. 1945) 1904 – Ida Cook, English campaigner for Jewish refugees, and romantic novelist as Mary Burchell (d. 1986) 1905 – Arthur "Big Boy" Crudup, American singer-songwriter and guitarist (d. 1974) 1905 – Siaka Stevens, Sierra Leonean police officer and politician, 1st President of Sierra Leone (d. 1988) 1907 – Bruno Giacometti, Swiss architect, designed the Hallenstadion (d. 2012) 1908 – Shivaram Rajguru, Indian activist (d. 1931) 1909 – Ronnie Grieveson, South African cricketer and soldier (d. 1998) 1913 – Charles Snead Houston, American physician and mountaineer (d. 2009) 1915 – Wynonie Harris, American singer and guitarist (d. 1969) 1915 – James Tiptree Jr. (Alice Bradley Sheldon), American psychologist and science fiction author (d. 1987) 1918 – Sikander Bakht, Indian field hockey player and politician, Indian Minister of External Affairs (d. 2004) 1919 – Tosia Altman, member of the Polish resistance in World War II (d. 1943) 1919 – J. Gordon Edwards, American entomologist, mountaineer, and DDT advocate (d. 2004) 1919 – Enrique Llanes, Mexican wrestler (d. 2004) 1920 – Alex Colville, Canadian painter and academic (d. 2013) 1921 – Eric Simms, English ornithologist and conservationist (d. 2009) 1922 – René Lévesque, Canadian journalist and politician, 23rd Premier of Quebec (d. 1987) 1922 – Howard Zinn, American historian, author, and activist (d. 2010) 1923 – Arthur Jensen, American psychologist and academic (d. 2012) 1924 – Alyn Ainsworth, English singer and conductor (d. 1990) 1924 – Louis Teicher, American pianist (d. 2008) 1926 – Nancy Spero, American painter and academic (d. 2009) 1927 – Anjali Devi, Indian actress and producer (d. 2014) 1927 – David Ireland, Australian author and playwright (d. 2022) 1927 – Harry Markowitz, American economist and academic, Nobel Prize laureate (d. 2023) 1929 – Betty Dodson, American author and educator (d. 2020) 1930 – Jackie Brenston, American singer-songwriter and saxophonist (d. 1979) 1930 – Roger McCluskey, American race car driver (d. 1993) 1932 – Robert D. Hales, American captain and religious leader (d. 2017) 1932 – Richard Meale, Australian pianist and composer (d. 2009) 1932 – Cormac Murphy-O'Connor, English cardinal (d. 2017) 1933 – Prince Rupert Loewenstein, Spanish-English banker and manager (d. 2014) 1934 – Kenny Baker, English actor (d. 2016) 1936 – A. S. Byatt, English novelist and poet 1936 – Kenny Guinn, American banker and politician, 27th Governor of Nevada (d. 2010) 1936 – Arthur B. C. Walker Jr., American physicist and academic (d. 2001) 1937 – Moshood Abiola, Nigerian businessman and politician (d. 1998) 1937 – Susan Sheehan, Austrian-American journalist and author 1938 – David Freiberg, American singer and bass player 1938 – Mason Williams, American guitarist and composer 1940 – Madsen Pirie, British academic, President and co-founder of the Adam Smith Institute 1940 – Francine Lalonde, Canadian educator and politician (d. 2014) 1940 – Keith Savage, English rugby player 1941 – Alan M. Roberts, English academic, Professor of Zoology at the University of Bristol 1942 – Max Cleland, American captain and politician (d. 2021) 1942 – Jimmy Soul, American pop-soul singer (d. 1988) 1943 – John Cipollina, American rock guitarist (d. 1989) 1944 – Bill Goldsworthy, Canadian-American ice hockey player and coach (d. 1996) 1944 – Gregory Jarvis, American engineer, and astronaut (d. 1986) 1944 – Rocky Johnson, Canadian-American wrestler and trainer (d. 2020) 1945 – Ronee Blakley, American singer-songwriter, producer, and actress 1945 – Molly Duncan, Scottish saxophonist (d. 2019) 1945 – Ken Hensley, English rock singer-songwriter and musician (d. 2020) 1945 – Marsha P. Johnson, American gay liberation activist and drag queen (d. 1992) 1945 – Vince McMahon, American wrestler, promoter, and entrepreneur; co-founded WWE 1947 – Anne Archer, American actress and producer 1947 – Paulo Coelho, Brazilian author and songwriter 1947 – Roger De Vlaeminck, Belgian cyclist and coach 1947 – Joe Manchin, American politician, 34th Governor of West Virginia 1947 – Vladimir Masorin, Russian admiral 1948 – Kim Sung-il, South Korean commander and pilot 1948 – Jean Michel Jarre, French pianist, composer, and producer 1948 – Sauli Niinistö, Finnish captain and politician, 12th President of Finland 1948 – Alexander McCall Smith, Rhodesian-Scottish author and educator 1949 – Stephen Paulus, American composer and educator (d. 2014) 1949 – Joe Regalbuto, American actor and director 1951 – Danny Joe Brown, American southern rock singer-songwriter and musician (d. 2005) 1951 – Orson Scott Card, American novelist, critic, public speaker, essayist, and columnist 1951 – Oscar Hijuelos, American author and academic (d. 2013) 1952 – Marion Bloem, Dutch author, director, and painter 1952 – Linton Kwesi Johnson, Jamaican dub poet 1953 – Sam Torrance, Scottish golfer and sportscaster 1954 – Alain Daigle, Canadian ice hockey player 1954 – Heini Otto, Dutch footballer, coach, and manager 1955 – Kevin Dunn, American actor 1955 – Mike Huckabee, American minister and politician, 44th Governor of Arkansas 1956 – Gerry Cooney, American boxer 1956 – Dick Lee, Singaporean singer-songwriter and playwright 1957 – Jeffrey Daniel, American singer-songwriter and dancer 1957 – Stephen Fry, English actor, journalist, producer, and screenwriter 1958 – Steve Guttenberg, American actor and producer 1959 – Meg Munn, English social worker and politician 1960 – Cal Ripken Jr., American baseball player and coach 1961 – Jared Harris, English actor 1962 – Craig Kilborn, American television host 1962 – Emile Roemer, Dutch educator and politician 1963 – John Bush, American singer-songwriter 1963 – Hideo Kojima, Japanese director, screenwriter and video game designer 1963 – Francis Pangilinan, Filipino lawyer and politician 1964 – Éric Bernard, French racing driver 1964 – Mark Cerny, American video game designer, programmer, producer and business executive 1964 – Salizhan Sharipov, Kyrgyzstani-Russian lieutenant, pilot, and astronaut 1965 – Marlee Matlin, American actress and producer 1965 – Reggie Miller, American basketball player and sportscaster 1965 – Brian Rajadurai, Sri Lankan-Canadian cricketer 1967 – Michael Thomas, English footballer 1968 – Benoît Brunet, Canadian ice hockey player and sportscaster 1968 – Shoichi Funaki, Japanese-American wrestler and sportscaster 1968 – Andreas Kisser, Brazilian guitarist, songwriter, and producer 1968 – Tim Salmon, American baseball player and sportscaster 1969 – Jans Koerts, Dutch cyclist 1970 – Rich Beem, American golfer 1970 – David Gregory, American journalist 1970 – Tugay Kerimoğlu, Turkish footballer and manager 1972 – Jean-Luc Brassard, Canadian skier and radio host 1972 – Ava DuVernay, American director and screenwriter 1972 – Todd Young, American politician 1973 – Andrew Brunette, Canadian ice hockey player and coach 1973 – Dave Chappelle, American comedian, actor, producer and screenwriter 1973 – James D'Arcy, English actor 1973 – Inge de Bruijn, Dutch swimmer 1973 – Carmine Giovinazzo, American actor 1974 – Jennifer Lien, American actress 1975 – Roberto Colombo, Italian footballer 1975 – Mark de Vries, Surinamese-Dutch footballer 1976 – Simon Dennis, English rower and academic 1976 – Alex O'Loughlin, Australian actor, writer, director, and producer 1977 – Denílson de Oliveira Araújo, Brazilian footballer 1977 – Robert Enke, German footballer (d. 2009) 1977 – Per Gade, Danish footballer 1977 – John Green, American author and vlogger 1977 – Jürgen Macho, Austrian footballer 1978 – Derek Morris, Canadian ice hockey player 1979 – Vahur Afanasjev, Estonian author and poet 1979 – Orlando Engelaar, Dutch footballer 1979 – Michael Redd, American basketball player 1981 – Chad Michael Murray, American actor, model, and author 1982 – José Bosingwa, Portuguese footballer 1982 – Kim Källström, Swedish footballer 1983 – Brett Gardner, American baseball player 1983 – Marcel Goc, German ice hockey player 1983 – George Perris, Greek-French singer-songwriter and pianist 1984 – Erin Molan, Australian journalist and sportscaster 1984 – Charlie Villanueva, Dominican-American basketball player 1986 – Joseph Akpala, Nigerian footballer 1986 – Arian Foster, American football player, rapper, and actor 1987 – Anže Kopitar, Slovenian ice hockey player 1988 – Rupert Grint, English actor 1988 – Brad Hunt, Canadian ice hockey player 1988 – Manu Ma'u, New Zealand rugby league player 1988 – Maya Yoshida, Japanese footballer 1989 – Reynaldo, Brazilian footballer 1989 – Rocío Igarzábal, Argentinian actress and singer 1990 – Juan Pedro Lanzani, Argentinian actor and singer 1991 – Enrique Hernández, Puerto Rican baseball player 1991 – Wang Zhen, Chinese race walker 1992 – Jemerson, Brazilian footballer 1993 – Allen Robinson, American football player 1993 – Maryna Zanevska, Belgian tennis player 1995 – Noah Vonleh, American basketball player 1995 – Lady Amelia Windsor, member of the British royal family 1997 – Alan Walker, British-Norwegian DJ and record producer 1998 – Sofia Richie, American model and social media personality 2000 – Griffin Gluck, American actor 2001 – Mildred Maldonado, Mexican rhythmic gymnast Deaths Pre-1600 691 – Fu Youyi, official of the Tang Dynasty 842 – Saga, Japanese emperor (b. 786) 895 – Guthred, king of Northumbria 927 – Doulu Ge, chancellor of Later Tang 927 – Wei Yue, chancellor of Later Tang 942 – Liu, empress dowager of Later Jin 948 – Zhang Ye, Chinese general and chancellor 1042 – Michael V Kalaphates, Byzantine emperor (b. 1015) 1103 – Magnus Barefoot, Norwegian king (b. 1073) 1217 – Eustace the Monk, French pirate (b. 1170) 1313 – Henry VII, Holy Roman Emperor (b. 1275) 1372 – Casimir III, Duke of Pomerania (b. 1348) 1497 – Sophie of Pomerania, Duchess of Pomerania (b. 1435) 1507 – Cecily of York, English princess (b. 1469) 1540 – Parmigianino, Italian painter and etcher (b. 1503) 1542 – Gasparo Contarini, Italian cardinal (b. 1483) 1572 – Gaspard II de Coligny, French admiral (b. 1519) 1572 – Charles de Téligny, French soldier and diplomat (b. 1535) 1595 – Thomas Digges, English mathematician and astronomer (b. 1546) 1601–1900 1617 – Rose of Lima, Peruvian saint (b. 1586) 1647 – Nicholas Stone, English sculptor and architect (b. 1586) 1679 – Jean François Paul de Gondi, French cardinal and author (b. 1614) 1680 – Thomas Blood, Irish colonel (b. 1618) 1680 – Ferdinand Bol, Dutch painter and etcher (b. 1616) 1683 – John Owen, English theologian and academic (b. 1616) 1759 – Ewald Christian von Kleist, German poet and soldier (b. 1715) 1770 – Thomas Chatterton, English poet and prodigy (b. 1752) 1779 – Cosmas of Aetolia, Greek monk and saint (b. 1714) 1798 – Thomas Alcock, English priest and author (b. 1709) 1804 – Peggy Shippen, American wife of Benedict Arnold and American Revolutionary War spy (b. 1760) 1818 – James Carr, American lawyer and politician (b. 1777) 1821 – John William Polidori, English writer and physician (b. 1795) 1832 – Nicolas Léonard Sadi Carnot, French physicist and engineer (b. 1796) 1832 – Richard Weymouth, British Royal Navy commander (b. 1780/81) 1838 – Ferenc Kölcsey, Hungarian poet, critic, and politician (b. 1790) 1841 – Theodore Hook, English civil servant and composer (b. 1788) 1841 – John Ordronaux, French-American soldier (b. 1778) 1888 – Rudolf Clausius, German physicist and mathematician (b. 1822) 1895 – Albert F. 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https://en.wikipedia.org/wiki/Aquaculture
Aquaculture
Aquaculture (less commonly spelled aquiculture), also known as aquafarming, is the controlled cultivation ("farming") of aquatic organisms such as fish, crustaceans, mollusks, algae and other organisms of value such as aquatic plants (e.g. lotus). Aquaculture involves cultivating freshwater, brackish water and saltwater populations under controlled or semi-natural conditions, and can be contrasted with commercial fishing, which is the harvesting of wild fish. Mariculture, commonly known as marine farming, refers specifically to aquaculture practiced in seawater habitats and lagoons, as opposed to freshwater aquaculture. Pisciculture is a type of aquaculture that consists of fish farming to obtain fish products as food. Aquaculture can also be defined as the breeding, growing, and harvesting of fish and other aquatic plants, also known as farming in water. It is an environmental source of food and commercial product which help to improve healthier habitats and used to reconstruct population of endangered aquatic species. Technology has increased the growth of fish in coastal marine waters and open oceans due to the increased demand for seafood. Aquaculture can be conducted in completely artificial facilities built on land (onshore aquaculture), as in the case of fish tank, ponds, aquaponics or raceways, where the living conditions rely on human control such as water quality (oxygen), feed, temperature. Alternatively, they can be conducted on well-sheltered shallow waters nearshore of a body of water (inshore aquaculture), where the cultivated species are subjected to a relatively more naturalistic environments; or on fenced/enclosed sections of open water away from the shore (offshore aquaculture), where the species are either cultured in cages, racks or bags, and are exposed to more diverse natural conditions such as water currents (such as ocean currents), diel vertical migration and nutrient cycles. According to the Food and Agriculture Organization (FAO), aquaculture "is understood to mean the farming of aquatic organisms including fish, molluscs, crustaceans and aquatic plants. Farming implies some form of intervention in the rearing process to enhance production, such as regular stocking, feeding, protection from predators, etc. Farming also implies individual or corporate ownership of the stock being cultivated." The reported output from global aquaculture operations in 2019 was over 120 million tonnes valued at US$274 billion. However, there are issues with the reliability of the reported figures. Further, in current aquaculture practice, products from several kilograms of wild fish are used to produce one kilogram of a piscivorous fish like salmon. Plant and insect-based feeds are also being developed to help reduce wild fish been used for aquaculture feed. Particular kinds of aquaculture include fish farming, shrimp farming, oyster farming, mariculture, pisciculture, algaculture (such as seaweed farming), and the cultivation of ornamental fish. Particular methods include aquaponics and integrated multi-trophic aquaculture, both of which integrate fish farming and aquatic plant farming. The FAO describes aquaculture as one of the industries most directly affected by climate change and its impacts. Some forms of aquaculture have negative impacts on the environment, such as through nutrient pollution or disease transfer to wild populations. Overview Harvest stagnation in wild fisheries and overexploitation of popular marine species, combined with a growing demand for high-quality protein, encouraged aquaculturists to domesticate other marine species. At the outset of modern aquaculture, many were optimistic that a "Blue Revolution" could take place in aquaculture, just as the Green Revolution of the 20th century had revolutionized agriculture. Although land animals had long been domesticated, most seafood species were still caught from the wild. Concerned about the impact of growing demand for seafood on the world's oceans, prominent ocean explorer Jacques Cousteau wrote in 1973: "With earth's burgeoning human populations to feed, we must turn to the sea with new understanding and new technology." About 430 (97%) of the species cultured were domesticated during the 20th and 21st centuries, of which an estimated 106 came in the decade to 2007. Given the long-term importance of agriculture, to date, only 0.08% of known land plant species and 0.0002% of known land animal species have been domesticated, compared with 0.17% of known marine plant species and 0.13% of known marine animal species. Domestication typically involves about a decade of scientific research. Domesticating aquatic species involves fewer risks to humans than do land animals, which took a large toll in human lives. Most major human diseases originated in domesticated animals, including diseases such as smallpox and diphtheria, that like most infectious diseases, move to humans from animals. No human pathogens of comparable virulence have yet emerged from marine species. Biological control methods to manage parasites are already being used, such as cleaner fish (e.g. lumpsuckers and wrasse) to control sea lice populations in salmon farming. Models are being used to help with spatial planning and siting of fish farms in order to minimize impact. The decline in wild fish stocks has increased the demand for farmed fish. However, finding alternative sources of protein and oil for fish feed is necessary so the aquaculture industry can grow sustainably; otherwise, it represents a great risk for the over-exploitation of forage fish. Aquaculture production now exceeds capture fishery production and together the relative GDP contribution has ranged from 0.01 to 10%. Singling out aquaculture's relative contribution to GDP, however, is not easily derived due to lack of data. Another recent issue following the banning in 2008 of organotins by the International Maritime Organization is the need to find environmentally friendly, but still effective, compounds with antifouling effects. Many new natural compounds are discovered every year, but producing them on a large enough scale for commercial purposes is almost impossible. It is highly probable that future developments in this field will rely on microorganisms, but greater funding and further research is needed to overcome the lack of knowledge in this field. Species groups Aquatic plants Microalgae, also referred to as phytoplankton, microphytes, or planktonic algae, constitute the majority of cultivated algae. Macroalgae commonly known as seaweed also have many commercial and industrial uses, but due to their size and specific requirements, they are not easily cultivated on a large scale and are most often taken in the wild. In 2016, aquaculture was the source of 96.5 percent by volume of the total 31.2 million tonnes of wild-collected and cultivated aquatic plants combined. Global production of farmed aquatic plants, overwhelmingly dominated by seaweeds, grew in output volume from 13.5 million tonnes in 1995 to just over 30 million tonnes in 2016. Seaweed farming Fish The farming of fish is the most common form of aquaculture. It involves raising fish commercially in tanks, fish ponds, or ocean enclosures, usually for food. A facility that releases juvenile fish into the wild for recreational fishing or to supplement a species' natural numbers is generally referred to as a fish hatchery. Worldwide, the most important fish species used in fish farming are, in order, carp, salmon, tilapia, and catfish. In the Mediterranean, young bluefin tuna are netted at sea and towed slowly towards the shore. They are then interned in offshore pens (sometimes made from floating HDPE pipe) where they are further grown for the market. In 2009, researchers in Australia managed for the first time to coax southern bluefin tuna to breed in landlocked tanks. Southern bluefin tuna are also caught in the wild and fattened in grow-out sea cages in southern Spencer Gulf, South Australia. A similar process is used in the salmon-farming section of this industry; juveniles are taken from hatcheries and a variety of methods are used to aid them in their maturation. For example, as stated above, some of the most important fish species in the industry, salmon, can be grown using a cage system. This is done by having netted cages, preferably in open water that has a strong flow, and feeding the salmon a special food mixture that aids their growth. This process allows for year-round growth of the fish, thus a higher harvest during the correct seasons. An additional method, known sometimes as sea ranching, has also been used within the industry. Sea ranching involves raising fish in a hatchery for a brief time and then releasing them into marine waters for further development, whereupon the fish are recaptured when they have matured. Crustaceans Commercial shrimp farming began in the 1970s, and production grew steeply thereafter. Global production reached more than 1.6 million tonnes in 2003, worth about US$9 billion. About 75% of farmed shrimp is produced in Asia, in particular in China and Thailand. The other 25% is produced mainly in Latin America, where Brazil is the largest producer. Thailand is the largest exporter. Shrimp farming has changed from its traditional, small-scale form in Southeast Asia into a global industry. Technological advances have led to ever higher densities per unit area, and broodstock is shipped worldwide. Virtually all farmed shrimp are penaeids (i.e., shrimp of the family Penaeidae), and just two species of shrimp, the Pacific white shrimp and the giant tiger prawn, account for about 80% of all farmed shrimp. These industrial monocultures are very susceptible to disease, which has decimated shrimp populations across entire regions. Increasing ecological problems, repeated disease outbreaks, and pressure and criticism from both nongovernmental organizations and consumer countries led to changes in the industry in the late 1990s and generally stronger regulations. In 1999, governments, industry representatives, and environmental organizations initiated a program aimed at developing and promoting more sustainable farming practices through the Seafood Watch program. Freshwater prawn farming shares many characteristics with, including many problems with, marine shrimp farming. Unique problems are introduced by the developmental lifecycle of the main species, the giant river prawn. The global annual production of freshwater prawns (excluding crayfish and crabs) in 2007 was about 460,000 tonnes, exceeding 1.86 billion dollars. Additionally, China produced about 370,000 tonnes of Chinese river crab. In addition astaciculture is the freshwater farming of crayfish (mostly in the US, Australia, and Europe). Molluscs Aquacultured shellfish include various oyster, mussel, and clam species. These bivalves are filter and/or deposit feeders, which rely on ambient primary production rather than inputs of fish or other feed. As such, shellfish aquaculture is generally perceived as benign or even beneficial. Depending on the species and local conditions, bivalve molluscs are either grown on the beach, on longlines, or suspended from rafts and harvested by hand or by dredging. In May 2017 a Belgian consortium installed the first of two trial mussel farms on a wind farm in the North Sea. Abalone farming began in the late 1950s and early 1960s in Japan and China. Since the mid-1990s, this industry has become increasingly successful. Overfishing and poaching have reduced wild populations to the extent that farmed abalone now supplies most abalone meat. Sustainably farmed molluscs can be certified by Seafood Watch and other organizations, including the World Wildlife Fund (WWF). WWF initiated the "Aquaculture Dialogues" in 2004 to develop measurable and performance-based standards for responsibly farmed seafood. In 2009, WWF co-founded the Aquaculture Stewardship Council with the Dutch Sustainable Trade Initiative to manage the global standards and certification programs. After trials in 2012, a commercial "sea ranch" was set up in Flinders Bay, Western Australia, to raise abalone. The ranch is based on an artificial reef made up of 5000 () separate concrete units called abitats (abalone habitats). The 900 kg abitats can host 400 abalone each. The reef is seeded with young abalone from an onshore hatchery. The abalone feed on seaweed that has grown naturally on the habitats, with the ecosystem enrichment of the bay also resulting in growing numbers of dhufish, pink snapper, wrasse, and Samson fish, among other species. Brad Adams, from the company, has emphasised the similarity to wild abalone and the difference from shore-based aquaculture. "We're not aquaculture, we're ranching, because once they're in the water they look after themselves." Other groups Other groups include aquatic reptiles, amphibians, and miscellaneous invertebrates, such as echinoderms and jellyfish. They are separately graphed at the top right of this section, since they do not contribute enough volume to show clearly on the main graph. Commercially harvested echinoderms include sea cucumbers and sea urchins. In China, sea cucumbers are farmed in artificial ponds as large as . Global fish production Global fish production peaked at about 171 million tonnes in 2016, with aquaculture representing 47 percent of the total and 53 percent if non-food uses (including reduction to fishmeal and fish oil) are excluded. With capture fishery production relatively static since the late 1980s, aquaculture has been responsible for the continuing growth in the supply of fish for human consumption. Global aquaculture production (including aquatic plants) in 2016 was 110.2 million tonnes, with the first-sale value estimated at US$244 billion. Three years later, in 2019 the reported output from global aquaculture operations was over 120 million tonnes valued at US$274 billion. The contribution of aquaculture to the global production of capture fisheries and aquaculture combined has risen continuously, reaching 46.8 percent in 2016, up from 25.7 percent in 2000. With 5.8 percent annual growth rate during the period 2001–2016, aquaculture continues to grow faster than other major food production sectors, but it no longer has the high annual growth rates experienced in the 1980s and 1990s. In 2012, the total world production of fisheries was 158 million tonnes, of which aquaculture contributed 66.6 million tonnes, about 42%. The growth rate of worldwide aquaculture has been sustained and rapid, averaging about 8% per year for over 30 years, while the take from wild fisheries has been essentially flat for the last decade. The aquaculture market reached $86 billion in 2009. Aquaculture is an especially important economic activity in China. Between 1980 and 1997, the Chinese Bureau of Fisheries reports, aquaculture harvests grew at an annual rate of 16.7%, jumping from 1.9 million tonnes to nearly 23 million tonnes. In 2005, China accounted for 70% of world production. Aquaculture is also currently one of the fastest-growing areas of food production in the U.S. About 90% of all U.S. shrimp consumption is farmed and imported. In recent years, salmon aquaculture has become a major export in southern Chile, especially in Puerto Montt, Chile's fastest-growing city. A United Nations report titled The State of the World Fisheries and Aquaculture released in May 2014 maintained fisheries and aquaculture support the livelihoods of some 60 million people in Asia and Africa. FAO estimates that in 2016, overall, women accounted for nearly 14 percent of all people directly engaged in the fisheries and aquaculture primary sector. Over-reporting by China China overwhelmingly dominates the world in reported aquaculture output, reporting a total output which is double that of the rest of the world put together. However, there are some historical issues with the accuracy of China's returns. In 2001, scientists Reg Watson and Daniel Pauly expressed concerns that China was over reporting its catch from wild fisheries in the 1990s. They said that made it appear that the global catch since 1988 was increasing annually by 300,000 tonnes, whereas it was really shrinking annually by 350,000 tonnes. Watson and Pauly suggested this may have been related to Chinese policies where state entities that monitored the economy were also tasked with increasing output. Also, until more recently, the promotion of Chinese officials was based on production increases from their own areas. China disputed this claim. The official Xinhua News Agency quoted Yang Jian, director general of the Agriculture Ministry's Bureau of Fisheries, as saying that China's figures were "basically correct". However, the FAO accepted there were issues with the reliability of China's statistical returns, and for a period treated data from China, including the aquaculture data, apart from the rest of the world. Aquacultural methods Mariculture Mariculture refers to the cultivation of marine organisms in seawater, usually in sheltered coastal or offshore waters. The farming of marine fish is an example of mariculture, and so also is the farming of marine crustaceans (such as shrimp), mollusks (such as oysters), and seaweed. Channel catfish (Ictalurus punctatus), hard clams (Mercenaria mercenaria) and Atlantic salmon (Salmo salar) are prominent in the U.S. mariculture. Mariculture may consist of raising the organisms on or in artificial enclosures such as in floating netted enclosures for salmon and on racks for oysters. In the case of enclosed salmon, they are fed by the operators; oysters on racks filter feed on naturally available food. Abalone have been farmed on an artificial reef consuming seaweed which grows naturally on the reef units. Integrated Integrated multi-trophic aquaculture (IMTA) is a practice in which the byproducts (wastes) from one species are recycled to become inputs (fertilizers, food) for another. Fed aquaculture (for example, fish, shrimp) is combined with inorganic extractive and organic extractive (for example, shellfish) aquaculture to create balanced systems for environmental sustainability (biomitigation), economic stability (product diversification and risk reduction) and social acceptability (better management practices). "Multi-trophic" refers to the incorporation of species from different trophic or nutritional levels in the same system. This is one potential distinction from the age-old practice of aquatic polyculture, which could simply be the co-culture of different fish species from the same trophic level. In this case, these organisms may all share the same biological and chemical processes, with few synergistic benefits, which could potentially lead to significant shifts in the ecosystem. Some traditional polyculture systems may, in fact, incorporate a greater diversity of species, occupying several niches, as extensive cultures (low intensity, low management) within the same pond. A working IMTA system can result in greater total production based on mutual benefits to the co-cultured species and improved ecosystem health, even if the production of individual species is lower than in a monoculture over a short-term period. Sometimes the term "integrated aquaculture" is used to describe the integration of monocultures through water transfer. For all intents and purposes, however, the terms "IMTA" and "integrated aquaculture" differ only in their degree of descriptiveness. Aquaponics, fractionated aquaculture, integrated agriculture-aquaculture systems, integrated peri-urban-aquaculture systems, and integrated fisheries-aquaculture systems are other variations of the IMTA concept. Urban aquaculture Netting materials Various materials, including nylon, polyester, polypropylene, polyethylene, plastic-coated welded wire, rubber, patented rope products (Spectra, Thorn-D, Dyneema), galvanized steel and copper are used for netting in aquaculture fish enclosures around the world. All of these materials are selected for a variety of reasons, including design feasibility, material strength, cost, and corrosion resistance. Recently, copper alloys have become important netting materials in aquaculture because they are antimicrobial (i.e., they destroy bacteria, viruses, fungi, algae, and other microbes) and they therefore prevent biofouling (i.e., the undesirable accumulation, adhesion, and growth of microorganisms, plants, algae, tubeworms, barnacles, mollusks, and other organisms). By inhibiting microbial growth, copper alloy aquaculture cages avoid costly net changes that are necessary with other materials. The resistance of organism growth on copper alloy nets also provides a cleaner and healthier environment for farmed fish to grow and thrive. Issues If performed without consideration for potential local environmental impacts, aquaculture in inland waters can result in more environmental damage than wild fisheries, though with less waste produced per kg on a global scale. Local concerns with aquaculture in inland waters may include waste handling, side-effects of antibiotics, competition between farmed and wild animals, and the potential introduction of invasive plant and animal species, or foreign pathogens, particularly if unprocessed fish are used to feed more marketable carnivorous fish. If non-local live feeds are used, aquaculture may introduce exotic plants or animals with disastrous effects. Improvements in methods resulting from advances in research and the availability of commercial feeds has reduced some of these concerns since their greater prevalence in the 1990s and 2000s . Fish waste is organic and composed of nutrients necessary in all components of aquatic food webs. In-ocean aquaculture often produces much higher than normal fish waste concentrations. The waste collects on the ocean bottom, damaging or eliminating bottom-dwelling life. Waste can also decrease dissolved oxygen levels in the water column, putting further pressure on wild animals. An alternative model to food being added to the ecosystem, is the installation of artificial reef structures to increase the habitat niches available, without the need to add any more than ambient feed and nutrient. This has been used in the "ranching" of abalone in Western Australia. Impacts on wild fish Some carnivorous and omnivorous farmed fish species are fed wild forage fish. Although carnivorous farmed fish represented only 13 percent of aquaculture production by weight in 2000, they represented 34 percent of aquaculture production by value. Farming of carnivorous species like salmon and shrimp leads to a high demand for forage fish to match the nutrition they get in the wild. Fish do not actually produce omega-3 fatty acids, but instead accumulate them from either consuming microalgae that produce these fatty acids, as is the case with forage fish like herring and sardines, or, as is the case with fatty predatory fish, like salmon, by eating prey fish that have accumulated omega-3 fatty acids from microalgae. To satisfy this requirement, more than 50 percent of the world fish oil production is fed to farmed salmon. Farmed salmon consume more wild fish than they generate as a final product, although the efficiency of production is improving. To produce one kilograms of farmed salmon, products from several kilograms of wild fish are fed to them – this can be described as the "fish-in-fish-out" (FIFO) ratio. In 1995, salmon had a FIFO ratio of 7.5 (meaning 7.5 kilograms of wild fish feed were required to produce one kilogram of salmon); by 2006 the ratio had fallen to 4.9. Additionally, a growing share of fish oil and fishmeal come from residues (byproducts of fish processing), rather than dedicated whole fish. In 2012, 34 percent of fish oil and 28 percent of fishmeal came from residues. However, fishmeal and oil from residues instead of whole fish have a different composition with more ash and less protein, which may limit its potential use for aquaculture. As the salmon farming industry expands, it requires more wild forage fish for feed, at a time when seventy-five percent of the world's monitored fisheries are already near to or have exceeded their maximum sustainable yield. The industrial-scale extraction of wild forage fish for salmon farming then impacts the survivability of the wild predator fish who rely on them for food. An important step in reducing the impact of aquaculture on wild fish is shifting carnivorous species to plant-based feeds. Salmon feeds, for example, have gone from containing only fishmeal and oil to containing 40 percent plant protein. The USDA has also experimented with using grain-based feeds for farmed trout. When properly formulated (and often mixed with fishmeal or oil), plant-based feeds can provide proper nutrition and similar growth rates in carnivorous farmed fish. Another impact aquaculture production can have on wild fish is the risk of fish escaping from coastal pens, where they can interbreed with their wild counterparts, diluting wild genetic stocks. Escaped fish can become invasive, out-competing native species. Animal welfare As with the farming of terrestrial animals, social attitudes influence the need for humane practices and regulations in farmed marine animals. Under the guidelines advised by the Farm Animal Welfare Council good animal welfare means both fitness and a sense of well-being in the animal's physical and mental state. This can be defined by the Five Freedoms: Freedom from hunger & thirst Freedom from discomfort Freedom from pain, disease, or injury Freedom to express normal behaviour Freedom from fear and distress However, the controversial issue in aquaculture is whether fish and farmed marine invertebrates are actually sentient, or have the perception and awareness to experience suffering. Although no evidence of this has been found in marine invertebrates, recent studies conclude that fish do have the necessary receptors (nociceptors) to sense noxious stimuli and so are likely to experience states of pain, fear and stress. Consequently, welfare in aquaculture is directed at vertebrates, finfish in particular. Common welfare concerns Welfare in aquaculture can be impacted by a number of issues such as stocking densities, behavioural interactions, disease and parasitism. A major problem in determining the cause of impaired welfare is that these issues are often all interrelated and influence each other at different times. Optimal stocking density is often defined by the carrying capacity of the stocked environment and the amount of individual space needed by the fish, which is very species specific. Although behavioural interactions such as shoaling may mean that high stocking densities are beneficial to some species, in many cultured species high stocking densities may be of concern. Crowding can constrain normal swimming behaviour, as well as increase aggressive and competitive behaviours such as cannibalism, feed competition, territoriality and dominance/subordination hierarchies. This potentially increases the risk of tissue damage due to abrasion from fish-to-fish contact or fish-to-cage contact. Fish can suffer reductions in food intake and food conversion efficiency. In addition, high stocking densities can result in water flow being insufficient, creating inadequate oxygen supply and waste product removal. Dissolved oxygen is essential for fish respiration and concentrations below critical levels can induce stress and even lead to asphyxiation. Ammonia, a nitrogen excretion product, is highly toxic to fish at accumulated levels, particularly when oxygen concentrations are low. Many of these interactions and effects cause stress in the fish, which can be a major factor in facilitating fish disease. For many parasites, infestation depends on the host's degree of mobility, the density of the host population and vulnerability of the host's defence system. Sea lice are the primary parasitic problem for finfish in aquaculture, high numbers causing widespread skin erosion and haemorrhaging, gill congestion, and increased mucus production. There are also a number of prominent viral and bacterial pathogens that can have severe effects on internal organs and nervous systems. Improving welfare The key to improving welfare of marine cultured organisms is to reduce stress to a minimum, as prolonged or repeated stress can cause a range of adverse effects. Attempts to minimise stress can occur throughout the culture process. Understanding and providing required environmental enrichment can be vital for reducing stress and benefit aquaculture objects such as improved growth body condition and reduced damage from aggression. During grow-out it is important to keep stocking densities at appropriate levels specific to each species, as well as separating size classes and grading to reduce aggressive behavioural interactions. Keeping nets and cages clean can assist positive water flow to reduce the risk of water degradation. Not surprisingly disease and parasitism can have a major effect on fish welfare and it is important for farmers not only to manage infected stock but also to apply disease prevention measures. However, prevention methods, such as vaccination, can also induce stress because of the extra handling and injection. Other methods include adding antibiotics to feed, adding chemicals into water for treatment baths and biological control, such as using cleaner wrasse to remove lice from farmed salmon. Many steps are involved in transport, including capture, food deprivation to reduce faecal contamination of transport water, transfer to transport vehicle via nets or pumps, plus transport and transfer to the delivery location. During transport water needs to be maintained to a high quality, with regulated temperature, sufficient oxygen and minimal waste products. In some cases anaesthetics may be used in small doses to calm fish before transport. Aquaculture is sometimes part of an environmental rehabilitation program or as an aid in conserving endangered species. Coastal ecosystems Aquaculture is becoming a significant threat to coastal ecosystems. About 20 percent of mangrove forests have been destroyed since 1980, partly due to shrimp farming. An extended cost–benefit analysis of the total economic value of shrimp aquaculture built on mangrove ecosystems found that the external costs were much higher than the external benefits. Over four decades, of Indonesian mangroves have been converted to shrimp farms. Most of these farms are abandoned within a decade because of the toxin build-up and nutrient loss. Pollution from sea cage aquaculture Salmon farms are typically sited in pristine coastal ecosystems which they then pollute. A farm with 200,000 salmon discharges more fecal waste than a city of 60,000 people. This waste is discharged directly into the surrounding aquatic environment, untreated, often containing antibiotics and pesticides." There is also an accumulation of heavy metals on the benthos (seafloor) near the salmon farms, particularly copper and zinc. In 2016, mass fish kill events impacted salmon farmers along Chile's coast and the wider ecology. Increases in aquaculture production and its associated effluent were considered to be possible contributing factors to fish and molluscan mortality. Sea cage aquaculture is responsible for nutrient enrichment of the waters in which they are established. This results from fish wastes and uneaten feed inputs. Elements of most concern are nitrogen and phosphorus which can promote algal growth, including harmful algal blooms which can be toxic to fish. Flushing times, current speeds, distance from the shore and water depth are important considerations when locating sea cages in order to minimize the impacts of nutrient enrichment on coastal ecosystems. The extent of the effects of pollution from sea-cage aquaculture varies depending on where the cages are located, which species are kept, how densely cages are stocked and what the fish are fed. Important species-specific variables include the species' food conversion ratio (FCR) and nitrogen retention. Freshwater ecosystems Whole-lake experiments carried out at the Experimental Lakes Area in Ontario, Canada, have displayed the potential for cage aquaculture to source numerous changes in freshwater ecosystems. Following the initiation of an experimental rainbow trout cage farm in a small boreal lake, dramatic reductions in mysis concentrations associated with a decrease in dissolved oxygen were observed. Significant increases in ammonium and total phosphorus, a driver for eutrophication in freshwater systems, were measured in the hypolimnion of the lake. Annual phosphorus inputs from aquaculture waste exceeded that of natural inputs from atmospheric deposition and inflows, and phytoplankton biomass has had a fourfold annual increase following the initiation of the experimental farm. Genetic modification A type of salmon called the AquAdvantage salmon has been genetically modified for faster growth, although it has not been approved for commercial use, due to controversy. The altered salmon incorporates a growth hormone from a Chinook salmon that allows it to reach full size in 16–28 months, instead of the normal 36 months for Atlantic salmon, and while consuming 25 percent less feed. The U.S. Food and Drug Administration reviewed the AquAdvantage salmon in a draft environmental assessment and determined that it "would not have a significant impact (FONSI) on the U.S. environment." Fish diseases, parasites and vaccines A major difficulty for aquaculture is the tendency towards monoculture and the associated risk of widespread disease. Aquaculture is also associated with environmental risks; for instance, shrimp farming has caused the destruction of important mangrove forests throughout southeast Asia. In the 1990s, disease wiped out China's farmed Farrer's scallop and white shrimp and required their replacement by other species. Needs of the aquaculture sector in vaccines Aquaculture has an average annual growth rate of 9.2%, however, the success and continued expansion of the fish farming sector is highly dependent on the control of fish pathogens including a wide range of viruses, bacteria, fungi, and parasites. In 2014, it was estimated that these parasites cost the global salmon farming industry up to 400 million Euros. This represents 6–10% of the production value of the affected countries, but it can go up to 20% (Fisheries and Oceans Canada, 2014). Since pathogens quickly spread within a population of cultured fish, their control is vital for the sector. Historically, the use of antibiotics was against bacterial epizootics but the production of animal proteins has to be sustainable, which means that preventive measures that are acceptable from a biological and environmental point of view should be used to keep disease problems in aquaculture at an acceptable level. So, this added to the efficiency of vaccines resulted in an immediate and permanent reduction in the use of antibiotics in the 90s. In the beginning, there were fish immersion vaccines efficient against the vibriosis but proved ineffective against the furunculosis, hence the arrival of injectable vaccines: first water-based and after oil-based, much more efficient (Sommerset, 2005). Development of new vaccines It is the important mortality in cages among farmed fish, the debates around DNA injection vaccines, although effective, their safety and their side effects but also societal expectations for cleaner fish and security, lead research on new vaccine vectors. Several initiatives are financed by the European Union to develop a rapid and cost-effective approach to using bacteria in feed to make vaccines, in particular thanks to lactic bacteria whose DNA is modified (Boudinot, 2006). In fact, vaccinating farmed fish by injection is time-consuming and costly, so vaccines can be administered orally or by immersion by being added to feed or directly into water. This allows vaccinating many individuals at the same time while limiting the associated handling and stress. Indeed, many tests are necessary because the antigens of the vaccines must be adapted to each species or not present a certain level of variability or they will not have any effect. For example, tests have been done with two species: Lepeophtheirus salmonis (from which the antigens were collected) and Caligus rogercresseyi (which was vaccinated with the antigens), although the homology between the two species is important, the level of variability made the protection ineffective (Fisheries and Oceans Canada, 2014). Recent vaccines development in aquaculture There are 24 vaccines available and one for lobsters. The first vaccine was used in the USA against enteric red mouth in 1976. However, there are 19 companies and some small stakeholders are producing vaccines for aquaculture nowadays. The novel approaches are a way forward to prevent the loss of 10% of aquaculture through disease. Genetically modified vaccines are not being used in the EU due to societal concerns and regulations. Meanwhile, DNA vaccines are now authorised in the EU. There are challenges in fish vaccine development, immune response due to lack of potent adjScientists are considering microdose application in future. But there are also exciting opportunities in aquaculture vaccinology due to the low cost of technology, regulations change and novel antigen expression and delivery systems. In Norway subunit vaccine (VP2 peptide) against infectious pancreatic necrosis is being used. In Canada, a licensed DNA vaccine against Infectious hematopoietic necrosis has been launched for industry use. Fish have large mucosal surfaces, so the preferred route is immersion, intraperitoneal and oral respectively. Nanoparticles are in progress for delivery purposes. The common antibodies produced are IgM and IgT. Normally booster is not required ifn Fish because more memory cells are produced in response to the booster rather than an increased level of antibodies. mRNA vaccines are alternative to DNA vaccines because they are more safe, stable, easily producible at a large scale and mass immunization potential. Recently these are used in cancer prevention and therapeutics. Studies in rabies has shown that efficacy depends on dose and route of administration. These are still in infancy. Economic gains In 2014, the aquaculture produced fish overtook wild caught fish, in supply for human food. This means there is a huge demand for vaccines, in prevention of diseases. The reported annual loss fish, calculates to >10 billion USD. This is from approximately 10% of all fishes dying from infectious diseases. The high annual losses increases the demand for vaccines. Even though there are about 24 traditionally used vaccines, there is still demand for more vaccines. The breakthrough of DNA-vaccines has sunk the cost of vaccines. The alternative to vaccines would be antibiotics and chemotherapy, which are more expensive and with bigger drawbacks. DNA-vaccines have become the most cost-efficient method of preventing infectious diseases. This bouts well for DNA-vaccines becoming the new standard both in fish vaccines, and in general vaccines. Salinization/acidification of soils Sediment from abandoned aquaculture farms can remain hypersaline, acidic and eroded. This material can remain unusable for aquaculture purposes for long periods thereafter. Various chemical treatments, such as adding lime, can aggravate the problem by modify the physicochemical characteristics of the sediment. Plastic pollution Aquaculture produces a range of marine debris, depending on the product and location. The most frequently documented type of plastic is expanded polystyrene (EPS), used extensively in floats and sea cage collars (MEPC 2020). Other common waste items include cage nets and plastic harvest bins. A review of aquaculture as a source of marine litter in the North, Baltic and Mediterranean Seas identified 64 different items, 19 of which were unique to aquaculture . Estimates of the amount of aquaculture waste entering the oceans vary widely, depending on the methodologies used. For example, in the European Economic Area loss estimates have varied from a low of 3,000 tonnes to 41,000 tonnes per year. Ecological benefits While some forms of aquaculture can be devastating to ecosystems, such as shrimp farming in mangroves, other forms can be beneficial. Shellfish aquaculture adds substantial filter feeding capacity to an environment which can significantly improve water quality. A single oyster can filter 15 gallons of water a day, removing microscopic algal cells. By removing these cells, shellfish are removing nitrogen and other nutrients from the system and either retaining it or releasing it as waste which sinks to the bottom. By harvesting these shellfish, the nitrogen they retained is completely removed from the system. Raising and harvesting kelp and other macroalgae directly remove nutrients such as nitrogen and phosphorus. Repackaging these nutrients can relieve eutrophic, or nutrient-rich, conditions known for their low dissolved oxygen which can decimate species diversity and abundance of marine life. Removing algal cells from the water also increases light penetration, allowing plants such as eelgrass to reestablish themselves and further increase oxygen levels. Aquaculture in an area can provide for crucial ecological functions for the inhabitants. Shellfish beds or cages can provide habitat structure. This structure can be used as shelter by invertebrates, small fish or crustaceans to potentially increase their abundance and maintain biodiversity. Increased shelter raises stocks of prey fish and small crustaceans by increasing recruitment opportunities in turn providing more prey for higher trophic levels. One study estimated that 10 square meters of oyster reef could enhance an ecosystem's biomass by 2.57 kg Herbivore shellfish will also be preyed on. This moves energy directly from primary producers to higher trophic levels potentially skipping out on multiple energetically costly trophic jumps which would increase biomass in the ecosystem. Seaweed farming is a carbon negative crop, with a high potential for climate change mitigation. The IPCC Special Report on the Ocean and Cryosphere in a Changing Climate recommends "further research attention" as a mitigation tactic. Regenerative ocean farming is a polyculture farming system that grows a mix of seaweeds and shellfish while sequestering carbon, decreasing nitrogen in the water and increasing oxygen, helping to regenerate and restore local habitat like reef ecosystems. Prospects Global wild fisheries are in decline, with valuable habitat such as estuaries in critical condition. The aquaculture or farming of piscivorous fish, like salmon, does not help the problem because they need to eat products from other fish, such as fish meal and fish oil. Studies have shown that salmon farming has major negative impacts on wild salmon, as well as the forage fish that need to be caught to feed them. Fish that are higher on the food chain are less efficient sources of food energy. Apart from fish and shrimp, some aquaculture undertakings, such as seaweed and filter-feeding bivalve mollusks like oysters, clams, mussels and scallops, are relatively benign and even environmentally restorative. Filter-feeders filter pollutants as well as nutrients from the water, improving water quality. Seaweeds extract nutrients such as inorganic nitrogen and phosphorus directly from the water, and filter-feeding mollusks can extract nutrients as they feed on particulates, such as phytoplankton and detritus. Some profitable aquaculture cooperatives promote sustainable practices. New methods lessen the risk of biological and chemical pollution through minimizing fish stress, fallowing netpens, and applying integrated pest management. Vaccines are being used more and more to reduce antibiotic use for disease control. Onshore recirculating aquaculture systems, facilities using polyculture techniques, and properly sited facilities (for example, offshore areas with strong currents) are examples of ways to manage negative environmental effects. Recirculating aquaculture systems (RAS) recycle water by circulating it through filters to remove fish waste and food and then recirculating it back into the tanks. This saves water and the waste gathered can be used in compost or, in some cases, could even be treated and used on land. While RAS was developed with freshwater fish in mind, scientists associated with the Agricultural Research Service have found a way to rear saltwater fish using RAS in low-salinity waters. Although saltwater fish are raised in off-shore cages or caught with nets in water that typically has a salinity of 35 parts per thousand (ppt), scientists were able to produce healthy pompano, a saltwater fish, in tanks with a salinity of only 5 ppt. Commercializing low-salinity RAS are predicted to have positive environmental and economical effects. Unwanted nutrients from the fish food would not be added to the ocean and the risk of transmitting diseases between wild and farm-raised fish would greatly be reduced. The price of expensive saltwater fish, such as the pompano and cobia used in the experiments, would be reduced. However, before any of this can be done researchers must study every aspect of the fish's lifecycle, including the amount of ammonia and nitrate the fish will tolerate in the water, what to feed the fish during each stage of its lifecycle, the stocking rate that will produce the healthiest fish, etc. Some 16 countries now use geothermal energy for aquaculture, including China, Israel, and the United States. In California, for example, 15 fish farms produce tilapia, bass, and catfish with warm water from underground. This warmer water enables fish to grow all year round and mature more quickly. Collectively these California farms produce 4.5 million kilograms of fish each year. Global goals The UN Sustainable Development Goal 14 ("life below water"), Target 14.7 includes aquaculture: "By 2030, increase the economic benefits to small island developing states and least developed countries from the sustainable use of marine resources, including through sustainable management of fisheries, aquaculture and tourism". Aquaculture's contribution to GDP is not included in SDG Target 14.7 but methods for quantifying this have been explored by FAO. National laws, regulations, and management Laws governing aquaculture practices vary greatly by country and are often not closely regulated or easily traceable. In the United States, land-based and nearshore aquaculture is regulated at the federal and state levels; however, no national laws govern offshore aquaculture in U.S. exclusive economic zone waters. In June 2011, the Department of Commerce and National Oceanic and Atmospheric Administration released national aquaculture policies to address this issue and "to meet the growing demand for healthy seafood, to create jobs in coastal communities, and restore vital ecosystems." Large aquaculture facilities (i.e. those producing per year) which discharge wastewater are required to obtain permits pursuant to the Clean Water Act. Facilities that produce at least of fish, molluscs or crustaceans a year are subject to specific national discharge standards. Other permitted facilities are subject to effluent limitations that are developed on a case-by-case basis. By country Aquaculture by Country: History The Gunditjmara, the local Aboriginal Australian people in south-western Victoria, Australia, may have raised short-finned eels as early as about 4,580 BCE. Evidence indicates they developed about of volcanic floodplains in the vicinity of Lake Condah into a complex of channels and dams, and used woven traps to capture eels, and preserve them to eat all year round. The Budj Bim Cultural Landscape, a World Heritage Site, is thought to be one of the oldest aquaculture sites in the world. Oral tradition in China tells of the culture of the common carp, Cyprinus carpio, as long ago as 2000–2100 BCE (around 4,000 years BP), but the earliest significant evidence lies in the literature, in the earliest monograph on fish culture called The Classic of Fish Culture, by Fan Li, written around 475 BCE ( BP). Another ancient Chinese guide to aquaculture was by Yang Yu Jing, written around 460 BCE, showing that carp farming was becoming more sophisticated. The Jiahu site in China has circumstantial archeological evidence as possibly the oldest aquaculture locations, dating from 6200BCE (about 8,200 years BP), but this is speculative. When the waters subsided after river floods, some fish, mainly carp, were trapped in lakes. Early aquaculturists fed their brood using nymphs and silkworm faeces, and ate them. Ancient Egyptians might have farmed fish (especially gilt-head bream) from Lake Bardawil about 1,500 BCE (about 3,500 BP), and they traded them with Canaan. Gim cultivation is the oldest aquaculture in Korea. Early cultivation methods used bamboo or oak sticks, which were replaced by newer methods that utilized nets in the 19th century. Floating rafts have been used for mass production since the 1920s. Japanese cultivated seaweed by providing bamboo poles and, later, nets and oyster shells to serve as anchoring surfaces for spores. Romans bred fish in ponds and farmed oysters in coastal lagoons before 100 CE. In central Europe, early Christian monasteries adopted Roman aquacultural practices. Aquaculture spread in Europe during the Middle Ages since away from the seacoasts and the big rivers, fish had to be salted so they did not rot. Improvements in transportation during the 19th century made fresh fish easily available and inexpensive, even in inland areas, making aquaculture less popular. The 15th-century fishponds of the Trebon Basin in the Czech Republic are maintained as a UNESCO World Heritage Site. Hawaiians constructed oceanic fish ponds. A remarkable example is the "Menehune" fishpond dating from at least 1,000 years ago, at Alekoko. Legend says that it was constructed by the mythical Menehune dwarf people. In the first half of the 18th century, German Stephan Ludwig Jacobi experimented with external fertilization of brown trouts and salmon. He wrote an article "Von der künstlichen Erzeugung der Forellen und Lachse" (On the Artificial Production of Trout and Salmon) summarizing his findings, and is regarded as the founder of artificial fish rearing in Europe. By the latter decades of the 18th century, oyster farming had begun in estuaries along the Atlantic Coast of North America. The word aquaculture appeared in an 1855 newspaper article in reference to the harvesting of ice. It also appeared in descriptions of the terrestrial agricultural practise of sub-irrigation in the late 19th century before becoming associated primarily with the cultivation of aquatic plant and animal species. In 1859, Stephen Ainsworth of West Bloomfield, New York, began experiments with brook trout. By 1864, Seth Green had established a commercial fish-hatching operation at Caledonia Springs, near Rochester, New York. By 1866, with the involvement of Dr. W. W. Fletcher of Concord, Massachusetts, artificial fish hatcheries were underway in both Canada and the United States. When the Dildo Island fish hatchery opened in Newfoundland in 1889, it was the largest and most advanced in the world. The word aquaculture was used in descriptions of the hatcheries experiments with cod and lobster in 1890. By the 1920s, the American Fish Culture Company of Carolina, Rhode Island, founded in the 1870s was one of the leading producers of trout. During the 1940s, they had perfected the method of manipulating the day and night cycle of fish so that they could be artificially spawned year around. Californians harvested wild kelp and attempted to manage supply around 1900, later labeling it a wartime resource. See also Agroecology Alligator farm Certification for Aquaculture Professionals Fisheries science Fishery Industrial aquaculture List of commercially important fish species Maggots used as food for fish Oyster farming Recirculating aquaculture system Resource decoupling References Sources podcast GESAMP (2008) Assessment and communication of environmental risks in coastal aquaculture FAO Reports and Studies No 76. Hepburn, J. 2002. Taking Aquaculture Seriously. Organic Farming, Winter 2002 © Soil Association. The Scottish Association for Marine Science and Napier University. 2002. Review and synthesis of the environmental impacts of aquaculture Higginbotham James Piscinae: Artificial Fishponds in Roman Italy University of North Carolina Press (June 1997) Wyban, Carol Araki (1992) Tide and Current: Fishponds of Hawai'I University of Hawaiʻi Press:: Timmons, M.B., Ebeling, J.M., Wheaton, F.W., Summerfelt, S.T., Vinci, B.J., 2002. Recirculating Aquaculture Systems: 2nd edition. Cayuga Aqua Ventures. Free content work Further reading Holmer, Marianne. Aquaculture in the Ecosystem. Dordrecht, Netherlands: Springer, 2008. Molyneaux, Paul. Swimming in Circles: Aquaculture and the End of Wild Oceans. New York: Thunder’s Mouth Press, 2006. Stickney, Robert R. Aquaculture: An Introductory Text. Oxford, UK; Cambridge, MA: CABI Publishing, 2005. World Bank. Changing the Face of the Waters: The Promise and Challenge of Sustainable Aquaculture. Washington, DC: World Bank, 2007. External links Aquaculture topic page from Woods Hole Oceanographic Institution The Coastal Resources Center NOAA aquaculture The University of Hawaiʻi's AquacultureHub Domesticated animals Buildings and structures used to confine animals Sustainable food system
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https://en.wikipedia.org/wiki/Kolmogorov%20complexity
Kolmogorov complexity
In algorithmic information theory (a subfield of computer science and mathematics), the Kolmogorov complexity of an object, such as a piece of text, is the length of a shortest computer program (in a predetermined programming language) that produces the object as output. It is a measure of the computational resources needed to specify the object, and is also known as algorithmic complexity, Solomonoff–Kolmogorov–Chaitin complexity, program-size complexity, descriptive complexity, or algorithmic entropy. It is named after Andrey Kolmogorov, who first published on the subject in 1963 and is a generalization of classical information theory. The notion of Kolmogorov complexity can be used to state and prove impossibility results akin to Cantor's diagonal argument, Gödel's incompleteness theorem, and Turing's halting problem. In particular, no program P computing a lower bound for each text's Kolmogorov complexity can return a value essentially larger than P's own length (see section ); hence no single program can compute the exact Kolmogorov complexity for infinitely many texts. Definition Consider the following two strings of 32 lowercase letters and digits: abababababababababababababababab , and 4c1j5b2p0cv4w1x8rx2y39umgw5q85s7 The first string has a short English-language description, namely "write ab 16 times", which consists of 17 characters. The second one has no obvious simple description (using the same character set) other than writing down the string itself, i.e., "write 4c1j5b2p0cv4w1x8rx2y39umgw5q85s7" which has 38 characters. Hence the operation of writing the first string can be said to have "less complexity" than writing the second. More formally, the complexity of a string is the length of the shortest possible description of the string in some fixed universal description language (the sensitivity of complexity relative to the choice of description language is discussed below). It can be shown that the Kolmogorov complexity of any string cannot be more than a few bytes larger than the length of the string itself. Strings like the abab example above, whose Kolmogorov complexity is small relative to the string's size, are not considered to be complex. The Kolmogorov complexity can be defined for any mathematical object, but for simplicity the scope of this article is restricted to strings. We must first specify a description language for strings. Such a description language can be based on any computer programming language, such as Lisp, Pascal, or Java. If P is a program which outputs a string x, then P is a description of x. The length of the description is just the length of P as a character string, multiplied by the number of bits in a character (e.g., 7 for ASCII). We could, alternatively, choose an encoding for Turing machines, where an encoding is a function which associates to each Turing Machine M a bitstring <M>. If M is a Turing Machine which, on input w, outputs string x, then the concatenated string <M> w is a description of x. For theoretical analysis, this approach is more suited for constructing detailed formal proofs and is generally preferred in the research literature. In this article, an informal approach is discussed. Any string s has at least one description. For example, the second string above is output by the pseudo-code: function GenerateString2() return "4c1j5b2p0cv4w1x8rx2y39umgw5q85s7" whereas the first string is output by the (much shorter) pseudo-code: function GenerateString1() return "ab" × 16 If a description d(s) of a string s is of minimal length (i.e., using the fewest bits), it is called a minimal description of s, and the length of d(s) (i.e. the number of bits in the minimal description) is the Kolmogorov complexity of s, written K(s). Symbolically, K(s) = |d(s)|. The length of the shortest description will depend on the choice of description language; but the effect of changing languages is bounded (a result called the invariance theorem). Invariance theorem Informal treatment There are some description languages which are optimal, in the following sense: given any description of an object in a description language, said description may be used in the optimal description language with a constant overhead. The constant depends only on the languages involved, not on the description of the object, nor the object being described. Here is an example of an optimal description language. A description will have two parts: The first part describes another description language. The second part is a description of the object in that language. In more technical terms, the first part of a description is a computer program (specifically: a compiler for the object's language, written in the description language), with the second part being the input to that computer program which produces the object as output. The invariance theorem follows: Given any description language L, the optimal description language is at least as efficient as L, with some constant overhead. Proof: Any description D in L can be converted into a description in the optimal language by first describing L as a computer program P (part 1), and then using the original description D as input to that program (part 2). The total length of this new description D′ is (approximately): |D′ | = |P| + |D| The length of P is a constant that doesn't depend on D. So, there is at most a constant overhead, regardless of the object described. Therefore, the optimal language is universal up to this additive constant. A more formal treatment Theorem: If K1 and K2 are the complexity functions relative to Turing complete description languages L1 and L2, then there is a constant c – which depends only on the languages L1 and L2 chosen – such that ∀s. −c ≤ K1(s) − K2(s) ≤ c. Proof: By symmetry, it suffices to prove that there is some constant c such that for all strings s K1(s) ≤ K2(s) + c. Now, suppose there is a program in the language L1 which acts as an interpreter for L2: function InterpretLanguage(string p) where p is a program in L2. The interpreter is characterized by the following property: Running InterpretLanguage on input p returns the result of running p. Thus, if P is a program in L2 which is a minimal description of s, then InterpretLanguage(P) returns the string s. The length of this description of s is the sum of The length of the program InterpretLanguage, which we can take to be the constant c. The length of P which by definition is K2(s). This proves the desired upper bound. History and context Algorithmic information theory is the area of computer science that studies Kolmogorov complexity and other complexity measures on strings (or other data structures). The concept and theory of Kolmogorov Complexity is based on a crucial theorem first discovered by Ray Solomonoff, who published it in 1960, describing it in "A Preliminary Report on a General Theory of Inductive Inference" as part of his invention of algorithmic probability. He gave a more complete description in his 1964 publications, "A Formal Theory of Inductive Inference," Part 1 and Part 2 in Information and Control. Andrey Kolmogorov later independently published this theorem in Problems Inform. Transmission in 1965. Gregory Chaitin also presents this theorem in J. ACM – Chaitin's paper was submitted October 1966 and revised in December 1968, and cites both Solomonoff's and Kolmogorov's papers. The theorem says that, among algorithms that decode strings from their descriptions (codes), there exists an optimal one. This algorithm, for all strings, allows codes as short as allowed by any other algorithm up to an additive constant that depends on the algorithms, but not on the strings themselves. Solomonoff used this algorithm and the code lengths it allows to define a "universal probability" of a string on which inductive inference of the subsequent digits of the string can be based. Kolmogorov used this theorem to define several functions of strings, including complexity, randomness, and information. When Kolmogorov became aware of Solomonoff's work, he acknowledged Solomonoff's priority. For several years, Solomonoff's work was better known in the Soviet Union than in the Western World. The general consensus in the scientific community, however, was to associate this type of complexity with Kolmogorov, who was concerned with randomness of a sequence, while Algorithmic Probability became associated with Solomonoff, who focused on prediction using his invention of the universal prior probability distribution. The broader area encompassing descriptional complexity and probability is often called Kolmogorov complexity. The computer scientist Ming Li considers this an example of the Matthew effect: "...to everyone who has, more will be given..." There are several other variants of Kolmogorov complexity or algorithmic information. The most widely used one is based on self-delimiting programs, and is mainly due to Leonid Levin (1974). An axiomatic approach to Kolmogorov complexity based on Blum axioms (Blum 1967) was introduced by Mark Burgin in the paper presented for publication by Andrey Kolmogorov. Basic results In the following discussion, let K(s) be the complexity of the string s. It is not hard to see that the minimal description of a string cannot be too much larger than the string itself — the program GenerateString2 above that outputs s is a fixed amount larger than s. Theorem: There is a constant c such that ∀s. K(s) ≤ |s| + c. Uncomputability of Kolmogorov complexity A naive attempt at a program to compute K At first glance it might seem trivial to write a program which can compute K(s) for any s, such as the following: function KolmogorovComplexity(string s) for i = 1 to infinity: for each string p of length exactly i if isValidProgram(p) and evaluate(p) == s return i This program iterates through all possible programs (by iterating through all possible strings and only considering those which are valid programs), starting with the shortest. Each program is executed to find the result produced by that program, comparing it to the input s. If the result matches then the length of the program is returned. However this will not work because some of the programs p tested will not terminate, e.g. if they contain infinite loops. There is no way to avoid all of these programs by testing them in some way before executing them due to the non-computability of the halting problem. What is more, no program at all can compute the function K, be it ever so sophisticated. This is proven in the following. Formal proof of uncomputability of K Theorem: There exist strings of arbitrarily large Kolmogorov complexity. Formally: for each natural number n, there is a string s with K(s) ≥ n. Proof: Otherwise all of the infinitely many possible finite strings could be generated by the finitely many programs with a complexity below n bits. Theorem: K is not a computable function. In other words, there is no program which takes any string s as input and produces the integer K(s) as output. The following proof by contradiction uses a simple Pascal-like language to denote programs; for sake of proof simplicity assume its description (i.e. an interpreter) to have a length of bits. Assume for contradiction there is a program function KolmogorovComplexity(string s) which takes as input a string s and returns K(s). All programs are of finite length so, for sake of proof simplicity, assume it to be bits. Now, consider the following program of length bits: function GenerateComplexString() for i = 1 to infinity: for each string s of length exactly i if KolmogorovComplexity(s) ≥ 8000000000 return s Using KolmogorovComplexity as a subroutine, the program tries every string, starting with the shortest, until it returns a string with Kolmogorov complexity at least bits, i.e. a string that cannot be produced by any program shorter than bits. However, the overall length of the above program that produced s is only bits, which is a contradiction. (If the code of KolmogorovComplexity is shorter, the contradiction remains. If it is longer, the constant used in GenerateComplexString can always be changed appropriately.) The above proof uses a contradiction similar to that of the Berry paradox: "The smallest positive integer that cannot be defined in fewer than twenty English words". It is also possible to show the non-computability of K by reduction from the non-computability of the halting problem H, since K and H are Turing-equivalent. There is a corollary, humorously called the "full employment theorem" in the programming language community, stating that there is no perfect size-optimizing compiler. Chain rule for Kolmogorov complexity The chain rule for Kolmogorov complexity states that K(X,Y) = K(X) + K(Y|X) + O(log(K(X,Y))). It states that the shortest program that reproduces X and Y is no more than a logarithmic term larger than a program to reproduce X and a program to reproduce Y given X. Using this statement, one can define an analogue of mutual information for Kolmogorov complexity. Compression It is straightforward to compute upper bounds for K(s) – simply compress the string s with some method, implement the corresponding decompressor in the chosen language, concatenate the decompressor to the compressed string, and measure the length of the resulting string – concretely, the size of a self-extracting archive in the given language. A string s is compressible by a number c if it has a description whose length does not exceed |s| − c bits. This is equivalent to saying that K(s) ≤ |s| − c. Otherwise, s is incompressible by c. A string incompressible by 1 is said to be simply incompressible – by the pigeonhole principle, which applies because every compressed string maps to only one uncompressed string, incompressible strings must exist, since there are 2n bit strings of length n, but only 2n − 1 shorter strings, that is, strings of length less than n, (i.e. with length 0, 1, ..., n − 1). For the same reason, most strings are complex in the sense that they cannot be significantly compressed – their K(s) is not much smaller than |s|, the length of s in bits. To make this precise, fix a value of n. There are 2n bitstrings of length n. The uniform probability distribution on the space of these bitstrings assigns exactly equal weight 2−n to each string of length n. Theorem: With the uniform probability distribution on the space of bitstrings of length n, the probability that a string is incompressible by c is at least 1 − 2−c+1 + 2−n. To prove the theorem, note that the number of descriptions of length not exceeding n − c is given by the geometric series: 1 + 2 + 22 + ... + 2n − c = 2n−c+1 − 1. There remain at least 2n − 2n−c+1 + 1 bitstrings of length n that are incompressible by c. To determine the probability, divide by 2n. Chaitin's incompleteness theorem By the above theorem (), most strings are complex in the sense that they cannot be described in any significantly "compressed" way. However, it turns out that the fact that a specific string is complex cannot be formally proven, if the complexity of the string is above a certain threshold. The precise formalization is as follows. First, fix a particular axiomatic system S for the natural numbers. The axiomatic system has to be powerful enough so that, to certain assertions A about complexity of strings, one can associate a formula FA in S. This association must have the following property: If FA is provable from the axioms of S, then the corresponding assertion A must be true. This "formalization" can be achieved based on a Gödel numbering. Theorem: There exists a constant L (which only depends on S and on the choice of description language) such that there does not exist a string s for which the statementK(s) ≥ L       (as formalized in S) can be proven within S. Proof Idea: The proof of this result is modeled on a self-referential construction used in Berry's paradox. We firstly obtain a program which enumerates the proofs within S and we specify a procedure P which takes as an input an integer L and prints the strings x which are within proofs within S of the statement K(x) ≥ L. By then setting L to greater than the length of this procedure P, we have that the required length of a program to print x as stated in K(x) ≥ L as being at least L is then less than the amount L since the string x was printed by the procedure P. This is a contradiction. So it is not possible for the proof system S to prove K(x) ≥ L for L arbitrarily large, in particular, for L larger than the length of the procedure P, (which is finite). Proof: We can find an effective enumeration of all the formal proofs in S by some procedure function NthProof(int n) which takes as input n and outputs some proof. This function enumerates all proofs. Some of these are proofs for formulas we do not care about here, since every possible proof in the language of S is produced for some n. Some of these are complexity formulas of the form K(s) ≥ n where s and n are constants in the language of S. There is a procedure function NthProofProvesComplexityFormula(int n) which determines whether the nth proof actually proves a complexity formula K(s) ≥ L. The strings s, and the integer L in turn, are computable by procedure: function StringNthProof(int n) function ComplexityLowerBoundNthProof(int n) Consider the following procedure: function GenerateProvablyComplexString(int n) for i = 1 to infinity: if NthProofProvesComplexityFormula(i) and ComplexityLowerBoundNthProof(i) ≥ n return StringNthProof(i) Given an n, this procedure tries every proof until it finds a string and a proof in the formal system S of the formula K(s) ≥ L for some L ≥ n; if no such proof exists, it loops forever. Finally, consider the program consisting of all these procedure definitions, and a main call: GenerateProvablyComplexString(n0) where the constant n0 will be determined later on. The overall program length can be expressed as U+log2(n0), where U is some constant and log2(n0) represents the length of the integer value n0, under the reasonable assumption that it is encoded in binary digits. We will choose n0 to be greater than the program length, that is, such that n0 > U+log2(n0). This is clearly true for n0 sufficiently large, because the left hand side grows linearly in n0 whilst the right hand side grows logarithmically in n0 up to the fixed constant U. Then no proof of the form "K(s)≥L" with L≥n0 can be obtained in S, as can be seen by an indirect argument: If ComplexityLowerBoundNthProof(i) could return a value ≥n0, then the loop inside GenerateProvablyComplexString would eventually terminate, and that procedure would return a string s such that This is a contradiction, Q.E.D. As a consequence, the above program, with the chosen value of n0, must loop forever. Similar ideas are used to prove the properties of Chaitin's constant. Minimum message length The minimum message length principle of statistical and inductive inference and machine learning was developed by C.S. Wallace and D.M. Boulton in 1968. MML is Bayesian (i.e. it incorporates prior beliefs) and information-theoretic. It has the desirable properties of statistical invariance (i.e. the inference transforms with a re-parametrisation, such as from polar coordinates to Cartesian coordinates), statistical consistency (i.e. even for very hard problems, MML will converge to any underlying model) and efficiency (i.e. the MML model will converge to any true underlying model about as quickly as is possible). C.S. Wallace and D.L. Dowe (1999) showed a formal connection between MML and algorithmic information theory (or Kolmogorov complexity). Kolmogorov randomnessKolmogorov randomness defines a string (usually of bits) as being random if and only if every computer program that can produce that string is at least as long as the string itself. To make this precise, a universal computer (or universal Turing machine) must be specified, so that "program" means a program for this universal machine. A random string in this sense is "incompressible" in that it is impossible to "compress" the string into a program that is shorter than the string itself. For every universal computer, there is at least one algorithmically random string of each length. Whether a particular string is random, however, depends on the specific universal computer that is chosen. This is because a universal computer can have a particular string hard-coded in itself, and a program running on this universal computer can then simply refer to this hard-coded string using a short sequence of bits (i.e. much shorter than the string itself). This definition can be extended to define a notion of randomness for infinite sequences from a finite alphabet. These algorithmically random sequences can be defined in three equivalent ways. One way uses an effective analogue of measure theory; another uses effective martingales. The third way defines an infinite sequence to be random if the prefix-free Kolmogorov complexity of its initial segments grows quickly enough — there must be a constant c such that the complexity of an initial segment of length n is always at least n−c. This definition, unlike the definition of randomness for a finite string, is not affected by which universal machine is used to define prefix-free Kolmogorov complexity. Relation to entropy For dynamical systems, entropy rate and algorithmic complexity of the trajectories are related by a theorem of Brudno, that the equality holds for almost all . It can be shown that for the output of Markov information sources, Kolmogorov complexity is related to the entropy of the information source. More precisely, the Kolmogorov complexity of the output of a Markov information source, normalized by the length of the output, converges almost surely (as the length of the output goes to infinity) to the entropy of the source. Conditional versions The conditional Kolmogorov complexity of two strings is, roughly speaking, defined as the Kolmogorov complexity of x given y as an auxiliary input to the procedure. There is also a length-conditional complexity , which is the complexity of x given the length of x'' as known/input. See also Berry paradox Code golf Data compression Descriptive complexity theory Grammar induction Inductive reasoning Kolmogorov structure function Levenshtein distance Solomonoff's theory of inductive inference Sample entropy Notes References Further reading External links The Legacy of Andrei Nikolaevich Kolmogorov Chaitin's online publications Solomonoff's IDSIA page Generalizations of algorithmic information by J. Schmidhuber Tromp's lambda calculus computer model offers a concrete definition of K()] Universal AI based on Kolmogorov Complexity by M. Hutter: David Dowe's Minimum Message Length (MML) and Occam's razor pages. Computability theory Descriptive complexity Measures of complexity Computational complexity theory
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https://en.wikipedia.org/wiki/April%2028
April 28
Events Pre-1600 224 – The Battle of Hormozdgan is fought. Ardashir I defeats and kills Artabanus V effectively ending the Parthian Empire. 357 – Emperor Constantius II enters Rome for the first time to celebrate his victory over Magnus Magnentius. 1192 – Assassination of Conrad of Montferrat (Conrad I), King of Jerusalem, in Tyre, two days after his title to the throne is confirmed by election. The killing is carried out by Hashshashin. 1253 – Nichiren, a Japanese Buddhist monk, propounds Namu Myōhō Renge Kyō for the very first time and declares it to be the essence of Buddhism, in effect founding Nichiren Buddhism. 1294 – Temür, grandson of Kublai, is elected Khagan of the Mongols with the reigning title Oljeitu. 1503 – The Battle of Cerignola is fought. It is noted as one of the first European battles in history won by small arms fire using gunpowder. 1601–1900 1611 – Establishment of the Pontifical and Royal University of Santo Tomas, The Catholic University of the Philippines, the largest Catholic university in the world. 1625 – A combined Spanish and Portuguese fleet of 52 ships commences the recapture of Bahia from the Dutch during the Dutch–Portuguese War. 1758 – The Marathas defeat the Afghans in the Battle of Attock and capture the city. 1788 – Maryland becomes the seventh state to ratify the United States Constitution. 1789 – Mutiny on the Bounty: Lieutenant William Bligh and 18 sailors are set adrift and the rebel crew returns to Tahiti briefly and then sets sail for Pitcairn Island. 1792 – France invades the Austrian Netherlands (present day Belgium and Luxembourg), beginning the French Revolutionary Wars. 1794 – Sardinians, headed by Giovanni Maria Angioy, start a revolution against the Savoy domination, expelling Viceroy Balbiano and his officials from Cagliari, the capital and largest city of the island. 1796 – The Armistice of Cherasco is signed by Napoleon Bonaparte and Vittorio Amedeo III, King of Sardinia, expanding French territory along the Mediterranean coast. 1869 – Chinese and Irish laborers for the Central Pacific Railroad working on the First transcontinental railroad lay ten miles of track in one day, a feat which has never been matched. 1881 – Billy the Kid escapes from the Lincoln County jail in Mesilla, New Mexico. 1887 – A week after being arrested by the Prussian Secret Police, French police inspector Guillaume Schnaebelé is released on order of William I, German Emperor, defusing a possible war. 1901–present 1910 – Frenchman Louis Paulhan wins the 1910 London to Manchester air race, the first long-distance aeroplane race in the United Kingdom. 1920 – The Azerbaijan Soviet Socialist Republic is founded. 1923 – Wembley Stadium is opened, named initially as the Empire Stadium. 1930 – The Independence Producers hosted the first night game in the history of Organized Baseball in Independence, Kansas. 1941 – The Ustaše massacre nearly 200 Serbs in the village of Gudovac, the first massacre of their genocidal campaign against Serbs of the Independent State of Croatia. 1944 – World War II: Nine German E-boats attacked US and UK units during Exercise Tiger, the rehearsal for the Normandy landings, killing 946. 1945 – Benito Mussolini and his mistress Clara Petacci are shot dead by Walter Audisio, a member of the Italian resistance movement. 1945 – The Holocaust: Nazi Germany carries out its final use of gas chambers to execute 33 Upper Austrian socialist and communist leaders in Mauthausen concentration camp. 1947 – Thor Heyerdahl and five crew mates set out from Peru on the Kon-Tiki to demonstrate that Peruvian natives could have settled Polynesia. 1948 – Igor Stravinsky conducted the premiere of his American ballet, Orpheus at the New York City Center. 1949 – The Hukbalahap are accused of assassinating former First Lady of the Philippines Aurora Quezon, while she is en route to dedicate a hospital in memory of her late husband; her daughter and ten others are also killed. 1952 – Dwight D. Eisenhower resigns as Supreme Allied Commander of NATO in order to campaign in the 1952 United States presidential election. 1952 – The Treaty of San Francisco comes into effect, restoring Japanese sovereignty and ending its state of war with most of the Allies of World War II. 1952 – The Sino-Japanese Peace Treaty (Treaty of Taipei) is signed in Taipei, Taiwan between Japan and the Republic of China to officially end the Second Sino-Japanese War. 1965 – United States occupation of the Dominican Republic: American troops land in the Dominican Republic to "forestall establishment of a Communist dictatorship" and to evacuate U.S. Army troops. 1967 – Vietnam War: Boxer Muhammad Ali refuses his induction into the United States Army and is subsequently stripped of his championship and license. 1969 – Charles de Gaulle resigns as President of France. 1970 – Vietnam War: U.S. President Richard Nixon formally authorizes American combat troops to take part in the Cambodian campaign. 1973 – The Dark Side of the Moon by Pink Floyd, recorded in Abbey Road Studios goes to number one on the US Billboard chart, beginning a record-breaking 741-week chart run. 1975 – General Cao Văn Viên, chief of the South Vietnamese military, departs for the US as the North Vietnamese Army closes in on victory. 1977 – The Red Army Faction trial ends, with Andreas Baader, Gudrun Ensslin and Jan-Carl Raspe found guilty of four counts of murder and more than 30 counts of attempted murder. 1978 – The President of Afghanistan, Mohammed Daoud Khan, is overthrown and assassinated in a coup led by pro-communist rebels. 1986 – High levels of radiation resulting from the Chernobyl disaster are detected at a nuclear power plant in Sweden, leading Soviet authorities to publicly announce the accident. 1988 – Near Maui, Hawaii, flight attendant Clarabelle "C.B." Lansing is blown out of Aloha Airlines Flight 243, a Boeing 737, and falls to her death when part of the plane's fuselage rips open in mid-flight. 1994 – Former Central Intelligence Agency counterintelligence officer and analyst Aldrich Ames pleads guilty to giving U.S. secrets to the Soviet Union and later Russia. 1996 – Whitewater controversy: President Bill Clinton gives a 4 hour videotaped testimony for the defense. 1996 – Port Arthur massacre, Tasmania: A gunman, Martin Bryant, opens fire at the Broad Arrow Cafe in Port Arthur, Tasmania, killing 35 people and wounding 23 others. 2004 – CBS News released evidence of the Abu Ghraib torture and prisoner abuse. The photographs show rape and abuse from the American troops over Iraqi detainees. Births Pre-1600 AD 32 – Otho, Roman emperor (d. 69 AD) 1402 – Nezahualcoyotl, Acolhuan philosopher, warrior, poet and ruler (d. 1472) 1442 – Edward IV, king of England (d. 1483) 1545 – Yi Sun-sin, Korean commander (d. 1598) 1573 – Charles de Valois, Duke of Angoulême, son of Charles IX (d. 1650) 1601–1900 1604 – Joris Jansen Rapelje, Dutch settler in colonial North America (d. 1662) 1623 – Wilhelmus Beekman, Dutch politician (d. 1707) 1630 – Charles Cotton, English poet and author (d. 1687) 1676 – Frederick I, prince consort and king of Sweden (d. 1751) 1715 – Franz Sparry, Austrian composer and educator (d. 1767) 1758 – James Monroe, American soldier, lawyer, and politician, 5th President of the United States (d. 1831) 1761 – Marie Harel, French cheesemaker (d. 1844) 1765 – Sylvestre François Lacroix, French mathematician and academic (d. 1834) 1819 – Ezra Abbot, American scholar and academic (d. 1884) 1827 – William Hall, Canadian soldier, Victoria Cross recipient (d. 1904) 1838 – Tobias Asser, Dutch lawyer and scholar, Nobel Prize laureate (d. 1913) 1848 – Ludvig Schytte, Danish pianist, composer, and educator (d. 1909) 1854 – Hertha Marks Ayrton, Polish-British engineer, mathematician, and physicist. (d. 1923) 1855 – José Malhoa, Portuguese painter (d. 1933) 1863 – Josiah Thomas, English-Australian miner and politician, 7th Australian Minister for Foreign Affairs (d. 1933) 1863 – Nikolai von Meck, Russian engineer (d. 1929) 1865 – Charles W. Woodworth, American entomologist and academic (d. 1940) 1868 – Lucy Booth, English composer (d. 1953) 1868 – Georgy Voronoy, Ukrainian-Russian mathematician and academic (d. 1908) 1874 – Karl Kraus, Austrian journalist and author (d. 1936) 1874 – Sidney Toler, American actor and director (d. 1947) 1876 – Nicola Romeo, Italian engineer and businessman (d. 1938) 1878 – Lionel Barrymore, American actor and director (d. 1954) 1886 – Erich Salomon, German-born news photographer (d. 1944) 1886 – Art Shaw, American hurdler (d. 1955) 1888 – Walter Tull, English footballer and soldier (d. 1918) 1889 – António de Oliveira Salazar, Portuguese economist and politician, 100th Prime Minister of Portugal (d. 1970) 1896 – Na Hye-sok, South Korean journalist, poet, and painter (d. 1948) 1896 – Tristan Tzara, Romanian-French poet and critic (d. 1963) 1897 – Ye Jianying, Chinese general and politician, Head of State of the People's Republic of China (d. 1986) 1900 – Alice Berry, Australian activist (d. 1978) 1900 – Heinrich Müller, German SS officer (d. 1945) 1900 – Jan Oort, Dutch astronomer and academic (d. 1992) 1901–present 1901 – H. B. Stallard, English runner and surgeon (d. 1973) 1902 – Johan Borgen, Norwegian author and critic (d. 1979) 1906 – Kurt Gödel, Czech-American mathematician, philosopher, and academic (d. 1978) 1906 – Paul Sacher, Swiss conductor and philanthropist (d. 1999) 1908 – Ethel Catherwood, American-Canadian high jumper and javelin thrower (d. 1987) 1908 – Jack Fingleton, Australian cricketer, journalist, and sportscaster (d. 1981) 1908 – Oskar Schindler, Czech-German businessman (d. 1974) 1909 – Arthur Võõbus, Estonian-American theologist and orientalist (d. 1988) 1910 – Sam Merwin, Jr., American author (d. 1996) 1911 – Lee Falk, American director, producer, and playwright (d. 1999) 1912 – Odette Hallowes, French soldier and spy (d. 1995) 1912 – Kaneto Shindō, Japanese director, producer, and screenwriter (d. 2012) 1913 – Rose Murphy, American singer (d. 1989) 1914 – Michel Mohrt, French author, historian (d. 2011) 1916 – Ferruccio Lamborghini, Italian businessman, created Lamborghini (d. 1993) 1917 – Robert Cornthwaite, American actor (d. 2006) 1921 – Rowland Evans, American soldier, journalist, and author (d. 2001) 1921 – Simin Daneshvar, Iranian author and academic (d. 2012) 1923 – Carolyn Cassady, American author (d. 2013) 1923 – William Guarnere, American sergeant (d. 2014) 1924 – Dick Ayers, American author and illustrator (d. 2014) 1924 – Blossom Dearie, American singer and pianist (d. 2009) 1924 – Kenneth Kaunda, Zambian educator and politician, first president of Zambia (d. 2021) 1925 – T. John Lesinski, American judge and politician, 51st Lieutenant Governor of Michigan (d. 1996) 1925 – John Leonard Thorn, English lieutenant, author, and academic (d. 2023) 1926 – James Bama, American artist and illustrator (d. 2022) 1926 – Bill Blackbeard, American historian and author (d. 2011) 1926 – Harper Lee, American novelist (d. 2016) 1926 – Hulusi Sayın, Turkish general (d. 1991) 1928 – Yves Klein, French painter (d. 1962) 1928 – Eugene Merle Shoemaker, American geologist and astronomer (d. 1997) 1930 – James Baker, American lawyer and politician, 61st United States Secretary of State 1930 – Carolyn Jones, American actress (d. 1983) 1933 – Miodrag Radulovacki, Serbian-American neuropharmacologist and academic (d. 2014) 1934 – Lois Duncan, American journalist and author (d. 2016) 1935 – Pedro Ramos, Cuban baseball player 1935 – Jimmy Wray, Scottish boxer and politician (d. 2013) 1936 – Tariq Aziz, Iraqi journalist and politician, Iraqi Minister of Foreign Affairs (d. 2015) 1937 – Saddam Hussein, Iraqi general and politician, 5th President of Iraq (d. 2006) 1937 – Jean Redpath, Scottish singer-songwriter (d. 2014) 1937 – John White, Scottish international footballer (d. 1964) 1938 – Madge Sinclair, Jamaican-American actress (d. 1995) 1941 – Ann-Margret, Swedish-American actress, singer, and dancer 1941 – Lucien Aimar, French cyclist 1941 – John Madejski, English businessman and academic 1941 – Karl Barry Sharpless, American chemist and academic, Nobel Prize laureate 1941 – Iryna Zhylenko, Ukrainian poet and author (d. 2013) 1942 – Mike Brearley, English cricketer and psychoanalyst 1943 – Aryeh Bibi, Iraqi-born Israeli politician 1944 – Elizabeth LeCompte, American director and producer 1944 – Jean-Claude Van Cauwenberghe, Belgian politician, 10th Minister-President of Wallonia 1944 – Alice Waters, American chef and author 1946 – Nour El-Sherif, Egyptian actor and producer (d. 2015) 1946 – Ginette Reno, Canadian singer-songwriter and actress 1946 – Larissa Grunig, American theorist and activist 1947 – Christian Jacq, French historian and author 1947 – Nicola LeFanu, English composer and academic 1947 – Steve Khan, American jazz guitarist 1948 – Terry Pratchett, English journalist, author, and screenwriter (d. 2015) 1948 – Marcia Strassman, American actress and singer (d. 2014) 1949 – Jeremy Cooke, English lawyer and judge 1949 – Paul Guilfoyle, American actor 1949 – Bruno Kirby, American actor and director (d. 2006) 1950 – Willie Colón, Puerto Rican-American trombonist and producer 1950 – Jay Leno, American comedian, talk show host, and producer 1950 – Steve Rider, English journalist and sportscaster 1951 – Tim Congdon, English economist and politician 1951 – Larry Smith, Canadian football player and politician 1952 – Chuck Leavell, American singer-songwriter and keyboard player 1952 – Mary McDonnell, American actress 1953 – Roberto Bolaño, Chilean novelist, short-story writer, poet, and essayist (d. 2003) 1953 – Kim Gordon, American singer-songwriter, guitarist, and producer 1953 – Brian Greenhoff, English footballer and coach (d. 2013) 1954 – Timothy Curley, American educator 1954 – Michael P. Jackson, American politician, 3rd Deputy Secretary of Homeland Security 1954 – Vic Sotto, Filipino actor-producer, singer-songwriter, comedian and television personality 1954 – Ron Zook, American football player and coach 1955 – Saeb Erekat, Chief Palestinian negotiator (d. 2020) 1955 – Eddie Jobson, English keyboard player and violinist 1955 – Dieter Rubach, German bass player 1956 – Jimmy Barnes, Scottish-Australian singer-songwriter and guitarist 1957 – Wilma Landkroon, Dutch singer 1958 – Hal Sutton, American golfer 1960 – Tom Browning, American baseball player 1960 – Elena Kagan, American lawyer and jurist, Associate Justice of the Supreme Court of the United States 1960 – Phil King, English bass player 1960 – Ian Rankin, Scottish author 1960 – Jón Páll Sigmarsson, Icelandic strongman and weightlifter (d. 1993) 1960 – Walter Zenga, Italian footballer and manager 1963 – Sandrine Dumas, French actress, director, and screenwriter 1963 – Lloyd Eisler, Canadian figure skater and coach 1963 – Marc Lacroix, Belgian biochemist and academic 1964 – Stephen Ames, Trinidadian golfer 1964 – Noriyuki Iwadare, Japanese composer 1964 – Ajay Kakkar, Baron Kakkar, English surgeon and academic 1964 – Barry Larkin, American baseball player, manager, and sportscaster 1964 – L'Wren Scott, American model and fashion designer (d. 2014) 1965 – Jennifer Rardin, American author (d. 2010) 1966 – John Daly, American golfer 1966 – Too Short, American rapper, producer and actor 1967 – Chris White, English engineer and politician 1968 – Howard Donald, English singer-songwriter and producer 1968 – Andy Flower, South-African-Zimbabwean cricketer and coach 1969 – LeRon Perry Ellis, American basketball player 1970 – Richard Fromberg, Australian tennis player 1970 – Nicklas Lidström, Swedish ice hockey player and scout 1970 – Diego Simeone, Argentinian footballer and manager 1971 – Brad McEwan, Australian journalist 1971 – Bridget Moynahan, American actress 1972 – Violent J, American rapper 1972 – Helena Tulve, Estonian composer 1972 – Jean-Paul van Gastel, Dutch footballer and manager 1973 – Jorge Garcia, American actor and producer 1973 – Earl Holmes, American football player and coach 1973 – Andrew Mehrtens, South African-New Zealand rugby player 1974 – Penélope Cruz, Spanish actress and producer 1974 – Margo Dydek, Polish basketball player and coach (d. 2011) 1974 – Richel Hersisia, Dutch boxer 1974 – Vernon Kay, English radio and television host 1974 – Dominic Matteo, Scottish footballer and journalist 1975 – Michael Walchhofer, Austrian skier 1976 – Shane Jurgensen, Australian cricketer 1977 – Titus O'Neil, American wrestler and football player 1978 – Lauren Laverne, English singer and television and radio host 1978 – Robert Oliveri, American actor 1978 – Nate Richert, American actor 1979 – Scott Fujita, American football player and sportscaster 1980 – Bradley Wiggins, English cyclist 1981 – Jessica Alba, American model and actress 1981 – Pietro Travagli, Italian rugby player 1982 – Nikki Grahame, English model and journalist (d. 2021) 1982 – Chris Kaman, American basketball player 1983 – Josh Brookes, Australian motorcycle racer 1983 – David Freese, American baseball player 1983 – Roger Johnson, English footballer 1983 – Graham Wagg, English cricketer 1983 – Thomas Waldrom, New Zealand-English rugby player 1984 – Dmitri Torbinski, Russian footballer 1985 – Lucas Jakubczyk, German sprinter and long jumper 1985 – Deividas Stagniūnas, Lithuanian ice dancer 1986 – Roman Polák, Czech ice hockey player 1986 – Jenna Ushkowitz, Korean-American actress, singer, and dancer 1987 – Ryan Conroy, Scottish footballer 1987 – Daequan Cook, American basketball player 1987 – Drew Gulak, American wrestler 1987 – Samantha Ruth Prabhu, Indian actress and model 1987 – Bradley Johnson, English footballer 1987 – Zoran Tošić, Serbian footballer 1988 – Jonathan Biabiany, French footballer 1988 – Juan Manuel Mata, Spanish footballer 1988 – Katariina Tuohimaa, Finnish tennis player 1989 – Emil Salomonsson, Swedish footballer 1989 – Kim Sung-kyu, South Korean singer 1990 – Niels-Peter Mørck, Danish footballer 1992 – Blake Bortles, American football player 1992 – DeMarcus Lawrence, American football player 1993 – Matt Chapman, American baseball player 1993 – Craig Garvey, Australian rugby league player 1993 – Eva Samková, Czech snowboarder 1995 – Jonathan Benteke, Belgian footballer 1995 – Melanie Martinez, American singer 1997 – Denzel Ward, American football player 1998 – Song Yu-bin, South Korean singer and actor Deaths Pre-1600 224 – Artabanus IV of Parthia (b. 191) 948 – Hu Jinsi, Chinese general and prefect 988 – Adaldag, archbishop of Bremen 992 – Jawhar as-Siqilli, Fatimid statesman 1109 – Abbot Hugh of Cluny (b. 1024) 1192 – Conrad of Montferrat (b. 1140) 1197 – Rhys ap Gruffydd, prince of Deheubarth (b. 1132) 1257 – Shajar al-Durr, sovereign sultana of Egypt 1260 – Luchesius Modestini, founding member of the Third Order of St. Francis 1400 – Baldus de Ubaldis, Italian jurist (b. 1327) 1489 – Henry Percy, 4th Earl of Northumberland, English politician (b. 1449) 1533 – Nicholas West, English bishop and diplomat (b. 1461) 1601–1900 1643 – Francisco de Lucena, Portuguese politician (b. 1578) 1710 – Thomas Betterton, English actor and manager (b. 1630) 1716 – Louis de Montfort, French priest and saint (b. 1673) 1726 – Thomas Pitt, English merchant and politician (b. 1653) 1741 – Magnus Julius De la Gardie, Swedish general and politician (b. 1668) 1772 – Johann Friedrich Struensee, German physician and politician (b. 1737) 1781 – Cornelius Harnett, American merchant, farmer, and politician (b. 1723) 1813 – Mikhail Kutuzov, Russian field marshal (b. 1745) 1816 – Johann Heinrich Abicht, German philosopher, author, and academic (b. 1762) 1841 – Peter Chanel, French priest, missionary, and martyr (b. 1803) 1853 – Ludwig Tieck, German author and poet (b. 1773) 1858 – Johannes Peter Müller, German physiologist and anatomist (b. 1801) 1865 – Samuel Cunard, Canadian-English businessman, founded Cunard Line (b. 1787) 1881 – Antoine Samuel Adam-Salomon, French sculptor and photographer (b. 1818) 1883 – John Russell, English hunter and dog breeder (b. 1795) 1901–present 1902 – Cyprien Tanguay, Canadian priest and historian (b. 1819) 1903 – Josiah Willard Gibbs, American scientist (b. 1839) 1905 – Fitzhugh Lee, American general and politician, 40th Governor of Virginia (b. 1835) 1921 – Maurice Moore (Irish republican), executed member of the Irish Republican Army (b. 1894) 1925 – Richard Butler, English-Australian politician, 23rd Premier of South Australia (b. 1850) 1928 – May Jordan McConnel, Australian trade unionist and suffragist (b. 1860) 1929 – Hendrik van Heuckelum, Dutch footballer (b. 1879) 1936 – Fuad I of Egypt (b. 1868) 1939 – Anne Walter Fearn, American physician (b. 1867) 1944 – Mohammed Alim Khan, Manghud ruler (b. 1880) 1944 – Frank Knox, American journalist and politician, 46th United States Secretary of the Navy (b. 1874) 1945 – Roberto Farinacci, Italian soldier and politician (b. 1892) 1945 – Hermann Fegelein, German general (b. 1906) 1945 – Benito Mussolini, Italian journalist and politician, 27th Prime Minister of Italy (b. 1883) 1946 – Louis Bachelier, French mathematician and academic (b. 1870) 1954 – Léon Jouhaux, French union leader, Nobel Prize laureate (b. 1879) 1956 – Fred Marriott, American race car driver (b. 1872) 1957 – Heinrich Bär, German colonel and pilot (b. 1913) 1962 – Bennie Osler, South African rugby player (b. 1901) 1963 – Wilhelm Weber, German gymnast (b. 1880) 1970 – Ed Begley, American actor (b. 1901) 1973 – Clas Thunberg, Finnish speed skater (b. 1893) 1976 – Richard Hughes, American author and poet (b. 1900) 1977 – Ricardo Cortez, American actor (b. 1900) 1977 – Sepp Herberger, German footballer and coach (b. 1897) 1978 – Mohammed Daoud Khan, Afghan commander and politician, 1st President of Afghanistan (b. 1909) 1980 – Tommy Caldwell, American bass player (b. 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2012 – Al Ecuyer, American football player (b. 1937) 2012 – Patricia Medina, English actress (b. 1919) 2012 – Milan N. 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Ingelido, American general (b. 1916) 2016 – Jenny Diski, English author and screenwriter (b. 1947) 2017 – Mariano Gagnon, American Catholic priest and author (b. 1929) 2018 – James Hylton, American race car driver (b. 1934) 2019 – Richard Lugar, American politician (b. 1932) 2019 – John Singleton, American film director (b. 1968) 2021 – Michael Collins, American astronaut (b. 1930) 2021 – El Risitas, Spanish comedian (b. 1956) Holidays and observances Christian feast day: Aphrodisius and companions Gianna Beretta Molla Kirill of Turov (Orthodox, added to Roman Martyrology in 1969) Louis de Montfort Pamphilus of Sulmona Peter Chanel Vitalis and Valeria of Milan April 28 (Eastern Orthodox liturgics) Mujahideen Victory Day (Afghanistan) National Heroes Day (Barbados) Restoration of Sovereignty Day (Japan) Sardinia Day (Sardinia) Workers' Memorial Day and World Day for Safety and Health at Work (international) National Day of Mourning (Canada) References External links BBC: On This Day Historical Events on April 28 Days of the year April
1640
https://en.wikipedia.org/wiki/Alfred%20the%20Great
Alfred the Great
Alfred the Great (also spelled Ælfred; – 26 October 899) was King of the West Saxons from 871 to 886, and King of the Anglo-Saxons from 886 until his death in 899. He was the youngest son of King Æthelwulf and his first wife Osburh, who both died when Alfred was young. Three of Alfred's brothers, Æthelbald, Æthelberht and Æthelred, reigned in turn before him. Under Alfred's rule, considerable administrative and military reforms were introduced, prompting lasting change in England. After ascending the throne, Alfred spent several years fighting Viking invasions. He won a decisive victory in the Battle of Edington in 878 and made an agreement with the Vikings, dividing England between Anglo-Saxon territory and the Viking-ruled Danelaw, composed of Scandinavian York, the north-east Midlands and East Anglia. Alfred also oversaw the conversion of Viking leader Guthrum to Christianity. He defended his kingdom against the Viking attempt at conquest, becoming the dominant ruler in England. Alfred began styling himself as "King of the Anglo-Saxons" after reoccupying London from the Vikings. Details of his life are described in a work by 9th-century Welsh scholar and bishop Asser. Alfred had a reputation as a learned and merciful man of a gracious and level-headed nature who encouraged education, proposing that primary education be conducted in English, rather than Latin, and improving the legal system and military structure and his people's quality of life. He was given the epithet "the Great" in the 16th century and is the only English monarch to be labelled as such. Family Alfred was a son of Æthelwulf, king of Wessex, and his wife Osburh. According to his biographer, Asser, writing in 893, "In the year of our Lord's Incarnation 849 Alfred, King of the Anglo-Saxons", was born at the royal estate called Wantage, in the district known as Berkshire (which is so called from Berroc Wood, where the box tree grows very abundantly)." This date has been accepted by the editors of Asser's biography, Simon Keynes and Michael Lapidge, and by other historians such as David Dumville and Richard Huscroft. West Saxon genealogical lists state that Alfred was 23 when he became king in April 871, implying that he was born between April 847 and April 848. This dating is adopted in the biography of Alfred by Alfred Smyth, who regards Asser's biography as fraudulent, an allegation which is rejected by other historians. Richard Abels in his biography discusses both sources but does not decide between them and dates Alfred's birth as 847/849, while Patrick Wormald in his Oxford Dictionary of National Biography article dates it 848/849. Berkshire had been historically disputed between Wessex and the midland kingdom of Mercia, and as late as 844, a charter showed that it was part of Mercia, but Alfred's birth in the county is evidence that, by the late 840s, control had passed to Wessex. He was the youngest of six children. His eldest brother, Æthelstan, was old enough to be appointed sub-king of Kent in 839, almost 10 years before Alfred was born. He died in the early 850s. Alfred's next three brothers were successively kings of Wessex. Æthelbald (858–60) and Æthelberht (860–65) were also much older than Alfred, but Æthelred (865–71) was only a year or two older. Alfred's only known sister, Æthelswith, married Burgred, king of Mercia in 853. Most historians think that Osburh was the mother of all Æthelwulf's children, but some suggest that the older ones were born to an unrecorded first wife. Osburh was descended from the rulers of the Isle of Wight. She was described by Alfred's biographer Asser as "a most religious woman, noble by temperament and noble by birth". She had died by 856 when Æthelwulf married Judith, daughter of Charles the Bald, king of West Francia. In 868, Alfred married Ealhswith, daughter of the Mercian nobleman Æthelred Mucel, ealdorman of the Gaini, and his wife Eadburh, who was of royal Mercian descent. Their children were Æthelflæd, who married Æthelred, Lord of the Mercians; Edward the Elder, Alfred's successor as king; Æthelgifu, abbess of Shaftesbury; Ælfthryth, who married Baldwin, count of Flanders; and Æthelweard. Background Alfred's grandfather, Ecgberht, became king of Wessex in 802, and in the view of the historian Richard Abels, it must have seemed very unlikely to contemporaries that he would establish a lasting dynasty. For 200 years, three families had fought for the West Saxon throne, and no son had followed his father as king. No ancestor of Ecgberht had been a king of Wessex since Ceawlin in the late sixth century, but he was believed to be a paternal descendant of Cerdic, the founder of the West Saxon dynasty. This made Ecgberht an ætheling – a prince eligible for the throne. But after Ecgberht's reign, descent from Cerdic was no longer sufficient to make a man an ætheling. When Ecgberht died in 839, he was succeeded by his son Æthelwulf; all subsequent West Saxon kings were descendants of Ecgberht and Æthelwulf, and were also sons of kings. At the beginning of the ninth century, England was almost wholly under the control of the Anglo-Saxons. Mercia dominated southern England, but its supremacy came to an end in 825 when it was decisively defeated by Ecgberht at the Battle of Ellendun. The two kingdoms became allies, which was important in the resistance to Viking attacks. In 853, King Burgred of Mercia requested West Saxon help to suppress a Welsh rebellion, and Æthelwulf led a West Saxon contingent in a successful joint campaign. In the same year Burgred married Æthelwulf's daughter, Æthelswith. In 825, Ecgberht sent Æthelwulf to invade the Mercian sub-kingdom of Kent, and its sub-king, Baldred, was driven out shortly afterwards. By 830, Essex, Surrey and Sussex had submitted to Ecgberht, and he had appointed Æthelwulf to rule the south-eastern territories as king of Kent. The Vikings ravaged the Isle of Sheppey in 835, and the following year they defeated Ecgberht at Carhampton in Somerset, but in 838 he was victorious over an alliance of Cornishmen and Vikings at the Battle of Hingston Down, reducing Cornwall to the status of a client kingdom. When Æthelwulf succeeded, he appointed his eldest son Æthelstan as sub-king of Kent. Ecgberht and Æthelwulf may not have intended a permanent union between Wessex and Kent because they both appointed sons as sub-kings, and charters in Wessex were attested (witnessed) by West Saxon magnates, while Kentish charters were witnessed by the Kentish elite; both kings kept overall control, and the sub-kings were not allowed to issue their own coinage. Viking raids increased in the early 840s on both sides of the English Channel, and in 843 Æthelwulf was defeated at Carhampton. In 850, Æthelstan defeated a Danish fleet off Sandwich in the first recorded naval battle in English history. In 851 Æthelwulf and his second son, Æthelbald, defeated the Vikings at the Battle of Aclea and, according to the Anglo-Saxon Chronicle, "there made the greatest slaughter of a heathen raiding-army that we have heard tell of up to this present day, and there took the victory". Æthelwulf died in 858 and was succeeded by his oldest surviving son, Æthelbald, as king of Wessex and by his next oldest son, Æthelberht, as king of Kent. Æthelbald only survived his father by two years, and Æthelberht then for the first time united Wessex and Kent into a single kingdom. Childhood According to Asser, in his childhood Alfred won a beautifully decorated book of English poetry, offered as a prize by his mother to the first of her sons able to memorise it. He must have had it read to him because his mother died when he was about six and he did not learn to read until he was 12. In 853, Alfred is reported by the Anglo-Saxon Chronicle to have been sent to Rome where he was confirmed by Pope Leo IV, who "anointed him as king". Victorian writers later interpreted this as an anticipatory coronation in preparation for his eventual succession to the throne of Wessex. This is unlikely; his succession could not have been foreseen at the time because Alfred had three living elder brothers. A letter of Leo IV shows that Alfred was made a "consul" and a misinterpretation of this investiture, deliberate or accidental, could explain later confusion. It may be based upon the fact that Alfred later accompanied his father on a pilgrimage to Rome where he spent some time at the court of Charles the Bald, king of the Franks, around 854–855. On their return from Rome in 856, Æthelwulf was deposed by his son Æthelbald. With civil war looming, the magnates of the realm met in council to form a compromise. Æthelbald retained the western shires (i.e. historical Wessex), and Æthelwulf ruled in the east. After King Æthelwulf died in 858, Wessex was ruled by three of Alfred's brothers in succession: Æthelbald, Æthelberht and Æthelred. The reigns of Alfred's brothers Alfred is not mentioned during the short reigns of his older brothers Æthelbald and Æthelberht. The Anglo-Saxon Chronicle describes the Great Heathen Army of Danes landing in East Anglia with the intent of conquering the four kingdoms which constituted Anglo-Saxon England in 865. Alfred's public life began in 865 at age 16 with the accession of his third brother, 18-year-old Æthelred. During this period, Bishop Asser gave Alfred the unique title of secundarius, which may indicate a position similar to the Celtic tanist, a recognised successor closely associated with the reigning monarch. This arrangement may have been sanctioned by Alfred's father or by the Witan to guard against the danger of a disputed succession should Æthelred fall in battle. It was a well known tradition among other Germanic peoples – such as the Swedes and Franks to whom the Anglo-Saxons were closely related – to crown a successor as royal prince and military commander. Viking invasion In 868, Alfred was recorded as fighting beside Æthelred in a failed attempt to keep the Great Heathen Army led by Ivar the Boneless out of the adjoining Kingdom of Mercia. The Danes arrived in his homeland at the end of 870, and nine engagements were fought in the following year, with mixed results; the places and dates of two of these battles have not been recorded. A successful skirmish at the Battle of Englefield in Berkshire on 31 December 870 was followed by a severe defeat at the siege and the Battle of Reading by Ivar's brother Halfdan Ragnarsson on 5 January 871. Four days later, the Anglo-Saxons won a victory at the Battle of Ashdown on the Berkshire Downs, possibly near Compton or Aldworth. The Saxons were defeated at the Battle of Basing on 22 January. They were defeated again on 22 March at the Battle of Merton (perhaps Marden in Wiltshire or Martin in Dorset). Æthelred died shortly afterwards in April. King at war Early struggles In April 871 King Æthelred died and Alfred acceded to the throne of Wessex and the burden of its defence, even though Æthelred left two under-age sons, Æthelhelm and Æthelwold. This was in accordance with the agreement that Æthelred and Alfred had made earlier that year in an assembly at an unidentified place called Swinbeorg. The brothers had agreed that whichever of them outlived the other would inherit the personal property that King Æthelwulf had left jointly to his sons in his will. The deceased's sons would receive only whatever property and riches their father had settled upon them and whatever additional lands their uncle had acquired. The unstated premise was that the surviving brother would be king. Given the Danish invasion and the youth of his nephews, Alfred's accession probably went uncontested. While he was busy with the burial ceremonies for his brother, the Danes defeated the Saxon army in his absence at an unnamed spot and then again in his presence at Wilton in May. The defeat at Wilton smashed any remaining hope that Alfred could drive the invaders from his kingdom. Alfred was forced instead to make peace with them. Although the terms of the peace are not recorded, Bishop Asser wrote that the pagans agreed to vacate the realm and made good their promise. The Viking army withdrew from Reading in the autumn of 871 to take up winter quarters in Mercian London. Although not mentioned by Asser or by the Anglo-Saxon Chronicle, Alfred probably paid the Vikings silver to leave, much as the Mercians were to do in the following year. Hoards dating to the Viking occupation of London in 871/872 have been excavated at Croydon, Gravesend and Waterloo Bridge. These finds hint at the cost involved in making peace with the Vikings. For the next five years, the Danes occupied other parts of England. In 876, under Guthrum, Oscetel and Anwend, the Danes slipped past the Saxon army and attacked and occupied Wareham in Dorset. Alfred blockaded them but was unable to take Wareham by assault. He negotiated a peace that involved an exchange of hostages and oaths, which the Danes swore on a "holy ring" associated with the worship of Thor. The Danes broke their word, and after killing all the hostages, slipped away under cover of night to Exeter in Devon. Alfred blockaded the Viking ships in Devon, and with a relief fleet having been scattered by a storm, the Danes were forced to submit. The Danes withdrew to Mercia. In January 878, the Danes made a sudden attack on Chippenham, a royal stronghold in which Alfred had been staying over Christmas "and most of the people they killed, except the King Alfred, and he with a little band made his way by wood and swamp, and after Easter he made a fort at Athelney in the marshes of Somerset, and from that fort kept fighting against the foe". From his fort at Athelney, an island in the marshes near North Petherton, Alfred was able to mount a resistance campaign, rallying the local militias from Somerset, Wiltshire and Hampshire. 878 was the nadir of the history of the Anglo-Saxon kingdoms. With all the other kingdoms having fallen to the Vikings, Wessex alone was resisting. The cake legend A legend tells how when Alfred first fled to the Somerset Levels, he was given shelter by a peasant woman who, unaware of his identity, left him to watch some wheaten cakes she had left cooking on the fire. Preoccupied with the problems of his kingdom, Alfred accidentally let the cakes burn and was roundly scolded by the woman upon her return. There is no contemporary evidence for the legend, but it is possible that there was an early oral tradition. The first known written account of the incident is from about 100 years after Alfred's death. Counter-attack and victory In the seventh week after Easter (4–10 May 878), around Whitsuntide, Alfred rode to Egbert's Stone east of Selwood where he was met by "all the people of Somerset and of Wiltshire and of that part of Hampshire which is on this side of the sea (that is, west of Southampton Water), and they rejoiced to see him". Alfred's emergence from his marshland stronghold was part of a carefully planned offensive that entailed raising the fyrds of three shires. This meant not only that the king had retained the loyalty of ealdormen, royal reeves and king's thegns, who were charged with levying and leading these forces, but that they had maintained their positions of authority in these localities well enough to answer his summons to war. Alfred's actions also suggest a system of scouts and messengers. Alfred won a decisive victory in the ensuing Battle of Edington which may have been fought near Westbury, Wiltshire. He then pursued the Danes to their stronghold at Chippenham and starved them into submission. One of the terms of the surrender was that Guthrum convert to Christianity. Three weeks later, the Danish king and 29 of his chief men were baptised at Alfred's court at Aller, near Athelney, with Alfred receiving Guthrum as his spiritual son. According to Asser, At Wedmore, Alfred and Guthrum negotiated what some historians have called the Treaty of Wedmore, but it was to be some years after the cessation of hostilities that a formal treaty was signed. Under the terms of the so-called Treaty of Wedmore, the converted Guthrum was required to leave Wessex and return to East Anglia. Consequently, in 879 the Viking army left Chippenham and made its way to Cirencester. The formal Treaty of Alfred and Guthrum, preserved in Old English in Corpus Christi College, Cambridge (Manuscript 383), and in a Latin compilation known as Quadripartitus, was negotiated later, perhaps in 879 or 880, when King Ceolwulf II of Mercia was deposed. That treaty divided up the kingdom of Mercia. By its terms, the boundary between Alfred's and Guthrum's kingdoms was to run up the River Thames to the River Lea, follow the Lea to its source (near Luton), from there extend in a straight line to Bedford, and from Bedford follow the River Ouse to Watling Street. Alfred succeeded to Ceolwulf's kingdom consisting of western Mercia, and Guthrum incorporated the eastern part of Mercia into an enlarged Kingdom of East Anglia (henceforward known as the Danelaw). By terms of the treaty, moreover, Alfred was to have control over the Mercian city of London and its mints—at least for the time being. In 825, the Anglo-Saxon Chronicle had recorded that the people of Essex, Sussex, Kent and Surrey surrendered to Egbert, Alfred's grandfather. From then until the arrival of the Great Heathen Army, Essex had formed part of Wessex. After the foundation of Danelaw, it appears that some of Essex would have been ceded to the Danes, but how much is not clear. 880s With the signing of the Treaty of Alfred and Guthrum, an event most commonly held to have taken place around 880 when Guthrum's people began settling East Anglia, Guthrum was neutralised as a threat. The Viking army, which had stayed at Fulham during the winter of 878–879, sailed for Ghent and was active on the continent from 879 to 892. There were local raids on the coast of Wessex throughout the 880s. In 882, Alfred fought a small sea battle against four Danish ships. Two of the ships were destroyed, and the others surrendered. This was one of four sea battles recorded in the Anglo-Saxon Chronicle, three of which involved Alfred. Similar small skirmishes with independent Viking raiders would have occurred for much of the period as they had for decades. In 883, Pope Marinus exempted the Saxon quarter in Rome from taxation, probably in return for Alfred's promise to send alms annually to Rome, which may be the origin of the medieval tax called Peter's Pence. The pope sent gifts to Alfred, including what was reputed to be a piece of the True Cross. After the signing of the treaty with Guthrum, Alfred was spared any large-scale conflicts for some time. Despite this relative peace, the king was forced to deal with a number of Danish raids and incursions. Among these was a raid in Kent, an allied kingdom in South East England, during the year 885, which was possibly the largest raid since the battles with Guthrum. Asser's account of the raid places the Danish raiders at the Saxon city of Rochester, where they built a temporary fortress in order to besiege the city. In response to this incursion, Alfred led an Anglo-Saxon force against the Danes who, instead of engaging the army of Wessex, fled to their beached ships and sailed to another part of Britain. The retreating Danish force supposedly left Britain the following summer. Not long after the failed Danish raid in Kent, Alfred dispatched his fleet to East Anglia. The purpose of this expedition is debated, but Asser claims that it was for the sake of plunder. After travelling up the River Stour, the fleet was met by Danish vessels that numbered 13 or 16 (sources vary on the number), and a battle ensued. The Anglo-Saxon fleet emerged victorious, and as Henry of Huntingdon writes, "laden with spoils". The victorious fleet was surprised when attempting to leave the River Stour and was attacked by a Danish force at the mouth of the river. The Danish fleet defeated Alfred's fleet, which may have been weakened in the previous engagement. King of the Anglo-Saxons A year later, in 886, Alfred reoccupied the city of London and set out to make it habitable again. Alfred entrusted the city to the care of his son-in-law Æthelred, ealdorman of Mercia. Soon afterwards, Alfred restyled himself as "King of the Anglo-Saxons". The restoration of London progressed through the latter half of the 880s and is believed to have revolved around a new street plan; added fortifications in addition to the existing Roman walls; and, some believe, the construction of matching fortifications on the south bank of the River Thames. This is also the period in which almost all chroniclers agree that the Saxon people of pre-unification England submitted to Alfred. In 888, Æthelred, the archbishop of Canterbury, also died. One year later Guthrum, or Athelstan by his baptismal name, Alfred's former enemy and king of East Anglia, died and was buried in Hadleigh, Suffolk. Guthrum's death changed the political landscape for Alfred. The resulting power vacuum stirred other power-hungry warlords eager to take his place in the following years. Viking attacks (890s) After another lull, in the autumn of 892 or 893, the Danes attacked again. Finding their position in mainland Europe precarious, they crossed to England in 330 ships in two divisions. They entrenched themselves, the larger body at Appledore, Kent, and the lesser under Hastein, at Milton, also in Kent. The invaders brought their wives and children with them, indicating a meaningful attempt at conquest and colonisation. Alfred, in 893 or 894, took up a position from which he could observe both forces. While he was in talks with Hastein, the Danes at Appledore broke out and struck north-westwards. They were overtaken by Alfred's eldest son Edward, and were defeated at the Battle of Farnham in Surrey. They took refuge on an island at Thorney, on the River Colne between Buckinghamshire and Middlesex, where they were blockaded and forced to give hostages and promise to leave Wessex. They then went to Essex and after suffering another defeat at Benfleet, joined with Hastein's force at Shoebury. Alfred had been on his way to relieve his son at Thorney when he heard that the Northumbrian and East Anglian Danes were besieging Exeter and an unnamed stronghold on the North Devon shore. Alfred at once hurried westward and raised the Siege of Exeter. The fate of the other place is not recorded. The force under Hastein set out to march up the Thames Valley, possibly with the idea of assisting their friends in the west. They were met by a large force under the three great ealdormen of Mercia, Wiltshire and Somerset and forced to head off to the north-west, being finally overtaken and blockaded at Buttington. (Some identify this with Buttington Tump at the mouth of the River Wye, others with Buttington near Welshpool.) An attempt to break through the English lines failed. Those who escaped retreated to Shoebury. After collecting reinforcements, they made a sudden dash across England and occupied the ruined Roman walls of Chester. The English did not attempt a winter blockade but contented themselves with destroying all the supplies in the district. Early in 894 or 895 lack of food obliged the Danes to retire once more to Essex. At the end of the year, the Danes drew their ships up the River Thames and the River Lea and fortified themselves north of London. A frontal attack on the Danish lines failed but later in the year, Alfred saw a means of obstructing the river to prevent the egress of the Danish ships. The Danes realised that they were outmanoeuvred, struck off north-westwards and wintered at Cwatbridge near Bridgnorth. The next year, 896 (or 897), they gave up the struggle. Some retired to Northumbria, some to East Anglia. Those who had no connections in England returned to the continent. Military reorganisation The Germanic tribes who invaded Britain in the fifth and sixth centuries relied upon the unarmoured infantry supplied by their tribal levy, or fyrd, and it was upon this system that the military power of the several kingdoms of early Anglo-Saxon England depended. The fyrd was a local militia in the Anglo-Saxon shire in which all freemen had to serve; those who refused military service were subject to fines or loss of their land. According to the law code of King Ine of Wessex, issued in , Wessex's history of failures preceding Alfred's success in 878 emphasised to him that the traditional system of battle he had inherited played to the Danes' advantage. While the Anglo-Saxons and the Danes attacked settlements for plunder, they employed different tactics. In their raids the Anglo-Saxons traditionally preferred to attack head-on by assembling their forces in a shield wall, advancing against their target and overcoming the oncoming wall marshalled against them in defence. The Danes preferred to choose easy targets, mapping cautious forays to avoid risking their plunder with high-stake attacks for more. Alfred determined their tactic was to launch small attacks from a secure base to which they could retreat should their raiders meet strong resistance. The bases were prepared in advance, often by capturing an estate and augmenting its defences with ditches, ramparts and palisades. Once inside the fortification, Alfred realised, the Danes enjoyed the advantage, better situated to outlast their opponents or crush them with a counter-attack because the provisions and stamina of the besieging forces waned. The means by which the Anglo-Saxons marshalled forces to defend against marauders also left them vulnerable to the Vikings. It was the responsibility of the shire fyrd to deal with local raids. The king could call up the national militia to defend the kingdom but in the case of the Viking raids, problems with communication and raising supplies meant that the national militia could not be mustered quickly enough. It was only after the raids had begun that a call went out to landowners to gather their men for battle. Large regions could be devastated before the fyrd could assemble and arrive. Although the landowners were obliged to the king to supply these men when called, during the attacks in 878 many of them abandoned their king and collaborated with Guthrum. With these lessons in mind Alfred capitalised on the relatively peaceful years following his victory at Edington with an ambitious restructuring of Saxon defences. On a trip to Rome Alfred had stayed with Charles the Bald, and it is possible that he may have studied how the Carolingian kings had dealt with Viking raiders. Learning from their experiences he was able to establish a system of taxation and defence for Wessex. There had been a system of fortifications in pre-Viking Mercia that may have been an influence. When the Viking raids resumed in 892 Alfred was better prepared to confront them with a standing, mobile field army, a network of garrisons and a small fleet of ships navigating the rivers and estuaries. Administration and taxation Tenants in Anglo-Saxon England had a threefold obligation based on their landholding: the so-called "common burdens" of military service, fortress work, and bridge repair. This threefold obligation has traditionally been called trinoda necessitas or trimoda necessitas. The Old English name for the fine due for neglecting military service was . To maintain the burhs, and to reorganise the fyrd as a standing army, Alfred expanded the tax and conscription system based on the productivity of a tenant's landholding. The hide was the basic unit of the system on which the tenant's public obligations were assessed. A hide is thought to represent the amount of land required to support one family. The hide differed in size according to the value and resources of the land and the landowner would have to provide service based on how many hides he owned. Burghal system The foundation of Alfred's new military defence system was a network of burhs, distributed at tactical points throughout the kingdom. There were thirty-three burhs, about apart, enabling the military to confront attacks anywhere in the kingdom within a day. Alfred's burhs (of which 22 developed into boroughs) ranged from former Roman towns, such as Winchester, where the stone walls were repaired and ditches added, to massive earthen walls surrounded by wide ditches, probably reinforced with wooden revetments and palisades, such as at Burpham in West Sussex. The size of the burhs ranged from tiny outposts such as Pilton in Devon, to large fortifications in established towns, the largest being at Winchester. A document now known as the Burghal Hidage provides an insight into how the system worked. It lists the hidage for each of the fortified towns contained in the document. Wallingford had a hidage of 2,400, which meant that the landowners there were responsible for supplying and feeding 2,400 men, the number sufficient for maintaining of wall. A total of 27,071 soldiers were needed, approximately one in four of all the free men in Wessex. Many of the burhs were twin towns that straddled a river and were connected by a fortified bridge, like those built by Charles the Bald a generation before. The double-burh blocked passage on the river, forcing Viking ships to navigate under a garrisoned bridge lined with men armed with stones, spears or arrows. Other burhs were sited near fortified royal villas, allowing the king better control over his strongholds. The burhs were connected by a road system maintained for army use (known as herepaths). The roads allowed an army quickly to be assembled, sometimes from more than one burh, to confront the Viking invader. The road network posed significant obstacles to Viking invaders, especially those laden with booty. The system threatened Viking routes and communications making it far more dangerous for them. The Vikings lacked the equipment for a siege against a burh and a developed doctrine of siegecraft, having tailored their methods of fighting to rapid strikes and unimpeded retreats to well-defended fortifications. The only means left to them was to starve the burh into submission but this gave the king time to send his field army or garrisons from neighbouring burhs along the army roads. In such cases, the Vikings were extremely vulnerable to pursuit by the king's joint military forces. Alfred's burh system posed such a formidable challenge against Viking attack that when the Vikings returned in 892 and stormed a half-built, poorly garrisoned fortress up the Lympne estuary in Kent, the Anglo-Saxons were able to limit their penetration to the outer frontiers of Wessex and Mercia. Alfred's burghal system was revolutionary in its strategic conception and potentially expensive in its execution. His contemporary biographer Asser wrote that many nobles balked at the demands placed upon them even though they were for "the common needs of the kingdom". English navy Alfred also tried his hand at naval design. In 896 he ordered the construction of a small fleet, perhaps a dozen or so longships that, at 60 oars, were twice the size of Viking warships. This was not, as the Victorians asserted, the birth of the English Navy. Wessex had possessed a royal fleet before this. Alfred's older brother sub-king Æthelstan of Kent and Ealdorman Ealhhere had defeated a Viking fleet in 851 capturing nine ships and Alfred had conducted naval actions in 882. The year 897 marked an important development in the naval power of Wessex. The author of the Anglo-Saxon Chronicle related that Alfred's ships were larger, swifter, steadier and rode higher in the water than either Danish or Frisian ships. It is probable that, under the classical tutelage of Asser, Alfred used the design of Greek and Roman warships, with high sides, designed for fighting rather than for navigation. Alfred had seapower in mind; if he could intercept raiding fleets before they landed, he could spare his kingdom from being ravaged. Alfred's ships may have been superior in conception, but in practice they proved to be too large to manoeuvre well in the close waters of estuaries and rivers, the only places in which a naval battle could be fought. The warships of the time were not designed to be ship killers but rather troop carriers. It has been suggested that, like sea battles in late Viking age Scandinavia, these battles may have entailed a ship coming alongside an opposing vessel, lashing the two ships together and then boarding the craft. The result was a land battle involving hand-to-hand fighting on board the two lashed vessels. In the one recorded naval engagement in 896, Alfred's new fleet of nine ships intercepted six Viking ships at the mouth of an unidentified river in the south of England. The Danes had beached half their ships and gone inland. Alfred's ships immediately moved to block their escape. The three Viking ships afloat attempted to break through the English lines. Only one made it; Alfred's ships intercepted the other two. Lashing the Viking boats to their own, the English crew boarded and proceeded to kill the Vikings. One ship escaped because Alfred's heavy ships became grounded when the tide went out. A land battle ensued between the crews. The Danes were heavily outnumbered, but as the tide rose, they returned to their boats which, with shallower drafts, were freed first. The English watched as the Vikings rowed past them but they suffered so many casualties (120 dead against 62 Frisians and English) that they had difficulty putting out to sea. All were too damaged to row around Sussex, and two were driven against the Sussex coast (possibly at Selsey Bill). The shipwrecked crew were brought before Alfred at Winchester and hanged. Legal reform In the late 880s or early 890s, Alfred issued a long domboc or law code consisting of his own laws, followed by a code issued by his late seventh-century predecessor King Ine of Wessex. Together these laws are arranged into 120 chapters. In his introduction Alfred explains that he gathered together the laws he found in many "synod-books" and "ordered to be written many of the ones that our forefathers observed—those that pleased me; and many of the ones that did not please me, I rejected with the advice of my councillors, and commanded them to be observed in a different way". Alfred singled out in particular the laws that he "found in the days of Ine, my kinsman, or Offa, king of the Mercians, or King Æthelberht of Kent who first among the English people received baptism". He appended, rather than integrated, the laws of Ine into his code and although he included, as had Æthelbert, a scale of payments in compensation for injuries to various body parts, the two injury tariffs are not aligned. Offa is not known to have issued a law code, leading historian Patrick Wormald to speculate that Alfred had in mind the legatine capitulary of 786 that was presented to Offa by the papal legate George of Ostia. About a fifth of the law code is taken up by Alfred's introduction which includes translations into English of the Ten Commandments, a few chapters from the Book of Exodus, and the Apostolic Letter from the Acts of the Apostles (15:23–29). The introduction may best be understood as Alfred's meditation upon the meaning of Christian law. It traces the continuity between God's gift of law to Moses to Alfred's own issuance of law to the West Saxon people. By doing so, it linked the holy past to the historical present and represented Alfred's law-giving as a type of divine legislation. Similarly Alfred divided his code into 120 chapters because 120 was the age at which Moses died and, in the number-symbolism of early medieval biblical exegetes, 120 stood for law. The link between Mosaic law and Alfred's code is the Apostolic Letter which explained that Christ "had come not to shatter or annul the commandments but to fulfill them; and he taught mercy and meekness" (Intro, 49.1). The mercy that Christ infused into Mosaic law underlies the injury tariffs that figure so prominently in barbarian law codes since Christian synods "established, through that mercy which Christ taught, that for almost every misdeed at the first offence secular lords might with their permission receive without sin the monetary compensation which they then fixed". The only crime that could not be compensated with a payment of money was treachery to a lord "since Almighty God adjudged none for those who despised Him, nor did Christ, the Son of God, adjudge any for the one who betrayed Him to death; and He commanded everyone to love his lord as Himself". Alfred's transformation of Christ's commandment, from "Love your neighbour as yourself" (Matt. 22:39–40) to love your secular lord as you would love the Lord Christ himself, underscores the importance that Alfred placed upon lordship which he understood as a sacred bond instituted by God for the governance of man. When one turns from the domboc introduction to the laws themselves, it is difficult to uncover any logical arrangement. The impression is of a hodgepodge of miscellaneous laws. The law code, as it has been preserved, is singularly unsuitable for use in lawsuits. In fact, several of Alfred's laws contradicted the laws of Ine that form an integral part of the code. Patrick Wormald's explanation is that Alfred's law code should be understood not as a legal manual but as an ideological manifesto of kingship "designed more for symbolic impact than for practical direction". In practical terms the most important law in the code may well have been the first: "We enjoin, what is most necessary, that each man keep carefully his oath and his pledge" which expresses a fundamental tenet of Anglo-Saxon law. Alfred devoted considerable attention and thought to judicial matters. Asser underscores his concern for judicial fairness. Alfred, according to Asser, insisted upon reviewing contested judgments made by his ealdormen and reeves and "would carefully look into nearly all the judgements which were passed [issued] in his absence anywhere in the realm to see whether they were just or unjust". A charter from the reign of his son Edward the Elder depicts Alfred as hearing one such appeal in his chamber while washing his hands. Asser represents Alfred as a Solomonic judge, painstaking in his own judicial investigations and critical of royal officials who rendered unjust or unwise judgments. Although Asser never mentions Alfred's law code he does say that Alfred insisted that his judges be literate so that they could apply themselves "to the pursuit of wisdom". The failure to comply with this royal order was to be punished by loss of office. The Anglo-Saxon Chronicle, commissioned at the time of Alfred, was probably written to promote unification of England, whereas Asser's The Life of King Alfred promoted Alfred's achievements and personal qualities. It was possible that the document was designed this way so that it could be disseminated in Wales because Alfred had acquired overlordship of that country. Foreign relations Asser speaks grandiosely of Alfred's relations with foreign powers but little definite information is available. His interest in foreign countries is shown by the insertions which he made in his translation of Orosius. He corresponded with Elias III, the patriarch of Jerusalem, and embassies to Rome conveying the English alms to the pope were fairly frequent. Around 890, Wulfstan of Hedeby undertook a journey from Hedeby on Jutland along the Baltic Sea to the Prussian trading town of Truso. Alfred personally collected details of this trip. Alfred's relations with the Celtic princes in the western half of Great Britain are clearer. Comparatively early in his reign, according to Asser, the southern Welsh princes, owing to the pressure on them from North Wales and Mercia, commended themselves to Alfred. Later in his reign, the North Welsh followed their example and the latter cooperated with the English in the campaign of 893 (or 894). That Alfred sent alms to Irish and Continental monasteries may be taken on Asser's authority. The visit of three pilgrim "Scots" (i.e., Irish) to Alfred in 891 is undoubtedly authentic. The story that, in his childhood, he was sent to Ireland to be healed by Saint Modwenna may show Alfred's interest in that island. Religion, education and culture In the 880s, at the same time that he was "cajoling and threatening" his nobles to build and man the burhs, Alfred, perhaps inspired by the example of Charlemagne almost a century before, undertook an equally ambitious effort to revive learning. During this period, the Viking raids were often seen as a divine punishment, and Alfred may have wished to revive religious awe in order to appease God's wrath. This revival entailed the recruitment of clerical scholars from Mercia, Wales and abroad to enhance the tenor of the court and of the episcopacy; the establishment of a court school to educate his own children, the sons of his nobles, and intellectually promising boys of lesser birth; an attempt to require literacy in those who held offices of authority; a series of translations into the vernacular of Latin works the king deemed "most necessary for all men to know"; the compilation of a chronicle detailing the rise of Alfred's kingdom and house, with a genealogy that stretched back to Adam, thus giving the West Saxon kings a biblical ancestry. Very little is known of the church under Alfred. The Danish attacks had been particularly damaging to the monasteries. Although Alfred founded monasteries at Athelney and Shaftesbury, these were the first new monastic houses in Wessex since the beginning of the eighth century. According to Asser, Alfred enticed foreign monks to England for his monastery at Athelney because there was little interest for the locals to take up the monastic life. Alfred undertook no systematic reform of ecclesiastical institutions or religious practices in Wessex. For him, the key to the kingdom's spiritual revival was to appoint pious, learned, and trustworthy bishops and abbots. As king, he saw himself as responsible for both the temporal and spiritual welfare of his subjects. Secular and spiritual authority were not distinct categories for Alfred. He was equally comfortable distributing his translation of Gregory the Great's Pastoral Care to his bishops so that they might better train and supervise priests and using those same bishops as royal officials and judges. Nor did his piety prevent him from expropriating strategically sited church lands, especially estates along the border with the Danelaw, and transferring them to royal thegns and officials who could better defend them against Viking attacks. Effect of Danish raids on education The Danish raids had a devastating effect on learning in England. Alfred lamented in the preface to his translation of Gregory's Pastoral Care that "learning had declined so thoroughly in England that there were very few men on this side of the Humber who could understand their divine services in English or even translate a single letter from Latin into English: and I suppose that there were not many beyond the Humber either". Alfred undoubtedly exaggerated, for dramatic effect, the abysmal state of learning in England during his youth. That Latin learning had not been obliterated is evidenced by the presence in his court of learned Mercian and West Saxon clerics such as Plegmund, Wæferth, and Wulfsige. Manuscript production in England dropped off precipitously around the 860s when the Viking invasions began in earnest, not to be revived until the end of the century. Numerous Anglo-Saxon manuscripts burnt along with the churches that housed them. A solemn diploma from Christ Church, Canterbury, dated 873, is so poorly constructed and written that historian Nicholas Brooks posited a scribe who was either so blind he could not read what he wrote or who knew little or no Latin. "It is clear", Brooks concludes, "that the metropolitan church [of Canterbury] must have been quite unable to provide any effective training in the scriptures or in Christian worship". Establishment of a court school Alfred established a court school for the education of his own children, those of the nobility, and "a good many of lesser birth". There they studied books in both English and Latin and "devoted themselves to writing, to such an extent… they were seen to be devoted and intelligent students of the liberal arts". He recruited scholars from the Continent and from Britain to aid in the revival of Christian learning in Wessex and to provide the king personal instruction. Grimbald and John the Saxon came from Francia; Plegmund (whom Alfred appointed archbishop of Canterbury in 890), Bishop Wærferth of Worcester, Æthelstan, and the royal chaplains Werwulf, from Mercia; and Asser, from St David's in southwestern Wales. Advocacy of education in English Alfred's educational ambitions seem to have extended beyond the establishment of a court school. Believing that without Christian wisdom there can be neither prosperity nor success in war, Alfred aimed "to set to learning (as long as they are not useful for some other employment) all the free-born young men now in England who have the means to apply themselves to it". Conscious of the decay of Latin literacy in his realm, Alfred proposed that primary education be taught in English, with those wishing to advance to holy orders to continue their studies in Latin. There were few "books of wisdom" written in English. Alfred sought to remedy this through an ambitious court-centred programme of translating into English the books he deemed "most necessary for all men to know". It is unknown when Alfred launched this programme, but it may have been during the 880s when Wessex was enjoying a respite from Viking attacks. Alfred was, until recently, often considered to have been the author of many of the translations, but this is now considered doubtful in almost all cases. Scholars more often refer to translations as "Alfredian", indicating that they probably had something to do with his patronage, but are unlikely to be his own work. Apart from the lost Handboc or Encheiridio, which seems to have been a commonplace book kept by the king, the earliest work to be translated was the Dialogues of Gregory the Great, a book greatly popular in the Middle Ages. The translation was undertaken at Alfred's command by Wærferth, Bishop of Worcester, with the king merely furnishing a preface. Remarkably, Alfred – undoubtedly with the advice and aid of his court scholars – translated four works himself: Gregory the Great's Pastoral Care, Boethius's Consolation of Philosophy, St. Augustine's Soliloquies and the first fifty psalms of the Psalter. One might add to this list the translation, in Alfred's law code, of excerpts from the Vulgate Book of Exodus. The Old English versions of Orosius's Histories against the Pagans and Bede's Ecclesiastical History of the English People are no longer accepted by scholars as Alfred's own translations because of lexical and stylistic differences. Nonetheless, the consensus remains that they were part of the Alfredian programme of translation. Simon Keynes and Michael Lapidge suggest this also for Bald's Leechbook and the anonymous Old English Martyrology. The preface of Alfred's translation of Pope Gregory the Great's Pastoral Care explained why he thought it necessary to translate works such as this from Latin into English. Although he described his method as translating "sometimes word for word, sometimes sense for sense", the translation keeps very close to the original although, through his choice of language, he blurred throughout the distinction between spiritual and secular authority. Alfred meant the translation to be used, and circulated it to all his bishops. Interest in Alfred's translation of Pastoral Care was so enduring that copies were still being made in the 11th century. Boethius's Consolation of Philosophy was the most popular philosophical handbook of the Middle Ages. Unlike the translation of the Pastoral Care, the Alfredian text deals very freely with the original and, though the late Dr. G. Schepss showed that many of the additions to the text are to be traced not to the translator himself but to the glosses and commentaries which he used, still there is much in the work which is distinctive to the translation and has been taken to reflect philosophies of kingship in Alfred's milieu. It is in the Boethius that the oft-quoted sentence occurs: "To speak briefly: I desired to live worthily as long as I lived, and after my life to leave to them that should come after, my memory in good works." The book has come down to us in two manuscripts only. In one of these the writing is prose, in the other a combination of prose and alliterating verse. The latter manuscript was severely damaged in the 18th and 19th centuries. The last of the Alfredian works is one which bears the name Blostman ('Blooms') or Anthology. The first half is based mainly on the Soliloquies of St Augustine of Hippo, the remainder is drawn from various sources. The material has traditionally been thought to contain much that is Alfred's own and highly characteristic of him. The last words of it may be quoted; they form a fitting epitaph for the noblest of English kings. "Therefore, he seems to me a very foolish man, and truly wretched, who will not increase his understanding while he is in the world, and ever wish and long to reach that endless life where all shall be made clear." Alfred appears as a character in the twelfth- or 13th-century poem The Owl and the Nightingale where his wisdom and skill with proverbs is praised. The Proverbs of Alfred, a 13th-century work, contains sayings that are not likely to have originated with Alfred but attest to his posthumous medieval reputation for wisdom. The Alfred jewel, discovered in Somerset in 1693, has long been associated with King Alfred because of its Old English inscription AELFRED MEC HEHT GEWYRCAN ('Alfred ordered me to be made'). The jewel is about long, made of filigreed gold, enclosing a highly polished piece of quartz crystal beneath which is set in a cloisonné enamel plaque with an enamelled image of a man holding floriate sceptres, perhaps personifying Sight or the Wisdom of God. It was at one time attached to a thin rod or stick based on the hollow socket at its base. The jewel certainly dates from Alfred's reign. Although its function is unknown, it has been often suggested that the jewel was one of the æstels – pointers for reading – that Alfred ordered sent to every bishopric accompanying a copy of his translation of the Pastoral Care. Each æstel was worth the princely sum of 50 mancuses which fits in well with the quality workmanship and expensive materials of the Alfred jewel. Historian Richard Abels sees Alfred's educational and military reforms as complementary. Restoring religion and learning in Wessex, Abels contends, was to Alfred's mind as essential to the defence of his realm as the building of the burhs. As Alfred observed in the preface to his English translation of Gregory the Great's Pastoral Care, kings who fail to obey their divine duty to promote learning can expect earthly punishments to befall their people. The pursuit of wisdom, he assured his readers of the Boethius, was the surest path to power: "Study wisdom, then, and, when you have learned it, condemn it not, for I tell you that by its means you may without fail attain to power, yea, even though not desiring it". The portrayal of the West-Saxon resistance to the Vikings by Asser and the chronicler as a Christian holy war was more than mere rhetoric or propaganda. It reflected Alfred's own belief in a doctrine of divine rewards and punishments rooted in a vision of a hierarchical Christian world order in which God is the Lord to whom kings owe obedience and through whom they derive their authority over their followers. The need to persuade his nobles to undertake work for the 'common good' led Alfred and his court scholars to strengthen and deepen the conception of Christian kingship that he had inherited by building upon the legacy of earlier kings including Offa, clerical writers including Bede, and Alcuin and various participants in the Carolingian renaissance. This was not a cynical use of religion to manipulate his subjects into obedience but an intrinsic element in Alfred's worldview. He believed, as did other kings in ninth-century England and Francia, that God had entrusted him with the spiritual as well as physical welfare of his people. If the Christian faith fell into ruin in his kingdom, if the clergy were too ignorant to understand the Latin words they butchered in their offices and liturgies, if the ancient monasteries and collegiate churches lay deserted out of indifference, he was answerable before God, as Josiah had been. Alfred's ultimate responsibility was the pastoral care of his people. Appearance and character Asser wrote of Alfred in his Life of King Alfred, It is also written by Asser that Alfred did not learn to read until he was 12 years old or later, which is described as "shameful negligence" of his parents and tutors. Alfred was an excellent listener and had an incredible memory and he retained poetry and psalms very well. A story is told by Asser about how his mother held up a book of Saxon poetry to him and his brothers, and said; "I shall give this book to whichever one of you can learn it the fastest." After excitedly asking, "Will you really give this book to the one of us who can understand it the soonest and recite it to you?" Alfred then took it to his teacher, learned it, and recited it back to his mother. Alfred is noted as carrying around a small book, probably a medieval version of a small pocket notebook, that contained psalms and many prayers that he often collected. Asser writes: these "he collected in a single book, as I have seen for myself; amid all the affairs of the present life he took it around with him everywhere for the sake of prayer, and was inseparable from it." An excellent hunter in every branch of the sport, Alfred is remembered as an enthusiastic huntsman against whom nobody's skills could compare. He was the youngest of his brothers, and he was probably the most open-minded. He was an early advocate for education. His desire for learning could have come from his early love of English poetry and inability to read or physically record it until later in life. Asser writes that Alfred "could not satisfy his craving for what he desired the most, namely the liberal arts; for, as he used to say, there were no good scholars in the entire kingdom of the West Saxons at that time". Family In 868, Alfred married Ealhswith, daughter of a Mercian nobleman, Æthelred Mucel, Ealdorman of the Gaini. The Gaini were probably one of the tribal groups of the Mercians. Ealhswith's mother, Eadburh, was a member of the Mercian royal family. They had five or six children together, including Edward the Elder who succeeded his father as king; Æthelflæd who became lady of the Mercians; and Ælfthryth who married Baldwin II, Count of Flanders. Alfred's mother was Osburga, daughter of Oslac of the Isle of Wight, Chief Butler of England. Asser, in his Vita Ælfredi asserts that this shows his lineage from the Jutes of the Isle of Wight. Osferth was described as a relative in King Alfred's will and he attested charters in a high position until 934. A charter of King Edward's reign described him as the king's brother – mistakenly according to Keynes and Lapidge, but in the view of Janet Nelson, he probably was an illegitimate son of King Alfred. Death and burial Alfred died on 26 October 899 at the age of 50 or 51. How he died is unknown, but he suffered throughout his life with a painful and unpleasant illness. His biographer Asser gave a detailed description of Alfred's symptoms, and this has allowed modern doctors to provide a possible diagnosis. It is thought that he had either Crohn's disease or haemorrhoids. His grandson King Eadred seems to have had a similar illness. Alfred was temporarily buried at the Old Minster in Winchester with his wife Ealhswith and later, his son Edward the Elder. Before his death he had ordered the construction of the New Minster hoping that it would become a mausoleum for him and his family. Four years after his death, the bodies of Alfred and his family were exhumed and moved to their new resting place in the New Minster and remained there for 211 years. When William the Conqueror rose to the English throne after the Norman conquest in 1066, many Anglo-Saxon abbeys were demolished and replaced with Norman cathedrals. One of those unfortunate abbeys was the very New Minster abbey where Alfred was laid to rest. Before demolition, the monks at the New Minster exhumed the bodies of Alfred and his family to safely transfer them to a new location. The New Minster monks moved to Hyde in 1110 a little north of the city, and they transferred to Hyde Abbey along with Alfred's body and those of his wife and children, which were interred before the high altar. In 1536, many Roman Catholic churches were vandalized by the people of England spurred by disillusionment with the church during the Dissolution of the Monasteries. One such Catholic church was the site of Alfred's burial, Hyde Abbey. Once again, Alfred's place of rest was disturbed for the now 3rd time. Hyde Abbey was dissolved in 1538 during the reign of Henry VIII, the church site was demolished and treated like a quarry, as the stones that made up the abbey were then re-used in local architecture. The stone graves housing Alfred and his family stayed underground, and the land returned to farming. These graves remained intact until 1788 when the site was acquired by the county for the construction of a town jail. Before construction began, convicts that would later be imprisoned at the site were sent in to prepare the ground, to ready it for building. While digging the foundation trenches, the convicts discovered the coffins of Alfred and his family. The local Catholic priest, Dr. Milner recounts this event:The convicts broke the stone coffins into pieces, the lead, which lined the coffins, was sold for two guineas, and the bones within scattered around the area. The prison was demolished between 1846 and 1850. Further excavations were inconclusive in 1866 and 1897. In 1866, amateur antiquarian John Mellor claimed to have recovered a number of bones from the site which he said were those of Alfred. These came into the possession of the vicar of nearby St Bartholomew's Church who reburied them in an unmarked grave in the church graveyard. Excavations conducted by the Winchester Museums Service of the Hyde Abbey site in 1999 located a second pit dug in front of where the high altar would have been located, which was identified as probably dating to Mellor's 1866 excavation. The 1999 archeological excavation uncovered the foundations of the abbey buildings and some bones, suggested at the time to be those of Alfred; they proved instead to belong to an elderly woman. In March 2013, the Diocese of Winchester exhumed the bones from the unmarked grave at St Bartholomew's and placed them in secure storage. The diocese made no claim that they were the bones of Alfred, but intended to secure them for later analysis, and from the attentions of people whose interest may have been sparked by the recent identification of the remains of Richard III. The bones were radiocarbon-dated but the results showed that they were from the 1300s and therefore not of Alfred. In January 2014, a fragment of pelvis that had been unearthed in the 1999 excavation of the Hyde site, and had subsequently lain in a Winchester museum store room, was radiocarbon-dated to the correct period. It has been suggested that this bone may belong to either Alfred or his son Edward, but this remains unproven. Legacy Henry VI of England attempted unsuccessfully to have Alfred canonized by Pope Eugene IV in 1441. The current "Roman Martyrology" does not mention Alfred. The Anglican Communion venerates him as a Christian hero, with a Lesser Festival on 26 October, and he may often be found depicted in stained glass in Church of England parish churches. In 2007 the Holy Synod of the Russian Orthodox Church canonised "All Saints of the British Isles" including King Alfred. He is honoured during the Feast of all Saints of the British Isles on the third Sunday after Pentecost and on his feast day of 26 October. There is an Orthodox Mission named after St Alfred in Middleburg, Florida. Alfred commissioned Bishop Asser to write his biography, which inevitably emphasised Alfred's positive aspects. Later medieval historians such as Geoffrey of Monmouth also reinforced Alfred's favourable image. By the time of the Reformation, Alfred was seen as a pious Christian ruler who promoted the use of English rather than Latin, and so the translations that he commissioned were viewed as untainted by the later Roman Catholic influences of the Normans. Consequently, it was writers of the 16th century who gave Alfred his epithet as "the Great", not any of Alfred's contemporaries. The epithet was retained by succeeding generations who admired Alfred's patriotism, success against barbarism, promotion of education, and establishment of the rule of law. A number of educational establishments are named in Alfred's honour: The University of Winchester created from the former King Alfred's College, Winchester (1928 to 2004) Alfred University and Alfred State College in Alfred, New York; the local telephone exchange for Alfred University is 871 in commemoration of the year of Alfred's ascension to the throne. Additionally, the mascot of Alfred University is named Lil' Alf and is modeled after the king The University of Liverpool created a King Alfred Chair of English Literature King Alfred's Academy, a secondary school in Wantage, Oxfordshire, the birthplace of Alfred King's Lodge School in Chippenham, Wiltshire, so named because King Alfred's hunting lodge is reputed to have stood on or near the site of the school The King Alfred School and Specialist Sports Academy, Burnham Road, Highbridge, so named due to its rough proximity to Brent Knoll (a Beacon site) and Athelney The King Alfred School in Barnet, North London, UK King Alfred's house in Bishop Stopford's School at Enfield King Alfred Swimming Pool & Leisure complex in Hove, Brighton UK The Royal Navy named one ship and two shore establishments HMS King Alfred, and one of the early ships of the U.S. Navy was named USS Alfred in his honour. In 2002, Alfred was ranked number 14 in the BBC's list of the 100 Greatest Britons following a UK-wide vote. Statues Pewsey A prominent statue of King Alfred the Great stands in the middle of Pewsey. It was unveiled in June 1913 to commemorate the coronation of King George V. Southwark A statue of Alfred the Great located in Trinity Church Square, Southwark is considered to be the oldest outdoor statue in London, and part of it has been found to date to Roman times. The sculpture was thought to be medieval until 2021 conservation work. The lower half was then discovered to be Bath Stone and part of a colossal ancient sculpture dedicated to the goddess Minerva. It is typical of the 2nd Century, dating to around the reign of Hadrian. The lower older half is likely to have been carved by a continental craftsman used to working with British stone. The upper half dates to the late 18th or early 19th century, cast to fit the lower portion from Coade stone. Wantage A statue of Alfred the Great, situated in the Wantage market place, was sculpted by Count Gleichen, a relative of Queen Victoria, and unveiled on 14 July 1877 by the Prince and Princess of Wales. The statue was vandalised on New Year's Eve 2007, losing part of its right arm and axe. After the arm and axe were replaced, the statue was again vandalised on Christmas Eve 2008, losing its axe. Winchester A bronze statue of Alfred the Great stands at the eastern end of The Broadway, close to the site of Winchester's medieval East Gate. The statue was designed by Hamo Thornycroft, cast in bronze by Singer & Sons of Frome and erected in 1899 to mark one thousand years since Alfred's death. The statue is placed on a pedestal consisting of two immense blocks of grey Cornish granite. Alfred University, New York The centerpiece of Alfred University's quad is a bronze statue of the king, created in 1990 by then-professor William Underhill. It features the king as a young man, holding a shield in his left hand and an open book in his right. Cleveland, Ohio A marble statue of Alfred the Great stands on the North side of the Cuyahoga County Courthouse in Cleveland, Ohio. It was sculpted by Isidore Konti in 1910. Chronology Notes Citations Sources — "Note: This electronic edition [of the Anglo-Saxon Chronicle] is a collation of material from nine diverse extant versions of the Chronicle. It contains primarily the translation of Rev. James Ingram, as published in the [1847] Everyman edition". It was "Originally compiled on the orders of King Alfred the Great, approximately A.D. 890, and subsequently maintained and added to by generations of anonymous scribes until the middle of the 12th Century". Attribution: Further reading External links Alfred the Great at the official website of the British monarchy Alfred the Great at BBC History 840s births 899 deaths Year of birth uncertain 9th-century Christians 9th-century English monarchs 9th-century translators Boat and ship designers English Christians House of Wessex Medieval legislators Monarchs of England before 1066 Patrons of literature People from Wantage Translators from Latin Translators of philosophy West Saxon monarchs
1644
https://en.wikipedia.org/wiki/Algiers
Algiers
Algiers ( ; ; , ) is the capital and largest city of Algeria. The city's population at the 2008 census was 2,988,145 and in 2020 was estimated to be around 4,500,000. Algiers is in the north-central part of Algeria. Algiers is situated on the west side of the Bay of Algiers, in the Mediterranean Sea. The modern part of the city is built on the level ground by the seashore; the old part, the ancient city of the deys, climbs the steep hill behind the modern town and is crowned by the Casbah or citadel (a UNESCO World Heritage Site), above the sea. The Casbah and the two quays form a triangle. Names The city's name is derived via French and Catalan from the Arabic name (), "The Islands". This name refers to the four former islands which lay off the city's coast before becoming part of the mainland in 1525. is itself a truncated form of the city's older name (), "islands of Mazghanna", used by early medieval geographers such as Muhammad al-Idrisi and Yaqut al-Hamawi. The name was given by Buluggin ibn Ziri after he established the city on the ruins of the Phoenician city of Icosium in 950. During Ottoman rule, the name of the capital, al-Jazā'ir, was extended over the entire country, giving it the English name Algeria derived from the French name Algérie. In classical antiquity, the ancient Greeks knew the town as (), which was Latinized as Icosium under Roman rule. The Greeks explained the name as coming from their word for "twenty" (, ), supposedly because it had been founded by 20 companions of Hercules when he visited the Atlas Mountains during his labors. Algiers is also known as (, "The Joyous") or "Algiers the White" () for its whitewashed buildings. History Early history The city's earliest history was as a small port in Carthage where Phoenicians were trading with other Mediterraneans. After the Punic Wars, the Roman Republic eventually took over administration of the town, which they called Icosium. Its ruins now form part of the modern city's marine quarter, with the Rue de la Marine following a former Roman road. Roman cemeteries existed near Bab-el-Oued and Bab Azoun. The city was given Latin rights by the emperor Vespasian. The bishops of Icosium are mentioned as late as the 5th century, but the ancient town fell into obscurity during the Muslim conquest of the Maghreb. The present city was founded in 944 by Buluggin ibn Ziri, the founder of the Berber Zirid dynasty. He had built his own house and a Sanhaja center at Ashir in 935 just south of Algiers. Although the Zirid dynasty was overthrown by Roger II of Sicily in 1148, the Zirids had already lost control of Algiers to their cousins the Hammadids in 1014. The city was wrested from the Hammadids by the Almohad Caliphate in 1159, and in the 13th century came under the dominion of the Ziyanid sultans of the Kingdom of Tlemcen. Nominally part of the sultanate of Tlemcen, Algiers had a large measure of independence under Thaaliba amirs of its own due to Oran being the chief seaport of the Ziyanids. The Peñón of Algiers, an islet in front of Algiers harbour, had been occupied by the Spaniards as early as 1302. Thereafter, a considerable amount of trade began to flow between Algiers and Spain. However, Algiers continued to be of comparatively little importance until after the expulsion of the Moors from Spain, many of whom sought asylum in the city. In 1510, following their occupation of Oran and other towns on the coast of Africa, the Spaniards fortified the islet of Peñon and imposed a levy intended to suppress the Barbary pirates. Ottoman rule In 1516, the amir of Algiers, Selim b. Teumi, invited the corsair brothers Oruç Reis and Hayreddin Barbarossa to expel the Spaniards. Oruç Reis came to Algiers, ordered the assassination of Selim, and seized the town and ousted the Spanish in the Capture of Algiers (1516). Hayreddin, succeeding Aruj after the latter was killed in battle against the Spaniards in the 1518 fall of Tlemcen, was the founder of the pashaluk, which subsequently became the beylik, of Algeria. Barbarossa lost Algiers in 1524 but regained it with the 1529 Capture of Peñón of Algiers, and then formally invited the Sultan Suleiman the Magnificent to accept sovereignty over the territory and to annex Algiers to the Ottoman Empire. Algiers from this time became the chief seat of the Barbary pirates. In October 1541 in the Algiers expedition, the King of Spain and Charles V, Holy Roman Emperor sought to capture the city, but a storm destroyed a great number of his ships, and his army of some 30,000, chiefly made up of Spaniards, was defeated by the Algerians under their pasha, Hassan. Formally part of the Ottoman Empire but essentially free from Ottoman control, starting in the 16th century Algiers turned to piracy and ransoming. Due to its location on the periphery of both the Ottoman and European economic spheres, and depending for its existence on a Mediterranean that was increasingly controlled by European shipping, backed by European navies, piracy became the primary economic activity. Repeated attempts were made by various nations to subdue the pirates that disturbed shipping in the western Mediterranean and engaged in slave raids as far north as Iceland. By the 17th century, up to 40% of the city's 100,000 inhabitants were enslaved Europeans. The United States fought two wars (the First and Second Barbary Wars) over Algiers' attacks on shipping. Among the notable people held for ransom was the future Spanish novelist, Miguel de Cervantes, who was held captive in Algiers for almost five years, and wrote two plays set in Algiers of the period. The primary source for knowledge of Algiers of this period, since there are no contemporary local sources, is the Topografía e historia general de Argel (1612, but written earlier), published by Diego de Haedo, but whose authorship is disputed. This work describes in detail the city, the behavior of its inhabitants, and its military defenses, with the unsuccessful hope of facilitating an attack by Spain so as to end the piracy. A significant number of renegades lived in Algiers at the time, Christians converted voluntarily to Islam, many fleeing the law or other problems at home. Once converted to Islam, they were safe in Algiers. Many occupied positions of authority, such as Samson Rowlie, an Englishman who became Treasurer of Algiers. The city under Ottoman control was enclosed by a wall on all sides, including along the seafront. In this wall, five gates allowed access to the city, with five roads from each gate dividing the city and meeting in front of the Ketchaoua Mosque. In 1556, a citadel was constructed at the highest point in the wall. A major road running north to south divided the city in two: The upper city (al-Gabal, or 'the mountain') which consisted of about fifty small quarters of Andalusian, Jewish, Moorish and Kabyle communities, and the lower city (al-Wata, or 'the plains') which was the administrative, military and commercial centre of the city, mostly inhabited by Ottoman Turkish dignitaries and other upper-class families. In August 1816, the city was bombarded by a British squadron under Lord Exmouth (a descendant of Thomas Pellew, taken in an Algerian slave raid in 1715), assisted by men-of-war from the Kingdom of the Netherlands, destroying the corsair fleet harboured in Algiers. French rule The history of Algiers from 1830 to 1962 is bound to the larger history of Algeria and its relationship to France. On July 4, 1830, under the pretext of an affront to the French consul—whom the dey had hit with a fly-whisk when the consul said the French government was not prepared to pay its large outstanding debts to two Algerian merchants—a French army under General de Bourmont attacked the city in the 1830 invasion of Algiers. The city capitulated the following day. Algiers became the capital of French Algeria. Many Europeans settled in Algiers, and by the early 20th century they formed a majority of the city's population. During the 1930s, the architect Le Corbusier drew up plans for a complete redesign of the colonial city. Le Corbusier was highly critical of the urban style of Algiers, describing the European district as "nothing but crumbling walls and devastated nature, the whole a sullied blot". He also criticised the difference in living standards he perceived between the European and African residents of the city, describing a situation in which "the 'civilised' live like rats in holes" whereas "the 'barbarians' live in solitude, in well-being". However, these plans were ultimately ignored by the French administration. During World War II, Algiers was the first city to be seized from the Axis by the Allies in Operation Terminal, a part of Operation Torch. In 1962, after a bloody independence struggle in which hundreds of thousands (estimates range between 350,000 and 1,500,000) died (mostly Algerians but also French and Pieds-Noirs) during fighting between the French Army and the Algerian Front de Libération Nationale, Algeria gained its independence, with Algiers as its capital. Since then, despite losing its entire pied-noir population, the city has expanded massively. It now has about five million inhabitants, or 10 percent of Algeria's population—and its suburbs now cover most of the surrounding Mitidja plain. Algerian War Algiers also played a pivotal role in the Algerian War (1954–1962), particularly during the Battle of Algiers when the 10th Parachute Division of the French Army, starting on January 7, 1957, and on the orders of the French Minister of Justice François Mitterrand (who authorized any means "to eliminate the insurrectionists"), led attacks against the Algerian fighters for independence. Algiers remains marked by this battle, which was characterized by merciless fighting between FLN forces which carried out a guerrilla campaign against the French military and police and pro-French Algerian soldiers, and the French Army which responded with a bloody repression, torture and blanket terrorism against the native population. The demonstrations of May 13 during the crisis of 1958 provoked the fall of the Fourth Republic in France, as well as the return of General de Gaulle to power. Independence Algeria achieved independence on July 5, 1962. Run by the FLN that had secured independence, Algiers became a member of Non-Aligned Movement during the Cold War. In October 1988, one year before the fall of the Berlin Wall, Algiers was the site of demonstrations demanding the end of the single-party system and the creation of a real democracy baptized the "Spring of Algier". The demonstrators were repressed by the authorities (more than 300 dead), but the movement constituted a turning point in the political history of modern Algeria. In 1989, a new constitution was adopted that put an end to the one-party rule and saw the creation of more than fifty political parties, as well as official freedom of the press. Crisis of the 1990s The city became the theatre of many political demonstrations of all descriptions until 1993. In 1991, a political entity dominated by religious conservatives called the Islamic Salvation Front engaged in a political test of wills with the authorities. In the 1992 elections for the Algerian National Assembly, the Islamists garnered a large amount of support in the first round. Fearing an eventual win by the Islamists, the army canceled the election process, setting off a civil war between the State and armed religious conservatives which would last for a decade. On December 11, 2007, two car bombs exploded in Algiers. One bomb targeted two United Nations office buildings and the other targeted a government building housing the Supreme Court. The death toll was at least 62, with over two hundred injured in the attacks. However, only 26 remained hospitalized the following day. , it is speculated that the attack was carried out by the Al Qaida cell within the city. Indigenous terrorist groups have been actively operating in Algeria since around 2002. Geography Districts of Algiers The Casbah (of Al Qasbah, "the Citadel"), Ier District of Algiers: called Al-Djazaïr Al Mahroussa ("Well Kept Algiers"), is founded on the ruins of old Icosium. It is a small city which, built on a hill, goes down towards the sea, divided in two: the High city and the Low city. One finds there masonries and mosques of the 17th century; Ketchaoua mosque (built in 1794 by the Dey Baba Hassan) flanked by two minarets, mosque el Djedid (built in 1660, at the time of Turkish regency) with its large finished ovoid cupola points some and its four coupolettes, mosque El Kébir (oldest of the mosques, it was built by Almoravid Youssef Ibn Tachfin and rebuilt later in 1794), mosque Ali Betchnin (Raïs, 1623), Dar Aziza, palate of Jénina. In the Kasbah, there are also labyrinths of lanes and houses that are very picturesque, and if one gets lost there, it is enough to go down again towards the sea to reposition oneself. Bab El Oued: Literally the River's Gate, the popular district which extends from the Casbah beyond "the gate of the river". It is the capital's darling and best liked borough. Famous for its square with "the three clocks" and for its "market Triplet", it is also a district of workshops and manufacturing plants. Edge of sea: from 1840, the architects Pierre-August Guiauchain and Charles Frédéric Chassériau designed new buildings apart from the Casbah, town hall, law courts, buildings, theatre, palace of the Governor, and casino, to form an elegant walk bordered by arcades which is today the boulevard Che Guevara (formerly the Boulevard of the Republic). Kouba (will daira of Hussein-dey): Kouba is an old village which was absorbed by the expansion of the town of Algiers. Kouba quickly developed under the French colonial era then continued growing due to formidable demographic expansion that Algiers saw after the independence of Algeria in 1962. It is today a district of Algiers which is largely made up of houses, villas, and buildings not exceeding five stories. El Harrach, a suburb of Algiers, is located about to the east of the city. The communes of Hydra, Ben Aknoun, El-Biar and Bouzareah form what the inhabitants of Algiers call the "Heights of Algiers". These communes shelter the majority of the foreign embassies of Algiers, of many ministries and university centres, which makes it one of the administrative and policy centres of the country. The Didouche Mourad street is located in the 3rd district Of Algiers. It extends from the Grande Post office to the Heights of Algiers. It crosses in particular the place Audin, the Faculty of Algiers, The Crowned Heart and the Freedom Park (formerly Galland). It is bordered by smart stores and restaurants along most of its length. It is regarded as the heart of the capital. Climate Algiers has a Mediterranean climate (Köppen climate classification Csa). Its proximity to the Mediterranean Sea aids in moderating the city's temperatures. As a result, Algiers usually does not see the extreme temperatures that are experienced in the adjacent interior. Algiers on average receives roughly of rain per year, the bulk of which is seen between October and April. The precipitation is higher than in most of coastal Mediterranean Spain, and similar to most of coastal Mediterranean France, as opposed to the interior North African semi-arid or arid climate. Snow is very rare; in 2012, the city received of snowfall, its first snowfall in eight years. Climate change A 2019 paper published in PLOS One estimated that under Representative Concentration Pathway 4.5, a "moderate" scenario of climate change where global warming reaches ~ by 2100, the climate of Algiers in the year 2050 would most closely resemble the current climate of Perth in Australia. The annual temperature would increase by , and the temperature of the warmest month by , while the temperature of the coldest month would be higher. According to Climate Action Tracker, the current warming trajectory appears consistent with , which closely matches Representative Concentration Pathway (RCP) 4.5. Moreover, according to the 2022 IPCC Sixth Assessment Report, Algiers is one of 12 major African cities (Abidjan, Alexandria, Algiers, Cape Town, Casablanca, Dakar, Dar es Salaam, Durban, Lagos, Lomé, Luanda and Maputo) which would be the most severely affected by the future sea level rise. It estimates that they would collectively sustain cumulative damages of U$65 billion under RCP 4.5 and US$86.5 billion for the high-emission scenario RCP 8.5 by the year 2050. Additionally, RCP 8.5 combined with the hypothetical impact from marine ice sheet instability at high levels of warming would involve up to US$137.5 billion in damages, while the additional accounting for the "low-probability, high-damage events" may increase aggregate risks to $187 billion for the "moderate" RCP 4.5, $206 billion for RCP 8.5 and $397 billion under the high-end ice sheet instability scenario. Since sea level rise would continue for about 10,000 years under every scenario of climate change, future costs of sea level rise would only increase, especially without adaptation measures. The Casbah is on a list of 10 African World Heritage Site most threatened by sea level rise. Government The city (and province) of Algiers is composed of 13 administrative districts, sub-divided into 57 communes listed below with their populations at the 1998 and 2008 Censuses: Local architecture There are many public buildings of interest, including the whole Kasbah quarter, Martyrs Square (Sahat ech-Chouhada ساحة الشهداء), the government offices (formerly the British consulate), the "Grand", "New", and Ketchaoua Mosques, the Roman Catholic cathedral of Notre Dame d'Afrique, the Bardo Museum, the old Bibliothèque Nationale d'Alger—a moorish palace built in 1799–1800 and the new National Library, built in a style reminiscent of the British Library. The main building in the Kasbah was begun in 1516 on the site of an older building, and served as the palace of the deys until the French conquest. A road has been cut through the centre of the building, the mosque turned into barracks, and the hall of audience allowed to fall into ruin. There still remain a minaret and some marble arches and columns. Traces exist of the vaults in which were stored the treasures of the dey. Djamaa el Kebir (Jamaa-el-Kebir الجامع الكبير) is the oldest mosque in Algiers. It was first built by Yusuf ibn Tashfin, but reconstructed many times. The pulpit (minbar منبر) bears an inscription showing that the building existed in 1097. The minaret was built by the sultan of Tlemcen, in 1324. The interior of the mosque is square and is divided into aisles by columns joined by Moorish arches. The New Mosque (Jamaa-el-Jedid الجامع الجديد), dating from the 17th century, is in the form of a Greek cross, surmounted by a large white cupola, with four small cupolas at the corners. The minaret is high. The interior resembles that of the Grand Mosque. The church of the Holy Trinity (built in 1870) stands at the southern end of the rue d'Isly near the site of the demolished Fort Bab Azoun باب عزون. The interior is richly decorated with various coloured marbles. Many of these marbles contain memorial inscriptions relating to the British residents (voluntary and involuntary) of Algiers from the time of John Tipton, the first English consul, in 1580 (NB Some sources give 1585). One tablet records that in 1631 two Algerine pirate crews landed in Ireland, sacked Baltimore, and enslaved its inhabitants. The Ketchaoua Mosque (Djamaa Ketchaoua جامع كتشاوة), at the foot of the Casbah, was before independence in 1962 the cathedral of St Philippe, itself made in 1845 from a mosque dating from 1612. The principal entrance, reached by a flight of 23 steps, is ornamented with a portico supported by four black-veined marble columns. The roof of the nave is of Moorish plaster work. It rests on a series of arcades supported by white marble columns. Several of these columns belonged to the original mosque. In one of the chapels was a tomb containing the bones of Geronimo. The building seems a curious blend of Moorish and Byzantine styles. Algiers possesses a college with schools of law, medicine, science and letters. The college buildings are large and handsome. The Bardo Museum holds some of the ancient sculptures and mosaics discovered in Algeria, together with medals and Algerian money. The port of Algiers is sheltered from all winds. There are two harbours, both artificial—the old or northern harbour and the southern or Agha harbour. The northern harbour covers an area of . An opening in the south jetty affords an entrance into Agha harbour, constructed in Agha Bay. Agha harbour has also an independent entrance on its southern side. The inner harbour was begun in 1518 by Khair-ad-Din Barbarossa (see History, below), who, to accommodated his pirate vessels, caused the island on which was Fort Penon to be connected with the mainland by a mole. The lighthouse which occupies the site of Fort Penon was built in 1544. Algiers was a walled city from the time of the deys until the close of the 19th century. The French, after their occupation of the city (1830), built a rampart, parapet and ditch, with two terminal forts, Bab Azoun باب عزون to the south and Bab-el-Oued اد to the north. The forts and part of the ramparts were demolished at the beginning of the 20th century, when a line of forts occupying the heights of Bouzareah بوزريعة (at an elevation of above the sea) took their place. Notre Dame d'Afrique, a church built (1858–1872) in a mixture of the Roman and Byzantine styles, is conspicuously situated overlooking the sea, on the shoulder of the Bouzareah hills, to the north of the city. Above the altar is a statue of the Virgin depicted as a black woman. The church also contains a solid silver statue of the archangel Michael, belonging to the confraternity of Neapolitan fishermen. Villa Abd-el-Tif, former residence of the dey, was used during the French period, to accommodate French artists, chiefly painters, and winners of the Abd-el-Tif prize, among whom Maurice Boitel, for a while of two years. Nowadays, Algerian artists are back in the villa's studios. Monuments Notre Dame d'Afrique, accessible by one cable car, is one of the city's most outstanding monuments: located in the district of Z' will ghara, the basilica was built around 1858. Monument des Martyrs (Marquand E' chahid): an iconic concrete monument commemorating the Algerian war for independence. The monument was opened in 1982 on the 20th anniversary of Algeria's independence. It is fashioned in the shape of three standing palm leaves which shelter the "Eternal Flame" beneath. At the edge of each palm leaf stands a statue of a soldier, each representing a stage of Algeria's struggle. The El Jedid mosque at the Place des Martyrs near the port. Place of the Emir Abdelkader (formerly Bugeaud): in memory of the famous emir Abd El-Kader, resistant during French conquest of Algeria. Grand Post Office (1910, by Voinot and Tondoire): construction of the neo-Moorish type which is in full centre town of Algiers. The Jardin d'essai (Garden of Test; El-Hamma): situated in the east of Algiers, it extends over and contains exotic plants and gardens. It was created in 1832 by A. Hardy. Villa Abd-el-Hair, with the top of the Garden of test, one of the old residences of the dey, where until 1962, were placed the artists prizes winner of Price Abd-el-Hair, and in particular Maurice Boitel and Andre Hamburg. Citadel. Riadh El-Feth (shopping centre and art gallery). Ketchaoua Mosque (This mosque became the Saint-Philippe cathedral during colonization before becoming again a mosque). National Library, is in the district of El HAMMA and was built in the 1990s. Djamaa el Kebir at the Rue de la Marine. It is the oldest mosque of Algiers and was built during the reign of the Almoravid sultan Yusuf ibn Tashfin. Le Bastion 23 – Palais des Rais, built in 1576 by Dey Ramdhan Pacha and located in the lower Casbah in the Bab El Oued neighborhood. Demographics As of 2012, Algiers has a population of about 3,335,418. The ethnic distribution is 53% from an Arabic-speaking background, 44% from a Berber-speaking background and 3% foreign-born. Economy Algiers is an important economic, commercial and financial center, with a stock exchange capitalized at 60 million euros. The city has the highest cost of living of any city in North Africa, as well as the 50th highest worldwide, as of March 2007, having gained one position compared to the previous year. Mohamed Ben Ali El Abbar, president of the Council of Administration of the Emirate Group EMAAR, presented five "megaprojects" to Algerian President Abdelaziz Bouteflika, during a ceremony which took place Saturday, July 15, in the People's Palace of Algiers. These projects will transform the city of Algiers and its surroundings by equipping them with a retail area and restoration and leisure facilities. The first project will concentrate on the reorganization and the development of the infrastructures of the railway station "Aga" located in the downtown area. The ultramodern station intended to accommodate more than 80.000 passengers per day, will become a centre of circulation in the heart of the grid system, surrounded by commercial offices and buildings and hotels intended for travellers in transit. A shopping centre and three high-rise office buildings rising with the top of the commercial zone will accompany the project. The second project will not relate to the bay of Algiers and aims to revitalize the sea front. The development of the sea front will include marinas, channels, luxury hotels, offices, apartments of great standing, luxury stores and leisure amenities. A crescent-shaped peninsula will be set up on the open sea. The project of the bay of Algiers will also comprise six small islands, of which four of round form, connected to each other by bridges and marinas and will include tourist and residential complexes. The third project will relate to restructuring an area of Algiers, qualified by the originators of the project of "city of wellness". El Abbar indicated to the journalists that the complex would be "agreeable for all those which will want to combine tourism and well-being or tourism and relaxation". The complex will include a university, a research center and a medical centre. It should also include a hospital complex, a care centre, a hotel zone, an urban centre and a thermal spa with villas and apartments. The university will include a medical school and a school for care male nurses which will be able to accommodate 500 students. The university campus will have the possibility of seeing setting up broad ranges of buildings of research laboratories and residences. Another project relates to technological implantation of a campus in Sidi Abdellah, south-east from Algiers. This site will include shopping centres, residential zones with high standard apartments and a golf course surrounded by villas and hotels. Two other residential zones, including 1.800 apartments and 40 high standard villas, will be built on the surrounding hills. The fifth project is that of the tourist complex Colonel Abbès, which will be located west from Algiers. This complex will include several retail zones, meeting places, and residential zones composed of apartments and villas with views of the sea. There is another project under construction, by the name of Algiers Medina. The first step of the project is nearly complete. A Hewlett-Packard office for French-speaking countries in Africa is in Algiers. Tourist installations Some to the west of Algiers are such seaside resorts as Sidi Fredj (ex-Sidi Ferruch), Palm Beach, Douaouda, Zéralda, and the Club of the Pines (residence of State); there are tourist complexes, Algerian and other restaurants, souvenir shops, supervised beaches, and other amenities. The city is also equipped with important hotel complexes such as the hotel Hilton, El-Aurassi or El Djazair. Algiers also has the first water park in the country. The tourism of Algiers is growing but is not as developed as that of the larger cities in Morocco or Tunisia. Education The presence of a large diplomatic community in Algiers prompted the creation of multiple international educational institutions. These schools include : American International School of Algiers; British School Algiers El Kalimat School (English-language school); Lycée International Alexandre-Dumas d'Alger (French school); Roma Italian School of Algiers; Russian Embassy School in Algiers. There was formerly the École japonaise d'Alger (アルジェ日本人学校 Aruje Nihonjin Gakkō), a school for Japanese children. Public transport ETUSA (urban and suburban bus transportation for Algiers) operates bus service in Algiers and the surrounding suburbs. 54 lines are operating, with service from 5:30 a.m. to 12:45 a.m. SNTF (national railroad company) operates commuter-rail lines connecting the capital to the surrounding suburbs. Algiers Metro, opened November 1, 2011. Algiers tramway, opened on May 8, 2011. Houari Boumediene Airport is located from the city. The airport serves domestics, many European cities, West Africa, the Middle East, Asia and North America. On July 5, 2006, a new international air terminal was opened for service. The terminal is managed by Aéroports de Paris. 4 urban beltways: El Madania – Belouizdad Notre Dame d'Afrique – Bologhine Memorial des Martyres/Riad el Feth – Jardin d'essais Palais de la culture – Oued Kniss Sports Algiers is the sporting centre of Algeria. The city has a number of professional clubs in the variety of sports, which have won national and international titles. Among the sports facilities within the city, there is an enormous sporting complex – Complex of OCO – Mohamed Boudiaf. This includes the Stade 5 Juillet 1962 (capacity ), a venue for athletics, an Olympic swimming pool, a multisports room (the Cupola), an 18-hole golf course, and several tennis courts. The following major sporting events have been held in Algiers (not-exhaustive list): Football clubs Major association football club based in Algiers include: International relations Twin towns – sister cities Algiers is twinned with: Montreal, Canada Moscow, Russia Sofia, Bulgaria In addition, many of the wards and cities within Algiers maintain sister-city relationships with other foreign cities. Cooperation agreements Algiers has cooperation agreements with: Lisbon, Portugal Paris, France Films about Algiers Algiers, 1938, starring Charles Boyer and Hedy Lamarr, and directed by John Cromwell; The Battle of Algiers, 1966, directed by Gillo Pontecorvo; Tahya ya Didou, Alger Insolite, 1970, Mohammed Zinet; Bab El-Oued City, 1994, directed by Merzak Allouache; Viva Laldjérie, 2003, directed by Nadir Moknèche, with Biyouna and Lubna Azabal; Bab el Web, 2004, directed by Merzak Allouache, with Samy Naceri, Julie Gayet, Faudel; Once upon a time in the Oued, 2005, directed by Djamel Bensalah; Beur, White, Red, 2005, directed by Mahmoud Zemmouri. Delice Paloma, 2007, directed by Nadir Moknèche, with Biyouna and Nadia Kaci. Abbott and Costello in the Foreign Legion, 1950, starring Bud Abbott and Lou Costello. Carry on Spying 1964, directed by Gerald Thomas with Kenneth Williams, Charles Hawtrey, Barbara Windsor & Renee Houston Notable people See also Barbary pirates Botanical Garden Hamma List of Ottoman governors of Algiers References Citations Bibliography Carroll, David. Albert Camus the Algerian (Columbia University Press, 2007). Emerson, Charles. 1913: In Search of the World Before the Great War (2013) compares Algiers to 20 major world cities; pp 267–79. . . . External links 944 establishments Barbary Wars Capitals in Africa Former Spanish colonies Mediterranean port cities and towns in Algeria Populated coastal places in Algeria World Heritage Sites in Algeria Coastal cities in Algeria Populated places in Algiers Province Province seats of Algeria Populated places established in the 10th century 10th-century establishments in Africa
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https://en.wikipedia.org/wiki/Ibn%20al-Haytham
Ibn al-Haytham
Ḥasan Ibn al-Haytham (Latinized as Alhazen; ; full name ; ) was a medieval mathematician, astronomer, and physicist of the Islamic Golden Age from present-day Iraq. Referred to as "the father of modern optics", he made significant contributions to the principles of optics and visual perception in particular. His most influential work is titled Kitāb al-Manāẓir (Arabic: , "Book of Optics"), written during 1011–1021, which survived in a Latin edition. The works of Alhazen were frequently cited during the scientific revolution by Isaac Newton, Johannes Kepler, Christiaan Huygens, and Galileo Galilei. Ibn al-Haytham was the first to correctly explain the theory of vision, and to argue that vision occurs in the brain, pointing to observations that it is subjective and affected by personal experience. He also stated the principle of least time for refraction which would later become the Fermat's principle. He made major contributions to catoptrics and dioptrics by studying reflection, refraction and nature of images formed by light rays. Ibn al-Haytham was an early proponent of the concept that a hypothesis must be supported by experiments based on confirmable procedures or mathematical reasoning—an early pioneer in the scientific method five centuries before Renaissance scientists. On account of this, he is sometimes described as the world's "first true scientist". He was also a polymath, writing on philosophy, theology and medicine. Born in Basra, he spent most of his productive period in the Fatimid capital of Cairo and earned his living authoring various treatises and tutoring members of the nobilities. Ibn al-Haytham is sometimes given the byname al-Baṣrī after his birthplace, or al-Miṣrī ("the Egyptian"). Al-Haytham was dubbed the "Second Ptolemy" by Abu'l-Hasan Bayhaqi and "The Physicist" by John Peckham. Ibn al-Haytham paved the way for the modern science of physical optics. Biography Ibn al-Haytham (Alhazen) was born c. 965 to a family of Arab or Persian origin in Basra, Iraq, which was at the time part of the Buyid emirate. His initial influences were in the study of religion and service to the community. At the time, society had a number of conflicting views of religion that he ultimately sought to step aside from religion. This led to him delving into the study of mathematics and science. He held a position with the title vizier in his native Basra, and made a name for himself on his knowledge of applied mathematics. As he claimed to be able to regulate the flooding of the Nile, he was invited to meet the Fatimid Caliph al-Hakim in order to realise a hydraulic project at Aswan. However, Ibn al-Haytham was forced to concede the impracticability of his project. Upon his return to Cairo, he was given an administrative post. After he proved unable to fulfill this task as well, he contracted the ire of the caliph al-Hakim, and is said to have been forced into hiding until the caliph's death in 1021, after which his confiscated possessions were returned to him. Legend has it that Alhazen feigned madness and was kept under house arrest during this period. During this time, he wrote his influential Book of Optics. Alhazen continued to live in Cairo, in the neighborhood of the famous University of al-Azhar, and lived from the proceeds of his literary production until his death in c. 1040. (A copy of Apollonius' Conics, written in Ibn al-Haytham's own handwriting exists in Aya Sofya: (MS Aya Sofya 2762, 307 fob., dated Safar 415 A.H. [1024]).) Among his students were Sorkhab (Sohrab), a Persian from Semnan, and Abu al-Wafa Mubashir ibn Fatek, an Egyptian prince. Book of Optics Alhazen's most famous work is his seven-volume treatise on optics Kitab al-Manazir (Book of Optics), written from 1011 to 1021. In it, Ibn al-Haytham was the first to explain that vision occurs when light reflects from an object and then passes to one's eyes, and to argue that vision occurs in the brain, pointing to observations that it is subjective and affected by personal experience. Optics was translated into Latin by an unknown scholar at the end of the 12th century or the beginning of the 13th century. This work enjoyed a great reputation during the Middle Ages. The Latin version of De aspectibus was translated at the end of the 14th century into Italian vernacular, under the title De li aspecti. It was printed by Friedrich Risner in 1572, with the title Opticae thesaurus: Alhazeni Arabis libri septem, nuncprimum editi; Eiusdem liber De Crepusculis et nubium ascensionibus (English: Treasury of Optics: seven books by the Arab Alhazen, first edition; by the same, on twilight and the height of clouds). Risner is also the author of the name variant "Alhazen"; before Risner he was known in the west as Alhacen. Works by Alhazen on geometric subjects were discovered in the Bibliothèque nationale in Paris in 1834 by E. A. Sedillot. In all, A. Mark Smith has accounted for 18 full or near-complete manuscripts, and five fragments, which are preserved in 14 locations, including one in the Bodleian Library at Oxford, and one in the library of Bruges. Theory of optics Two major theories on vision prevailed in classical antiquity. The first theory, the emission theory, was supported by such thinkers as Euclid and Ptolemy, who believed that sight worked by the eye emitting rays of light. The second theory, the intromission theory supported by Aristotle and his followers, had physical forms entering the eye from an object. Previous Islamic writers (such as al-Kindi) had argued essentially on Euclidean, Galenist, or Aristotelian lines. The strongest influence on the Book of Optics was from Ptolemy's Optics, while the description of the anatomy and physiology of the eye was based on Galen's account. Alhazen's achievement was to come up with a theory that successfully combined parts of the mathematical ray arguments of Euclid, the medical tradition of Galen, and the intromission theories of Aristotle. Alhazen's intromission theory followed al-Kindi (and broke with Aristotle) in asserting that "from each point of every colored body, illuminated by any light, issue light and color along every straight line that can be drawn from that point". This left him with the problem of explaining how a coherent image was formed from many independent sources of radiation; in particular, every point of an object would send rays to every point on the eye. What Alhazen needed was for each point on an object to correspond to one point only on the eye. He attempted to resolve this by asserting that the eye would only perceive perpendicular rays from the object—for any one point on the eye, only the ray that reached it directly, without being refracted by any other part of the eye, would be perceived. He argued, using a physical analogy, that perpendicular rays were stronger than oblique rays: in the same way that a ball thrown directly at a board might break the board, whereas a ball thrown obliquely at the board would glance off, perpendicular rays were stronger than refracted rays, and it was only perpendicular rays which were perceived by the eye. As there was only one perpendicular ray that would enter the eye at any one point, and all these rays would converge on the centre of the eye in a cone, this allowed him to resolve the problem of each point on an object sending many rays to the eye; if only the perpendicular ray mattered, then he had a one-to-one correspondence and the confusion could be resolved. He later asserted (in book seven of the Optics) that other rays would be refracted through the eye and perceived as if perpendicular. His arguments regarding perpendicular rays do not clearly explain why only perpendicular rays were perceived; why would the weaker oblique rays not be perceived more weakly? His later argument that refracted rays would be perceived as if perpendicular does not seem persuasive. However, despite its weaknesses, no other theory of the time was so comprehensive, and it was enormously influential, particularly in Western Europe. Directly or indirectly, his De Aspectibus (Book of Optics) inspired much activity in optics between the 13th and 17th centuries. Kepler's later theory of the retinal image (which resolved the problem of the correspondence of points on an object and points in the eye) built directly on the conceptual framework of Alhazen. Alhazen showed through experiment that light travels in straight lines, and carried out various experiments with lenses, mirrors, refraction, and reflection. His analyses of reflection and refraction considered the vertical and horizontal components of light rays separately. Alhazen studied the process of sight, the structure of the eye, image formation in the eye, and the visual system. Ian P. Howard argued in a 1996 Perception article that Alhazen should be credited with many discoveries and theories previously attributed to Western Europeans writing centuries later. For example, he described what became in the 19th century Hering's law of equal innervation. He wrote a description of vertical horopters 600 years before Aguilonius that is actually closer to the modern definition than Aguilonius's—and his work on binocular disparity was repeated by Panum in 1858. Craig Aaen-Stockdale, while agreeing that Alhazen should be credited with many advances, has expressed some caution, especially when considering Alhazen in isolation from Ptolemy, with whom Alhazen was extremely familiar. Alhazen corrected a significant error of Ptolemy regarding binocular vision, but otherwise his account is very similar; Ptolemy also attempted to explain what is now called Hering's law. In general, Alhazen built on and expanded the optics of Ptolemy. In a more detailed account of Ibn al-Haytham's contribution to the study of binocular vision based on Lejeune and Sabra, Raynaud showed that the concepts of correspondence, homonymous and crossed diplopia were in place in Ibn al-Haytham's optics. But contrary to Howard, he explained why Ibn al-Haytham did not give the circular figure of the horopter and why, by reasoning experimentally, he was in fact closer to the discovery of Panum's fusional area than that of the Vieth-Müller circle. In this regard, Ibn al-Haytham's theory of binocular vision faced two main limits: the lack of recognition of the role of the retina, and obviously the lack of an experimental investigation of ocular tracts. Alhazen's most original contribution was that, after describing how he thought the eye was anatomically constructed, he went on to consider how this anatomy would behave functionally as an optical system. His understanding of pinhole projection from his experiments appears to have influenced his consideration of image inversion in the eye, which he sought to avoid. He maintained that the rays that fell perpendicularly on the lens (or glacial humor as he called it) were further refracted outward as they left the glacial humor and the resulting image thus passed upright into the optic nerve at the back of the eye. He followed Galen in believing that the lens was the receptive organ of sight, although some of his work hints that he thought the retina was also involved. Alhazen's synthesis of light and vision adhered to the Aristotelian scheme, exhaustively describing the process of vision in a logical, complete fashion. His research in catoptrics (the study of optical systems using mirrors) was centred on spherical and parabolic mirrors and spherical aberration. He made the observation that the ratio between the angle of incidence and refraction does not remain constant, and investigated the magnifying power of a lens. Law of reflection Alhazen was the first physicist to give complete statement of the law of reflection. He was first to state that the incident ray, the reflected ray, and the normal to the surface all lie in a same plane perpendicular to reflecting plane. Alhazen's problem His work on catoptrics in Book V of the Book of Optics contains a discussion of what is now known as Alhazen's problem, first formulated by Ptolemy in 150 AD. It comprises drawing lines from two points in the plane of a circle meeting at a point on the circumference and making equal angles with the normal at that point. This is equivalent to finding the point on the edge of a circular billiard table at which a player must aim a cue ball at a given point to make it bounce off the table edge and hit another ball at a second given point. Thus, its main application in optics is to solve the problem, "Given a light source and a spherical mirror, find the point on the mirror where the light will be reflected to the eye of an observer." This leads to an equation of the fourth degree. This eventually led Alhazen to derive a formula for the sum of fourth powers, where previously only the formulas for the sums of squares and cubes had been stated. His method can be readily generalized to find the formula for the sum of any integral powers, although he did not himself do this (perhaps because he only needed the fourth power to calculate the volume of the paraboloid he was interested in). He used his result on sums of integral powers to perform what would now be called an integration, where the formulas for the sums of integral squares and fourth powers allowed him to calculate the volume of a paraboloid. Alhazen eventually solved the problem using conic sections and a geometric proof. His solution was extremely long and complicated and may not have been understood by mathematicians reading him in Latin translation. Later mathematicians used Descartes' analytical methods to analyse the problem. An algebraic solution to the problem was finally found in 1965 by Jack M. Elkin, an actuarian. Other solutions were discovered in 1989, by Harald Riede and in 1997 by the Oxford mathematician Peter M. Neumann. Recently, Mitsubishi Electric Research Laboratories (MERL) researchers solved the extension of Alhazen's problem to general rotationally symmetric quadric mirrors including hyperbolic, parabolic and elliptical mirrors. Camera Obscura The camera obscura was known to the ancient Chinese, and was described by the Han Chinese polymath Shen Kuo in his scientific book Dream Pool Essays, published in the year 1088 C.E. Aristotle had discussed the basic principle behind it in his Problems, but Alhazen's work contained the first clear description of camera obscura. and early analysis of the device. Ibn al-Haytham used a camera obscura mainly to observe a partial solar eclipse. In his essay, Ibn al-Haytham writes that he observed the sickle-like shape of the sun at the time of an eclipse. The introduction reads as follows: "The image of the sun at the time of the eclipse, unless it is total, demonstrates that when its light passes through a narrow, round hole and is cast on a plane opposite to the hole it takes on the form of a moonsickle." It is admitted that his findings solidified the importance in the history of the camera obscura but this treatise is important in many other respects. Ancient optics and medieval optics were divided into optics and burning mirrors. Optics proper mainly focused on the study of vision, while burning mirrors focused on the properties of light and luminous rays. On the shape of the eclipse is probably one of the first attempts made by Ibn al-Haytham to articulate these two sciences. Very often Ibn al-Haytham's discoveries benefited from the intersection of mathematical and experimental contributions. This is the case with On the shape of the eclipse. Besides the fact that this treatise allowed more people to study partial eclipses of the sun, it especially allowed to better understand how the camera obscura works. This treatise is a physico-mathematical study of image formation inside the camera obscura. Ibn al-Haytham takes an experimental approach, and determines the result by varying the size and the shape of the aperture, the focal length of the camera, the shape and intensity of the light source. In his work he explains the inversion of the image in the camera obscura, the fact that the image is similar to the source when the hole is small, but also the fact that the image can differ from the source when the hole is large. All these results are produced by using a point analysis of the image. Refractometer In the seventh tract of his book of optics, Alhazen described an apparatus for experimenting with various cases of refraction, in order to investigate the relations between the angle of incidence, the angle of refraction and the angle of deflection. This apparatus was a modified version of an apparatus used by Ptolemy for similar purpose. Unconscious inference Alhazen basically states the concept of unconscious inference in his discussion of colour before adding that the inferential step between sensing colour and differentiating it is shorter than the time taken between sensing and any other visible characteristic (aside from light), and that "time is so short as not to be clearly apparent to the beholder." Naturally, this suggests that the colour and form are perceived elsewhere. Alhazen goes on to say that information must travel to the central nerve cavity for processing and:the sentient organ does not sense the forms that reach it from the visible objects until after it has been affected by these forms; thus it does not sense color as color or light as light until after it has been affected by the form of color or light. Now the affectation received by the sentient organ from the form of color or of light is a certain change; and change must take place in time; …..and it is in the time during which the form extends from the sentient organ's surface to the cavity of the common nerve, and in (the time) following that, that the sensitive faculty, which exists in the whole of the sentient body will perceive color as color…Thus the last sentient's perception of color as such and of light as such takes place at a time following that in which the form arrives from the surface of the sentient organ to the cavity of the common nerve. Color constancy Alhazen explained color constancy by observing that the light reflected from an object is modified by the object's color. He explained that the quality of the light and the color of the object are mixed, and the visual system separates light and color. In Book II, Chapter 3 he writes:Again the light does not travel from the colored object to the eye unaccompanied by the color, nor does the form of the color pass from the colored object to the eye unaccompanied by the light. Neither the form of the light nor that of the color existing in the colored object can pass except as mingled together and the last sentient can only perceive them as mingled together. Nevertheless, the sentient perceives that the visible object is luminous and that the light seen in the object is other than the color and that these are two properties. Other contributions The Kitab al-Manazir (Book of Optics) describes several experimental observations that Alhazen made and how he used his results to explain certain optical phenomena using mechanical analogies. He conducted experiments with projectiles and concluded that only the impact of perpendicular projectiles on surfaces was forceful enough to make them penetrate, whereas surfaces tended to deflect oblique projectile strikes. For example, to explain refraction from a rare to a dense medium, he used the mechanical analogy of an iron ball thrown at a thin slate covering a wide hole in a metal sheet. A perpendicular throw breaks the slate and passes through, whereas an oblique one with equal force and from an equal distance does not. He also used this result to explain how intense, direct light hurts the eye, using a mechanical analogy: Alhazen associated 'strong' lights with perpendicular rays and 'weak' lights with oblique ones. The obvious answer to the problem of multiple rays and the eye was in the choice of the perpendicular ray, since only one such ray from each point on the surface of the object could penetrate the eye. Sudanese psychologist Omar Khaleefa has argued that Alhazen should be considered the founder of experimental psychology, for his pioneering work on the psychology of visual perception and optical illusions. Khaleefa has also argued that Alhazen should also be considered the "founder of psychophysics", a sub-discipline and precursor to modern psychology. Although Alhazen made many subjective reports regarding vision, there is no evidence that he used quantitative psychophysical techniques and the claim has been rebuffed. Alhazen offered an explanation of the Moon illusion, an illusion that played an important role in the scientific tradition of medieval Europe. Many authors repeated explanations that attempted to solve the problem of the Moon appearing larger near the horizon than it does when higher up in the sky. Alhazen argued against Ptolemy's refraction theory, and defined the problem in terms of perceived, rather than real, enlargement. He said that judging the distance of an object depends on there being an uninterrupted sequence of intervening bodies between the object and the observer. When the Moon is high in the sky there are no intervening objects, so the Moon appears close. The perceived size of an object of constant angular size varies with its perceived distance. Therefore, the Moon appears closer and smaller high in the sky, and further and larger on the horizon. Through works by Roger Bacon, John Pecham and Witelo based on Alhazen's explanation, the Moon illusion gradually came to be accepted as a psychological phenomenon, with the refraction theory being rejected in the 17th century. Although Alhazen is often credited with the perceived distance explanation, he was not the first author to offer it. Cleomedes ( 2nd century) gave this account (in addition to refraction), and he credited it to Posidonius ( 135–50 BCE). Ptolemy may also have offered this explanation in his Optics, but the text is obscure. Alhazen's writings were more widely available in the Middle Ages than those of these earlier authors, and that probably explains why Alhazen received the credit. Scientific method An aspect associated with Alhazen's optical research is related to systemic and methodological reliance on experimentation (i'tibar)(Arabic: اختبار) and controlled testing in his scientific inquiries. Moreover, his experimental directives rested on combining classical physics (ilm tabi'i) with mathematics (ta'alim; geometry in particular). This mathematical-physical approach to experimental science supported most of his propositions in Kitab al-Manazir (The Optics; De aspectibus or Perspectivae) and grounded his theories of vision, light and colour, as well as his research in catoptrics and dioptrics (the study of the reflection and refraction of light, respectively). According to Matthias Schramm, Alhazen "was the first to make a systematic use of the method of varying the experimental conditions in a constant and uniform manner, in an experiment showing that the intensity of the light-spot formed by the projection of the moonlight through two small apertures onto a screen diminishes constantly as one of the apertures is gradually blocked up." G. J. Toomer expressed some skepticism regarding Schramm's view, partly because at the time (1964) the Book of Optics had not yet been fully translated from Arabic, and Toomer was concerned that without context, specific passages might be read anachronistically. While acknowledging Alhazen's importance in developing experimental techniques, Toomer argued that Alhazen should not be considered in isolation from other Islamic and ancient thinkers. Toomer concluded his review by saying that it would not be possible to assess Schramm's claim that Ibn al-Haytham was the true founder of modern physics without translating more of Alhazen's work and fully investigating his influence on later medieval writers. Other works on physics Optical treatises Besides the Book of Optics, Alhazen wrote several other treatises on the same subject, including his Risala fi l-Daw (Treatise on Light). He investigated the properties of luminance, the rainbow, eclipses, twilight, and moonlight. Experiments with mirrors and the refractive interfaces between air, water, and glass cubes, hemispheres, and quarter-spheres provided the foundation for his theories on catoptrics. Celestial physics Alhazen discussed the physics of the celestial region in his Epitome of Astronomy, arguing that Ptolemaic models must be understood in terms of physical objects rather than abstract hypotheses—in other words that it should be possible to create physical models where (for example) none of the celestial bodies would collide with each other. The suggestion of mechanical models for the Earth centred Ptolemaic model "greatly contributed to the eventual triumph of the Ptolemaic system among the Christians of the West". Alhazen's determination to root astronomy in the realm of physical objects was important, however, because it meant astronomical hypotheses "were accountable to the laws of physics", and could be criticised and improved upon in those terms. He also wrote Maqala fi daw al-qamar (On the Light of the Moon). Mechanics In his work, Alhazen discussed theories on the motion of a body. In his Treatise on Place, Alhazen disagreed with Aristotle's view that nature abhors a void, and he used geometry in an attempt to demonstrate that place (al-makan) is the imagined three-dimensional void between the inner surfaces of a containing body. Astronomical works On the Configuration of the World In his On the Configuration of the World Alhazen presented a detailed description of the physical structure of the earth: The book is a non-technical explanation of Ptolemy's Almagest, which was eventually translated into Hebrew and Latin in the 13th and 14th centuries and subsequently had an influence on astronomers such as Georg von Peuerbach during the European Middle Ages and Renaissance. Doubts Concerning Ptolemy In his Al-Shukūk ‛alā Batlamyūs, variously translated as Doubts Concerning Ptolemy or Aporias against Ptolemy, published at some time between 1025 and 1028, Alhazen criticized Ptolemy's Almagest, Planetary Hypotheses, and Optics, pointing out various contradictions he found in these works, particularly in astronomy. Ptolemy's Almagest concerned mathematical theories regarding the motion of the planets, whereas the Hypotheses concerned what Ptolemy thought was the actual configuration of the planets. Ptolemy himself acknowledged that his theories and configurations did not always agree with each other, arguing that this was not a problem provided it did not result in noticeable error, but Alhazen was particularly scathing in his criticism of the inherent contradictions in Ptolemy's works. He considered that some of the mathematical devices Ptolemy introduced into astronomy, especially the equant, failed to satisfy the physical requirement of uniform circular motion, and noted the absurdity of relating actual physical motions to imaginary mathematical points, lines and circles: Having pointed out the problems, Alhazen appears to have intended to resolve the contradictions he pointed out in Ptolemy in a later work. Alhazen believed there was a "true configuration" of the planets that Ptolemy had failed to grasp. He intended to complete and repair Ptolemy's system, not to replace it completely. In the Doubts Concerning Ptolemy Alhazen set out his views on the difficulty of attaining scientific knowledge and the need to question existing authorities and theories: He held that the criticism of existing theories—which dominated this book—holds a special place in the growth of scientific knowledge. Model of the Motions of Each of the Seven Planets Alhazen's The Model of the Motions of Each of the Seven Planets was written 1038. Only one damaged manuscript has been found, with only the introduction and the first section, on the theory of planetary motion, surviving. (There was also a second section on astronomical calculation, and a third section, on astronomical instruments.) Following on from his Doubts on Ptolemy, Alhazen described a new, geometry-based planetary model, describing the motions of the planets in terms of spherical geometry, infinitesimal geometry and trigonometry. He kept a geocentric universe and assumed that celestial motions are uniformly circular, which required the inclusion of epicycles to explain observed motion, but he managed to eliminate Ptolemy's equant. In general, his model didn't try to provide a causal explanation of the motions, but concentrated on providing a complete, geometric description that could explain observed motions without the contradictions inherent in Ptolemy's model. Other astronomical works Alhazen wrote a total of twenty-five astronomical works, some concerning technical issues such as Exact Determination of the Meridian, a second group concerning accurate astronomical observation, a third group concerning various astronomical problems and questions such as the location of the Milky Way; Alhazen made the first systematic effort of evaluating the Milky Way's parallax, combining Ptolemy's data and his own. He concluded that the parallax is (probably very much) smaller than Lunar parallax, and the Milky way should be a celestial object. Though he was not the first who argued that the Milky Way does not belong to the atmosphere, he is the first who did quantitative analysis for the claim. The fourth group consists of ten works on astronomical theory, including the Doubts and Model of the Motions discussed above. Mathematical works In mathematics, Alhazen built on the mathematical works of Euclid and Thabit ibn Qurra and worked on "the beginnings of the link between algebra and geometry". He developed a formula for summing the first 100 natural numbers, using a geometric proof to prove the formula. Geometry Alhazen explored what is now known as the Euclidean parallel postulate, the fifth postulate in Euclid's Elements, using a proof by contradiction, and in effect introducing the concept of motion into geometry. He formulated the Lambert quadrilateral, which Boris Abramovich Rozenfeld names the "Ibn al-Haytham–Lambert quadrilateral". He was criticised by Omar Khayyam who pointed that Aristotle had condemned the use of motion in geometry. In elementary geometry, Alhazen attempted to solve the problem of squaring the circle using the area of lunes (crescent shapes), but later gave up on the impossible task. The two lunes formed from a right triangle by erecting a semicircle on each of the triangle's sides, inward for the hypotenuse and outward for the other two sides, are known as the lunes of Alhazen; they have the same total area as the triangle itself. Number theory Alhazen's contributions to number theory include his work on perfect numbers. In his Analysis and Synthesis, he may have been the first to state that every even perfect number is of the form 2n−1(2n − 1) where 2n − 1 is prime, but he was not able to prove this result; Euler later proved it in the 18th century, and it is now called the Euclid–Euler theorem. Alhazen solved problems involving congruences using what is now called Wilson's theorem. In his Opuscula, Alhazen considers the solution of a system of congruences, and gives two general methods of solution. His first method, the canonical method, involved Wilson's theorem, while his second method involved a version of the Chinese remainder theorem. Calculus Alhazen discovered the sum formula for the fourth power, using a method that could be generally used to determine the sum for any integral power. He used this to find the volume of a paraboloid. He could find the integral formula for any polynomial without having developed a general formula. Other works Influence of Melodies on the Souls of Animals Alhazen also wrote a Treatise on the Influence of Melodies on the Souls of Animals, although no copies have survived. It appears to have been concerned with the question of whether animals could react to music, for example whether a camel would increase or decrease its pace. Engineering In engineering, one account of his career as a civil engineer has him summoned to Egypt by the Fatimid Caliph, Al-Hakim bi-Amr Allah, to regulate the flooding of the Nile River. He carried out a detailed scientific study of the annual inundation of the Nile River, and he drew plans for building a dam, at the site of the modern-day Aswan Dam. His field work, however, later made him aware of the impracticality of this scheme, and he soon feigned madness so he could avoid punishment from the Caliph. Philosophy In his Treatise on Place, Alhazen disagreed with Aristotle's view that nature abhors a void, and he used geometry in an attempt to demonstrate that place (al-makan) is the imagined three-dimensional void between the inner surfaces of a containing body. Abd-el-latif, a supporter of Aristotle's philosophical view of place, later criticized the work in Fi al-Radd 'ala Ibn al-Haytham fi al-makan (A refutation of Ibn al-Haytham's place) for its geometrization of place. Alhazen also discussed space perception and its epistemological implications in his Book of Optics. In "tying the visual perception of space to prior bodily experience, Alhazen unequivocally rejected the intuitiveness of spatial perception and, therefore, the autonomy of vision. Without tangible notions of distance and size for correlation, sight can tell us next to nothing about such things." Alhazen came up with many theories that shattered what was known of reality at the time. These ideas of optics and perspective did not just tie into physical science, rather existential philosophy. This led to religious viewpoints being upheld to the point that there is an observer and their perspective, which in this case is reality. Theology Alhazen was a Muslim and most sources report that he was a Sunni and a follower of the Ash'ari school.Kaminski, Joseph J. "The Trajectory of the Development of Islamic ThoughtA Comparison Between Two Earlier and Two Later Scholars." The Contemporary Islamic Governed State. Palgrave Macmillan, Cham, 2017. 31–70. "For example, Ibn al-Haytham and Abū Rayhān al-Bīrūnī were among the most important medieval scholars who used the scientific method in their approach to natural science, and they were both Ash'arites" Ziauddin Sardar says that some of the greatest Muslim scientists, such as Ibn al-Haytham and Abū Rayhān al-Bīrūnī, who were pioneers of the scientific method, were themselves followers of the Ashʿari school of Islamic theology. Like other Ashʿarites who believed that faith or taqlid should apply only to Islam and not to any ancient Hellenistic authorities, Ibn al-Haytham's view that taqlid should apply only to prophets of Islam and not to any other authorities formed the basis for much of his scientific skepticism and criticism against Ptolemy and other ancient authorities in his Doubts Concerning Ptolemy and Book of Optics. Alhazen wrote a work on Islamic theology in which he discussed prophethood and developed a system of philosophical criteria to discern its false claimants in his time. He also wrote a treatise entitled Finding the Direction of Qibla by Calculation in which he discussed finding the Qibla, where prayers (salat) are directed towards, mathematically. There are occasional references to theology or religious sentiment in his technical works, e.g. in Doubts Concerning Ptolemy: In The Winding Motion: Regarding the relation of objective truth and God: Legacy Alhazen made significant contributions to optics, number theory, geometry, astronomy and natural philosophy. Alhazen's work on optics is credited with contributing a new emphasis on experiment. His main work, Kitab al-Manazir (Book of Optics), was known in the Muslim world mainly, but not exclusively, through the thirteenth-century commentary by Kamāl al-Dīn al-Fārisī, the Tanqīḥ al-Manāẓir li-dhawī l-abṣār wa l-baṣā'ir. In al-Andalus, it was used by the eleventh-century prince of the Banu Hud dynasty of Zaragossa and author of an important mathematical text, al-Mu'taman ibn Hūd. A Latin translation of the Kitab al-Manazir was made probably in the late twelfth or early thirteenth century. This translation was read by and greatly influenced a number of scholars in Christian Europe including: Roger Bacon, Robert Grosseteste, Witelo, Giambattista della Porta, Leonardo da Vinci, Galileo Galilei, Christiaan Huygens, René Descartes, and Johannes Kepler. Meanwhile, in the Islamic world, Alhazen's work influenced Averroes' writings on optics, and his legacy was further advanced through the 'reforming' of his Optics by Persian scientist Kamal al-Din al-Farisi (died c. 1320) in the latter's Kitab Tanqih al-Manazir (The Revision of [Ibn al-Haytham's] Optics). Alhazen wrote as many as 200 books, although only 55 have survived. Some of his treatises on optics survived only through Latin translation. During the Middle Ages his books on cosmology were translated into Latin, Hebrew and other languages. Although only one commentary on Alhazen's optics has survived the Islamic Middle Ages, Geoffrey Chaucer mentions the work in The Canterbury Tales: "They spoke of Alhazen and Vitello, And Aristotle, who wrote, in their lives, On strange mirrors and optical instruments." The impact crater Alhazen on the Moon is named in his honour, as was the asteroid 59239 Alhazen. In honour of Alhazen, the Aga Khan University (Pakistan) named its Ophthalmology endowed chair as "The Ibn-e-Haitham Associate Professor and Chief of Ophthalmology". Alhazen, by the name Ibn al-Haytham, is featured on the obverse of the Iraqi 10,000-dinar banknote issued in 2003, and on 10-dinar notes from 1982. The 2015 International Year of Light celebrated the 1000th anniversary of the works on optics by Ibn Al-Haytham. Commemorations In 2014, the "Hiding in the Light" episode of Cosmos: A Spacetime Odyssey, presented by Neil deGrasse Tyson, focused on the accomplishments of Ibn al-Haytham. He was voiced by Alfred Molina in the episode. Over forty years previously, Jacob Bronowski presented Alhazen's work in a similar television documentary (and the corresponding book), The Ascent of Man. In episode 5 (The Music of the Spheres), Bronowski remarked that in his view, Alhazen was "the one really original scientific mind that Arab culture produced", whose theory of optics was not improved on till the time of Newton and Leibniz. H. J. J. Winter, a British historian of science, summing up the importance of Ibn al-Haytham in the history of physics wrote: After the death of Archimedes no really great physicist appeared until Ibn al-Haytham. If, therefore, we confine our interest only to the history of physics, there is a long period of over twelve hundred years during which the Golden Age of Greece gave way to the era of Muslim Scholasticism, and the experimental spirit of the noblest physicist of Antiquity lived again in the Arab Scholar from Basra. UNESCO declared 2015 the International Year of Light and its Director-General Irina Bokova dubbed Ibn al-Haytham 'the father of optics'. Amongst others, this was to celebrate Ibn Al-Haytham's achievements in optics, mathematics and astronomy. An international campaign, created by the 1001 Inventions organisation, titled 1001 Inventions and the World of Ibn Al-Haytham featuring a series of interactive exhibits, workshops and live shows about his work, partnering with science centers, science festivals, museums, and educational institutions, as well as digital and social media platforms. The campaign also produced and released the short educational film 1001 Inventions and the World of Ibn Al-Haytham. List of works According to medieval biographers, Alhazen wrote more than 200 works on a wide range of subjects, of which at least 96 of his scientific works are known. Most of his works are now lost, but more than 50 of them have survived to some extent. Nearly half of his surviving works are on mathematics, 23 of them are on astronomy, and 14 of them are on optics, with a few on other subjects. Not all his surviving works have yet been studied, but some of the ones that have are given below. Book of Optics (كتاب المناظر) Analysis and Synthesis (مقالة في التحليل والتركيب) Balance of Wisdom (ميزان الحكمة) Corrections to the Almagest (تصويبات على المجسطي) Discourse on Place (مقالة في المكان) Exact Determination of the Pole (التحديد الدقيق للقطب) Exact Determination of the Meridian (رسالة في الشفق) Finding the Direction of Qibla by Calculation (كيفية حساب اتجاه القبلة) Horizontal Sundials (المزولة الأفقية) Hour Lines (خطوط الساعة) Doubts Concerning Ptolemy (شكوك على بطليموس) Maqala fi'l-Qarastun (مقالة في قرسطون) On Completion of the Conics (إكمال المخاريط) On Seeing the Stars (رؤية الكواكب) On Squaring the Circle (مقالة فی تربیع الدائرة) On the Burning Sphere (المرايا المحرقة بالدوائر) On the Configuration of the World (تكوين العالم) On the Form of Eclipse (مقالة فی صورة ‌الکسوف) On the Light of Stars (مقالة في ضوء النجوم) On the Light of the Moon (مقالة في ضوء القمر) On the Milky Way (مقالة في درب التبانة) On the Nature of Shadows (كيفيات الإظلال) On the Rainbow and Halo (مقالة في قوس قزح) Opuscula (Minor Works) Resolution of Doubts Concerning the Almagest (تحليل شكوك حول الجست) Resolution of Doubts Concerning the Winding Motion The Correction of the Operations in Astronomy (تصحيح العمليات في الفلك) The Different Heights of the Planets (اختلاف ارتفاع الكواكب) The Direction of Mecca (اتجاه القبلة) The Model of the Motions of Each of the Seven Planets (نماذج حركات الكواكب السبعة) The Model of the Universe (نموذج الكون) The Motion of the Moon (حركة القمر) The Ratios of Hourly Arcs to their Heights The Winding Motion (الحركة المتعرجة) Treatise on Light (رسالة في الضوء) Treatise on Place (رسالة في المكان) Treatise on the Influence of Melodies on the Souls of Animals (تأثير اللحون الموسيقية في النفوس الحيوانية) كتاب في تحليل المسائل الهندسية (A book in engineering analysis) الجامع في أصول الحساب (The whole in the assets of the account) قول فی مساحة الکرة (Say in the sphere) القول المعروف بالغریب فی حساب المعاملات (Saying the unknown in the calculation of transactions) خواص المثلث من جهة العمود (Triangle properties from the side of the column) رسالة فی مساحة المسجم المکافی (A message in the free space) شرح أصول إقليدس (Explain the origins of Euclid) المرايا المحرقة بالقطوع (The burning mirrors of the rainbow) مقالة في القرصتن (Treatise on Centers of Gravity) Lost works A Book in which I have Summarized the Science of Optics from the Two Books of Euclid and Ptolemy, to which I have added the Notions of the First Discourse which is Missing from Ptolemy's Book Treatise on Burning Mirrors Treatise on the Nature of [the Organ of] Sight and on How Vision is Achieved Through It See also "Hiding in the Light" History of mathematics Theoretical physics History of optics History of physics History of science History of scientific method Hockney–Falco thesis Mathematics in medieval Islam Physics in medieval Islam Science in the medieval Islamic world Fatima al-Fihri Islamic Golden Age Notes References Sources Reprinted in (Books I-III (2001) Vol 1 Commentary and Latin text via JSTOR; Vol 2 English translation I: TOC pp. 339–41, II: TOC pp. 415–16, III: TOC pp. 559–60, Notes 681ff, Bibl. via JSTOR) (Books 4–5 (2006) 95 4 – Vol 1 Commentary and Latin text via JSTOR; 95 5 – Vol 2 English translation IV: TOC pp. 289–94, V: TOC pp. 377–84, Notes, Bibl. via JSTOR) (Book 6 (2008) 98 (#1, section 1) – Vol 1 Commentary and Latin text via JSTOR; 98 (#1, section 2) – Vol 2 English translation VI:TOC pp. 155–160, Notes, Bibl. via JSTOR) (Book 7 (2010) 100(#3, section 1) – Vol 1 Commentary and Latin text via JSTOR; 100(#3, section 2) – Vol 2 English translation VII: TOC pp. 213–18, Notes, Bibl. via JSTOR) Further reading Primary 2 vols: . (Philadelphia: American Philosophical Society), 2006 – 95(#2) Books 4–5 Vol 1 Commentary and Latin text via JSTOR; 95(#3) Vol 2 English translation, Notes, Bibl. via JSTOR Smith, A. Mark, ed. and trans. (2008) Alhacen on Image-formation and distortion in mirrors : a critical edition, with English translation and commentary, of Book 6 of Alhacen's De aspectibus, [the Medieval Latin version of Ibn al-Haytham's Kitāb al-Manāzir], Transactions of the American Philosophical Society, 2 vols: Vol 1 98(#1, section 1 – Vol 1 Commentary and Latin text); 98(#1, section 2 – Vol 2 English translation). (Philadelphia: American Philosophical Society), 2008. Book 6 (2008) Vol 1 Commentary and Latin text via JSTOR; Vol 2 English translation, Notes, Bibl. via JSTOR Smith, A. Mark, ed. and trans. (2010) Alhacen on Refraction : a critical edition, with English translation and commentary, of Book 7 of Alhacen's De aspectibus, [the Medieval Latin version of Ibn al-Haytham's Kitāb al-Manāzir], Transactions of the American Philosophical Society, 2 vols: 100(#3, section 1 – Vol 1, Introduction and Latin text); 100'''(#3, section 2 – Vol 2 English translation). (Philadelphia: American Philosophical Society), 2010. Book 7 (2010) Vol 1 Commentary and Latin text via JSTOR;Vol 2 English translation, Notes, Bibl. via JSTOR Secondary Belting, Hans, Afterthoughts on Alhazen's Visual Theory and Its Presence in the Pictorial Theory of Western Perspective, in: Variantology 4. On Deep Time Relations of Arts, Sciences and Technologies in the Arabic-Islamic World and Beyond, ed. by Siegfried Zielinski and Eckhard Fürlus in cooperation with Daniel Irrgang and Franziska Latell (Cologne: Verlag der Buchhandlung Walther König, 2010), pp. 19–42. Graham, Mark. How Islam Created the Modern World. Amana Publications, 2006. Roshdi Rashed, Optics and Mathematics: Research on the history of scientific thought in Arabic, Variorum reprints, Aldershot, 1992. Roshdi Rashed, Geometry and Dioptrics the tenth century: Ibn Sahl al-Quhi and Ibn al-Haytham (in French), Les Belles Lettres, Paris, 1993 Roshdi Rashed, Infinitesimal Mathematics, vols. 1–5, al-Furqan Islamic Heritage Foundation, London, 1993–2006 Siegfried Zielinski & Franziska Latell, How One Sees'', in: Variantology 4. On Deep Time Relations of Arts, Sciences and Technologies in the Arabic-Islamic World and Beyond, ed. by Siegfried Zielinski and Eckhard Fürlus in cooperation with Daniel Irrgang and Franziska Latell (Cologne: Verlag der Buchhandlung Walther König, 2010), pp. 19–42. Buchhandlung Walther-König - KWB 45: Variantology 4 External links (PDF version) 'A Brief Introduction on Ibn al-Haytham' based on a lecture delivered at the Royal Society in London by Nader El-Bizri Ibn al-Haytham on two Iraqi banknotes The Miracle of Light – a UNESCO article on Ibn al-Haytham Biography from Malaspina Global Portal Short biographies on several "Muslim Heroes and Personalities" including Ibn al-Haytham Biography from Trinity College (Connecticut) Biography from Molecular Expressions The First True Scientist from BBC News Over the Moon From The UNESCO Courier on the occasion of the International Year of Astronomy 2009 The Mechanical Water Clock Of Ibn Al-Haytham, Muslim Heritage Alhazen's (1572) Opticae thesaurus (English) – digital facsimile from the Linda Hall Library 960s births 1040 deaths 10th-century mathematicians 11th-century astronomers 11th-century mathematicians Scholars under the Buyid dynasty Mathematicians from the Fatimid Caliphate Iraqi astronomers Mathematicians under the Buyid dynasty Iraqi scientists Engineers of the medieval Islamic world Medieval physicists Philosophers of the medieval Islamic world Philosophers of science Natural philosophers People from Basra Precursors of photography Scientists who worked on qibla determination Inventors of the medieval Islamic world History of scientific method History of optics 11th-century inventors
1649
https://en.wikipedia.org/wiki/Almoravid%20dynasty
Almoravid dynasty
The Almoravid dynasty () was an imperial Berber Muslim dynasty centered in the territory of present-day Morocco. It established an empire in the 11th century that stretched over the western Maghreb and Al-Andalus, starting in the 1050s and lasting until its fall to the Almohads in 1147. The dynasty emerged from a coalition of the Lamtuna, Gudala, and Massufa, nomadic Berber tribes living in what is now Mauritania and the Western Sahara, traversing the territory between the Draa, the Niger, and the Senegal rivers. During their expansion into the Maghreb, the Almoravids founded the city of Marrakesh as a capital, . The Almoravids were crucial in preventing the fall of Al-Andalus (Muslim rule in Iberia) to the Iberian Christian kingdoms, when they decisively defeated a coalition of the Castilian and Aragonese armies at the Battle of Sagrajas in 1086. This enabled them to control an empire that stretched north to south. Their rulers never claimed the title of caliph and instead took on the title of Amir al-Muslimīn ("Prince of the Muslims") while formally acknowledging the overlordship of the Abbasid Caliphs in Baghdad. However, the rule of the dynasty was relatively short-lived. The Almoravids fell—at the height of their power—when they failed to stop the Masmuda-led rebellion initiated by Ibn Tumart. As a result, their last king Ishaq ibn Ali was killed in Marrakesh in April 1147 by the Almohad Caliphate, which replaced them as a ruling dynasty both in the Maghreb and Al-Andalus. Name The term "Almoravid" comes from the Arabic "" (), through the . The transformation of the in "" to the in is an example of betacism in Spanish. In Arabic, "" literally means "one who is tying" but figuratively means "one who is ready for battle at a fortress". The term is related to the notion of , a North African frontier monastery-fortress, through the root r-b-t ( "": to tie, to unite or "": to encamp). The name "Almoravid" was tied to a school of Malikite law called "Dar al-Murabitin" founded in Sus al-Aksa, modern day Morocco, by a scholar named Waggag ibn Zallu. Ibn Zallu sent his student Abdallah ibn Yasin to preach Malikite Islam to the Sanhaja Berbers of the Adrar (present-day Mauritania). Hence, the name of the Almoravids comes from the followers of the Dar al-Murabitin, "the house of those who were bound together in the cause of God." It is uncertain exactly when or why the Almoravids acquired that appellation. Al-Bakri, writing in 1068, before their apex, already calls them the al-Murabitun, but does not clarify the reasons for it. Writing three centuries later, Ibn Abi Zar suggested it was chosen early on by Abdallah ibn Yasin because, upon finding resistance among the Gudala Berbers of Adrar (Mauritania) to his teaching, he took a handful of followers to erect a makeshift ribat (monastery-fortress) on an offshore island (possibly Tidra island, in the Bay of Arguin). Ibn 'Idhari wrote that the name was suggested by Ibn Yasin in the "persevering in the fight" sense, to boost morale after a particularly hard-fought battle in the Draa valley , in which they had taken many losses. Whichever explanation is true, it seems certain the appellation was chosen by the Almoravids for themselves, partly with the conscious goal of forestalling any tribal or ethnic identifications. The name might be related to the ribat of Waggag ibn Zallu in the village of Aglu (near present-day Tiznit), where the future Almoravid spiritual leader Abdallah ibn Yasin got his initial training. The 13th-century Moroccan biographer Ibn al-Zayyat al-Tadili, and Qadi Ayyad before him in the 12th century, note that Waggag's learning center was called Dar al-Murabitin (The house of the Almoravids), and that might have inspired Ibn Yasin's choice of name for the movement. Contemporaries frequently referred to them as the al-mulathimun ("the veiled ones", from , Arabic for "veil"). The Almoravids veiled themselves below the eyes with a tagelmust, a custom they adapted from southern Sanhaja Berbers (this can still be seen among the modern Tuareg people, but it was unusual further north). Although practical for the desert dust, the Almoravids insisted on wearing the veil everywhere, as a badge of "foreignness" in urban settings, partly as a way of emphasizing their puritan credentials. It served as the uniform of the Almoravids. Under their rule, sumptuary laws forbade anybody else from wearing the veil, thereby making it the distinctive dress of the ruling class. In turn, the succeeding Almohads made a point of mocking the Almoravid veil as symbolic of effeminacy and decadence. History Origins The Berbers of the Maghreb in the early Middle Ages could be roughly classified into three major groups: the Zenata across the north, the Masmuda, concentrated in central Morocco, and the Sanhaja, clustered in the western part of the Sahara and the hills of the eastern Maghreb. The eastern Sanhaja included the Kutama Berbers, who had been the base of the Fatimid rise in the early 10th century, and the Zirid dynasty, who ruled Ifriqiya as vassals of the Fatimids after the latter moved to Egypt in 972. The western Sanhaja were divided into several tribes: the Gazzula and the Lamta in the Draa valley and the foothills of the Anti-Atlas range; further south, encamped in the western Sahara, were the Massufa, the Banu Warith; and most southerly of all, the Lamtuna and Gudala, in littoral Mauritania down to the borderlands of the Senegal River. The western Sanhaja had been converted to Islam some time in the 9th century. They were subsequently united in the 10th century and, with the zeal of new converts, launched several campaigns against the "Sudanese" (pagan peoples of sub-Saharan Africa). Under their king Tinbarutan ibn Usfayshar, the Sanhaja Lamtuna erected (or captured) the citadel of Aoudaghost, a critical stop on the trans-Saharan trade route. After the collapse of the Sanhaja union, Aoudaghost passed over to the Ghana Empire; and the trans-Saharan routes were taken over by the Zenata Maghrawa of Sijilmasa. The Maghrawa also exploited this disunion to dislodge the Sanhaja Gazzula and Lamta out of their pasturelands in the Sous and Draa valleys. Around 1035, the Lamtuna chieftain Abu Abdallah Muhammad ibn Tifat (alias Tarsina), tried to reunite the Sanhaja desert tribes, but his reign lasted less than three years. Around 1040, Yahya ibn Ibrahim, a chieftain of the Gudala (and brother-in-law of the late Tarsina), went on pilgrimage to Mecca. On his return, he stopped by Kairouan in Ifriqiya, where he met Abu Imran al-Fasi, a native of Fez and a jurist and scholar of the Sunni Maliki school. At this time, Ifriqiya was in ferment. The Zirid ruler, al-Mu'izz ibn Badis, was openly contemplating breaking with his Shi'ite Fatimid overlords in Cairo, and the jurists of Kairouan were agitating for him to do so. Within this heady atmosphere, Yahya and Abu Imran fell into conversation on the state of the faith in their western homelands, and Yahya expressed his disappointment at the lack of religious education and negligence of Islamic law among his southern Sanhaja people. With Abu Imran's recommendation, Yahya ibn Ibrahim made his way to the ribat of Waggag ibn Zelu in the Sous valley of southern Morocco, to seek out a Maliki teacher for his people. Waggag assigned him one of his residents, Abdallah ibn Yasin. Abdallah ibn Yasin was a Gazzula Berber, and probably a convert rather than a born Muslim. His name can be read as "son of Ya-Sin" (the title of the 36th surah of the Quran), suggesting he had obliterated his family past and was "re-born" of the Holy Book. Ibn Yasin certainly had the ardor of a puritan zealot; his creed was mainly characterized by a rigid formalism and a strict adherence to the dictates of the Quran, and the Orthodox tradition. (Chroniclers such as al-Bakri allege Ibn Yasin's learning was superficial.) Ibn Yasin's initial meetings with the Guddala people went poorly. As he had more ardor than depth, Ibn Yasin's arguments were disputed by his audience. He responded to questioning with charges of apostasy and handed out harsh punishments for the slightest deviations. The Guddala soon had enough and expelled him almost immediately after the death of his protector, Yahya ibn Ibrahim, sometime in the 1040s. Ibn Yasin, however, found a more favorable reception among the neighboring Lamtuna people. Probably sensing the useful organizing power of Ibn Yasin's pious fervor, the Lamtuna chieftain Yahya ibn Umar al-Lamtuni invited the man to preach to his people. The Lamtuna leaders, however, kept Ibn Yasin on a careful leash, forging a more productive partnership between them. Invoking stories of the early life of Muhammad, Ibn Yasin preached that conquest was a necessary addendum to Islamicization, that it was not enough to merely adhere to God's law, but necessary to also destroy opposition to it. In Ibn Yasin's ideology, anything and everything outside of Islamic law could be characterized as "opposition". He identified tribalism, in particular, as an obstacle. He believed it was not enough to urge his audiences to put aside their blood loyalties and ethnic differences, and embrace the equality of all Muslims under the Sacred Law, it was necessary to make them do so. For the Lamtuna leadership, this new ideology dovetailed with their long desire to refound the Sanhaja union and recover their lost dominions. In the early 1050s, the Lamtuna, under the joint leadership of Yahya ibn Umar and Abdallah ibn Yasin—soon calling themselves the al-Murabitin (Almoravids)—set out on a campaign to bring their neighbors over to their cause. Expansion Early conquests In the early 1050s, a kind of triumvirate emerged in leading the Almoravid movement, including Abdallah Ibn Yasin, Yahya Ibn Umar and his brother Abu Bakr Ibn Umar. The movement was now dominated by the Lamtuna rather than the Guddala. During the 1050s the Almoravids began their expansion and their conquest of the Saharan tribes. Their first major targets were two strategic cities located at the northern and southern edges of desert: Sijilmasa in the north and Awdaghust (Aoudaghost). Control of these two cities would allow the Almoravids to effectively control the trans-Saharan trade routes. Sijilmasa was controlled by the Maghrawa, a part of the northern Zenata Berber confederation, while Awdaghust was controlled by the Soninke. Both cities were captured in 1054 or 1055. Sijilmasa was captured first and its leader, Mas'ud Ibn Wannudin, was killed, along with other Maghrawa leaders. According to historical sources, the Almoravid army rode on camels and numbered 30,000, though this number may be an exaggeration. Strengthened with the spoils of their victory, they left a garrison of Lamtuna tribesmen in the city and then turned south to capture Awdaghust, which they accomplished that same year. Although the town was mainly Muslim, the Almoravids pillaged the city and treated the population harshly on the basis that they recognized the pagan king of Ghana. Not long after the main Almoravid army left Sijilmasa the city rebelled and the Maghrawa returned, slaughtering the Lamtuna garrison. Ibn Yasin responded by organizing a second expedition to recapture it, but the Guddala refused to join him and returned instead to their homelands in the desert regions along the Atlantic coast. Historian Amira Bennison suggests that some Almoravids, including the Guddala, were unwilling to be dragged into a conflict with the powerful Zanata tribes of the north and this created tension with those, like Ibn Yasin, who saw northern expansion as the next step in their fortunes. While Ibn Yasin went north, Yahya Ibn Umar remained in the south in the Adrar, the heartland of the Lamtuna, in a defensible and well-provisioned place called Jabal Lamtuna, about 10 kilometres northwest of modern Atar. His stronghold there was a fortress called Azuggi (also rendered variably as Azougui or Azukki), which had been built earlier by his brother Yannu ibn Umar al-Hajj. Some scholars, including Attilio Gaudio, Christiane Vanacker, and Brigitte Himpan and Diane Himpan-Sabatier describe Azuggi as the "first capital" of the Almoravids. Yahya ibn Umar was subsequently killed in battle against the Guddala in 1055 or 1056, or later in 1057. Meanwhile, Ibn Yasin in the north had ordered Abu Bakr to take command of the Almoravid army and they soon recaptured Sijilmasa. By 1056, they had conquered Taroudant and the Sous Valley, continuing to impose Maliki Islamic law over the communities they conquered. When the campaign concluded that year, they retired to Sijilmasa and established their base there. It was around this time that Abu Bakr appointed his cousin, Yusuf ibn Tashfin, to command the garrison of the city. In 1058 they crossed the High Atlas and conquered Aghmat, a prosperous commercial town near the foothills of the mountains, and made it their capital. They then came in contact with the Barghawata, a Berber tribal confederation who followed an Islamic "heresy" preached by Salih ibn Tarif three centuries earlier. The Barghawata occupied the region northwest of Aghmat and along the Atlantic coast. They resisted the Almoravids fiercely and the campaign against them was bloody. Abdullah ibn Yasin was killed in battle with them in 1058 or 1059, at a place called Kurīfalalt or Kurifala. By 1060, however, they were conquered by Abu Bakr ibn Umar and were forced to convert to orthodox Islam. Shortly after this, Abu Bakr had reached as far as Meknes. Towards 1068, Abu Bakr married a noble and wealthy Berber woman, Zaynab an-Nafzawiyyah, who would become very influential in the development of the dynasty. Zaynab was the daughter of a wealthy merchant from Kairouan who had settled in Aghmat. She had been previously married to Laqut ibn Yusuf ibn Ali al-Maghrawi, the ruler of Aghmat, until the latter was killed during the Almoravid conquest of the city. Founding of Marrakesh and internal division It was around this time that Abu Bakr ibn Umar founded the new capital of Marrakesh. Historical sources cite a variety of dates for this event ranging from 1062, given by Ibn Abi Zar and Ibn Khaldun, to 1078 (470 AH), given by Muhammad al-Idrisi. The year 1070, given by Ibn Idhari, is more commonly used by modern historians, although 1062 is still cited by some writers. Shortly after founding the new city, Abu Bakr was compelled to return south to the Sahara in order to suppress a rebellion by the Guddala and their allies which threatened the desert trade routes, in either 1060 or 1071. His wife Zaynab appears to have been unwilling to follow him south and he granted her a divorce. Apparently on Abu Bakr's instructions, she was then married to Yusuf Ibn Tashfin. Before leaving, Abu Bakr appointed Ibn Tashfin as his deputy in charge of the new Almoravid territories in the north. According to Ibn Idhari, Zaynab became his most important political advisor. A year later, after suppressing the revolt in the south, Abu Bakr returned north toward Marrakesh, expecting to resume his control of the city and of the Almoravid forces in North Africa. Ibn Tashfin, however, was now unwilling to give up his own position of leadership. While Abu Bakr was still camped near Aghmat, Ibn Tashfin sent him lavish gifts but refused to obey his summons, reportedly on the advice of Zaynab. Abu Bakr recognized that he was unable to force the issue and was unwilling to fight a battle over control of Marrakesh, so he decided to voluntarily recognize Ibn Tashfin's leadership in the Maghreb. The two men met on neutral ground between Aghmat and Marrakesh to confirm the arrangement. After a short stay in Aghmat, Abu Bakr returned south to continue his leadership of the Almoravids in the Sahara. Following this, the Almoravid Empire was divided into two distinct but co-dependent parts: one led by Ibn Tashfin in the north, and another led by Abu Bakr in the south. Abu Bakr continued to be formally acknowledged as the supreme leader of the Almoravids until his death in 1087. Historical sources give no indication that the two leaders treated each other other as enemies and Ibn Tashfin continued to mint coins in Abu Bakr's name until the latter's death. Following Abu Bakr's departure, Ibn Tashfin was largely responsible for building the Almoravid state in the Maghreb over the next two decades. One of Abu Bakr's sons, Ibrahim, who served as the Almoravid leader in Sijilmasa between 1071 and 1076 (according to the coinage minted there), did develop a rivalry with Ibn Tashfin and attempted to confront him toward 1076. He marched to Aghmat with the intention of reclaiming his father's position in the Maghreb. Another Almoravid commander, Mazdali ibn Tilankan, who was related to both men, diffused the situation and convinced Ibrahim to join his father in the south rather than start a civil war. Further conquests in the Maghreb Ibn Tashfin had in the meantime helped to bring the large area of what is now Morocco, Western Sahara, and Mauritania under Almoravid control. He spent at least several years capturing each fort and settlement in the region around Fez and in northern Morocco. After most of the surrounding region was under his control, he was finally able to conquer Fez definitively. However, there is some contradiction and uncertainty among historical sources regarding the exact chronology of these conquests, with some sources dating the main conquests to the 1060s and others dating them to the 1070s. Some modern authors cite the date of the final conquest of Fez as 1069 (461 AH). Historian Ronald Messier gives the date more specifically as 18 March 1070 (462 AH). Other historians date this conquest to 1074 or 1075. In 1079 Ibn Tashfin sent an army 20,000 strong from Marrakesh to push towards what is now Tlemcen to attack the Banu Ya'la, the Zenata tribe occupying the area. Led by Mazdali Ibn Tilankan, the army defeated the Banu Ya'la in battle near the valley of the Moulaya River and executed their commander, Mali Ibn Ya'la, the son of Tlemcen's ruler. However, Ibn Tilankan did not push to Tlemcen right away as the city of Oujda, occupied by the Bani Iznasan, was too strong to capture. Instead, Ibn Tashfin himself returned with an army in 1081 that captured Oujda and then conquered Tlemcen, massacring the Maghrawa forces there and their leader, al-Abbas Ibn Bakhti al-Maghrawi. He pressed on and by 1082 he had captured Algiers. Ibn Tashfin subsequently treated Tlemcen as his eastern base. At that time the city had consisted of an older settlement called Agadir, but Ibn Tashfin founded a new city next to it called Takrart, which later merged with Agadir in the Almohad period to become the present city. The Almoravids subsequently clashed with the Hammadids to the east multiple times, but they did not make a sustained effort to conquer the central Maghrib and instead focused their efforts on other fronts. Eventually, in 1104, they signed a peace treaty with the Hammadids. Algiers became their easternmost outpost. Before campaigning in Al-Andalus, where the Taifas emirs were requesting his help, Ibn Tashfin made the capture of Ceuta his primary objective instead. Ceuta, controlled by Zenata forces under the command of Diya al-Dawla Yahya, was the last major city on the African side of the Strait of Gibraltar that still held out against him. In return for a promise to help him against the encroaching Christian kingdoms, Ibn Tashfin demanded that al-Mu'tamid ibn Abbad, the ruler of Seville, provide assistance in besieging the city. Al-Mu'tamid obliged and sent a fleet to blockade the city by sea, while Ibn Tashfin's son Tamim led the siege by land. The city finally surrendered in June–July 1083 or in August 1084. Under Ibn Tashfin, the western Maghreb was divided into well-defined administrative provinces for the first time – prior to this, it had been mostly tribal territory. A developing central government was established in Marrakesh, while Ibn Tashfin entrusted key provinces to important allies and relatives. The nascent Almoravid state was funded in part by the taxes allowed under Islamic law and by the gold that came from Ghana in the south, but in practice it remained dependent on the spoils of new conquests. The majority of the Almoravid army continued to be composed of Sanhaja recruits, but Ibn Tashfin also began recruiting slaves to form a personal guard (ḥashm), including 5000 black soldiers ('abid) and 500 white soldiers (uluj, likely of European origin). Southern Almoravids and the Ghana Empire After leaving Yusuf Ibn Tashfin in the north and returning south, Abu Bakr Ibn Umar reportedly made Azuggi his base. The town acted as the capital of the southern Almoravids under him and his successors. Despite the importance of the Saharan trade routes to the Almoravids, the history of the southern wing of the empire is not well documented in Arabic historical sources and is often neglected in histories of the Maghreb and al-Andalus. This has also encouraged a division in modern studies about the Almoravids, with archeology playing a greater role in the study of the southern wing, in the absence of more textual sources. The exact nature and impact of the Almoravid presence in the Sahel is a strongly debated topic among Africanists. According to Arab tradition, the Almoravids under Abu Bakr's leadership conquered the Ghana Empire, founded by the Soninke, sometime around 1076–77. An example of this tradition is the record of historian Ibn Khaldun, who cited Shaykh Uthman, the faqih of Ghana, writing in 1394. According to this source, the Almoravids weakened Ghana and collected tribute from the Sudan, to the extent that the authority of the rulers of Ghana dwindled away, and they were subjugated and absorbed by the Sosso, a neighboring people of the Sudan. Traditions in Mali related that the Sosso attacked and took over Mali as well, and the ruler of the Sosso, Sumaouro Kanté, took over the land. However, criticism from Conrad and Fisher (1982) argued that the notion of any Almoravid military conquest at its core is merely perpetuated folklore, derived from a misinterpretation or naive reliance on Arabic sources. According to Professor Timothy Insoll, the archaeology of ancient Ghana simply does not show the signs of rapid change and destruction that would be associated with any Almoravid-era military conquests. Dierke Lange agreed with the original military incursion theory but argues that this doesn't preclude Almoravid political agitation, claiming that the main factor of the demise of the Ghana Empire owed much to the latter. According to Lange, Almoravid religious influence was gradual, rather than the result of military action; there the Almoravids gained power by marrying among the nation's nobility. Lange attributes the decline of ancient Ghana to numerous unrelated factors, one of which is likely attributable to internal dynastic struggles instigated by Almoravid influence and Islamic pressures, but devoid of military conquest. This interpretation of events has been disputed by later scholars like Sheryl L. Burkhalter, who argued that, whatever the nature of the "conquest" in the south of the Sahara, the influence and success of the Almoravid movement in securing west African gold and circulating it widely necessitated a high degree of political control. The traditional position says that the ensuing war with the Almoravids pushed Ghana over the edge, ending the kingdom's position as a commercial and military power by 1100. It collapsed into tribal groups and chieftaincies, some of which later assimilated into the Almoravids while others founded the Mali Empire. The Arab geographer Ibn Shihab al-Zuhri wrote that the Almoravids ended Ibadi Islam in Tadmekka in 1084 and that Abu Bakr "arrived at the mountain of gold" in the deep south. Abu Bakr finally died in Tagant in November 1087 following an injury in battle—according to oral tradition, from an arrow – while fighting in the historic region of the Sudan. After the death of Abu Bakr (1087), the confederation of Berber tribes in the Sahara was divided between the descendants of Abu Bakr and his brother Yahya, and would have lost control of Ghana. Sheryl Burkhalter suggests that Abu Bakr's son Yahya was the leader of the Almoravid expedition that conquered Ghana in 1076, and that the Almoravids would have survived the loss of Ghana and the defeat in the Maghreb by the Almohads, and would have ruled the Sahara until the end of the 12th century. Iberian Peninsula and the northern wing In 1086 Yusuf ibn Tashfin was invited by the Muslim taifa princes of Al-Andalus in the Iberian Peninsula to defend their territories from the encroachment of Alfonso VI, King of León and Castile. In that year, Ibn Tashfin crossed the Strait of Gibraltar to Algeciras, and defeated Castile at the Battle of Sagrajas. He was prevented from following up his victory by trouble in Africa, which he chose to settle in person. He returned to Iberia in 1090, avowedly for the purpose of annexing the taifa principalities of Iberia. He was supported by most of the Iberian people, who were discontented with the heavy taxation imposed upon them by their spendthrift rulers. Their religious teachers, as well as others in the east (most notably, al-Ghazali in Persia and al-Turtushi in Egypt, who was himself an Iberian by birth from Tortosa), detested the taifa rulers for their religious indifference. The clerics issued a fatwa (a non-binding legal opinion) that Yusuf was of sound morals and had the religious right to dethrone the rulers, whom he saw as heterodox in their faith. By 1094, Yusuf had annexed most of the major taifas, with the exception of the one at Zaragoza. The Almoravids were victorious at the Battle of Consuegra, during which the son of El Cid, Diego Rodríguez, perished. Alfonso, with some Leónese, retreated into the castle of Consuegra, which was besieged for eight days until the Almoravids withdrew to the south. After friendly correspondence with the caliph at Baghdad, whom he acknowledged as Amir al-Mu'minin ("Commander of the Faithful"), Yusuf ibn Tashfin in 1097 assumed the title of Amir al Muslimin ("Commander of the Muslims"). He died in 1106, when he was reputed to have reached the age of 100. The Almoravid power was at its height at Yusuf's death: the Moorish empire then included all of Northwest Africa as far eastward as Algiers, and all of Iberia south of the Tagus and as far eastward as the mouth of the Ebro, and including the Balearic Islands. In 1108 Tamim Al Yusuf defeated the Kingdom of Castile at the Battle of Uclés. Yusuf did not reconquer much territory from the Christian kingdoms, except that of Valencia; but he did hinder the progress of the Christian Reconquista by uniting al-Andalus. In 1134, at the Battle of Fraga, the Almoravids were victorious and even succeeded in slaying Alfonso the Battler in the battle. Decline Under Yusuf's son and successor, Ali ibn Yusuf, Sintra and Santarém were added, and he invaded Iberia again in 1119 and 1121, but the tide had turned, as the French had assisted the Aragonese to recover Zaragoza. In 1138, Ali ibn Yusuf was defeated by Alfonso VII of León and Castile, and in the Battle of Ourique (1139), by Afonso I of Portugal, who thereby won his crown. Lisbon was conquered by the Portuguese in 1147. According to some scholars, Ali ibn Yusuf represented a new generation of leadership that had forgotten the desert life for the comforts of the city. He was defeated by the combined action of his Christian foes in Iberia and the agitation of the Almohads (Muwahhids) in Morocco. After Ali ibn Yusuf's death in 1143, his son Tashfin ibn Ali lost ground rapidly before the Almohads. In 1146 he was killed in a fall from a precipice while attempting to escape after a defeat near Oran. His two successors were Ibrahim ibn Tashfin and Ishaq ibn Ali, but their reigns were short. The conquest of the city of Marrakesh by the Almohads in 1147 marked the fall of the dynasty, though fragments of the Almoravids continued to struggle throughout the empire. Among these fragments, there was the rebel Yahya Al-Sahrāwiyya, who resisted Almohad rule in the Maghreb for eight years after the fall of Marrakesh before surrendering in 1155. Also in 1155, the remaining Almoravids were forced to retreat to the Balearic Islands and later Ifriqiya under the leadership of the Banu Ghaniya, who were eventually influential in the downfall of their conquerors, the Almohads, in the Eastern part of the Maghreb. Culture Religion The Almoravid movement started as a conservative Islamic reform movement inspired by the Maliki school of jurisprudence. The writings of Abu Imran al-Fasi, a Moroccan Maliki scholar, influenced Yahya Ibn Ibrahim and the early Almoravid movement. Art Amira Bennison describes the art of the Almoravid period as influenced by the "integration of several areas into a single political unit and the resultant development of a widespread Andalusi–Maghribi style", as well as the tastes of the Sanhaja rulers as patrons of art. Bennison also challenges Robert Hillenbrand's characterization of the art of al-Andalus and the Maghreb as provincial and peripheral in consideration of Islamic art globally, and of the contributions of the Almoravids as "sparse" as a result of the empire's "puritanical fervour" and "ephemerality." At first, the Almoravids, subscribing to the conservative Maliki school of Islamic jurisprudence, rejected what they perceived as decadence and a lack of piety among the Iberian Muslims of the Andalusi taifa kingdoms. However, monuments and textiles from Almería from the late Almoravid period indicate that the empire had changed its attitude with time. Artistic production under the Almoravids included finely constructed minbars produced in Córdoba; marble basins and tombstones in Almería; fine textiles in Almería, Málaga, Seville; and luxury ceramics. Marble work A large group of marble tombstones have been preserved from the first half of the 12th century. They were crafted in Almería in Al-Andalus, at a time when it was a prosperous port city under Almoravid control. The tombstones were made of Macael marble, which was quarried locally, and carved with extensive Kufic inscriptions that were sometimes adorned with vegetal or geometric motifs. These demonstrate that the Almoravids not only reused Umayyad marble columns and basins, but also commissioned new works. The inscriptions on them are dedicated to various individuals, both men and women, from a range of different occupations, indicating that such tombstones were relatively affordable. The stones take the form of either rectangular stelae or of long horizontal prisms known as mqabriyyas (similar to the ones found in the much later Saadian Tombs of Marrakesh). They have been found in many locations across West Africa and Western Europe, which is evidence that a wide-reaching industry and trade in marble existed. A number of pieces found in France were likely acquired from later pillaging. Some of the most ornate tombstones found outside Al-Andalus were discovered in Gao-Saney in the African Sahel, testament to the reach of Almoravid influence into the African continent. Two Almoravid-period marble columns have also been found reused as spolia in later monuments in Fes. One is incorporated into the window of the Dar al-Muwaqqit (timekeeper's house) overlooking the courtyard of the Qarawiyyin Mosque, built in the Marinid period. The other is embedded into the decoration of the exterior southern façade of the Zawiya of Moulay Idris II, a structure which was rebuilt by Ismail Ibn Sharif. Textiles The fact that Ibn Tumart, leader of the Almohad movement, is recorded as having criticized Sultan Ali ibn Yusuf for "sitting on a luxurious silken cloak" at his grand mosque in Marrakesh indicates the important role of textiles under the Almoravids. Many of the remaining fabrics from the Almoravid period were reused by Christians, with examples in the reliquary of San Isidoro in León, a chasuble from Saint-Sernin in Toulouse, the Chasuble of San Juan de Ortega in the church of Quintanaortuña (near Burgos), the shroud of San Pedro de Osma, and a fragment found at the church of Thuir in the eastern Pyrenees. Some of these pieces are characterized by the appearance of Kufic or "Hispano-Kufic" woven inscriptions, with letters sometimes ending in ornamental vegetal flourishes. The Chasuble of San Juan de Ortega is one such example, made of silk and gold thread and dating to the first half of the 12th century. The Shroud of San Pedro de Osma is notable for its inscription stating "this was made in Baghdad", suggesting that it was imported. However, more recent scholarship has suggested that the textile was instead produced locally in centres such as Almeria, but that they were copied or based on eastern imports. It's even possible that the inscription was knowingly falsified in order to exaggerate its value to potential sellers; Al-Saqati of Málaga, a 12th-century writer and market inspector, wrote that there were regulations designed to prohibit the practice of making such false inscriptions. As a result of the inscription, many of these textiles are known in scholarship as the "Baghdad group", representing a stylistically coherent and artistically rich group of silken textiles seemingly dating to reign of Ali ibn Yusuf or the first half of the 12th century. Aside from the inscription, the shroud of San Pedro de Osma is decorated with images of two lions and harpies inside roundels that are ringed by images of small men holding griffins, repeating across the whole fabric. The chasuble from Saint-Sernin is likewise decorated with figural images, in this case a pair of peacocks repeating in horizontal bands, with vegetal stems separating each pair and small kufic inscriptions running along the bottom. The decorative theme of having a regular grid of roundels containing images of animals and figures, with more abstract motifs filling the spaces in between, has origins traced as far back as Persian Sasanian textiles. In subsequent periods, starting with the Almohads, these roundels with figurative imagery are progressively replaced with more abstract roundels, while epigraphic decoration becomes more prominent than before. Calligraphy and manuscript illumination In early Islamic manuscripts, Kufic was the main script used for religious texts. Western or Maghrebi Kufic evolved from the standard (or eastern) Kufic style and was marked by the transformation of the low swooping sections of letters from rectangular forms to long semi-circular forms. It is found in 10th century Qurans before the Almoravid period. Almoravid Kufic is the variety of Maghrebi Kufic script that was used as an official display script during the Almoravid period. Eventually, Maghrebi Kufic gave rise to a distinctive cursive script known as "Maghrebi", the only cursive script of Arabic derived from Kufic, which was fully formed by the early 12th century under the Almoravids. This style was commonly used in Qurans and other religious works from this period onward, but it was rarely ever used in architectural inscriptions. One version of this script during this early period is the Andalusi script, which was associated with Al-Andalus. It was usually finer and denser, and while the loops of letters below the line are semi-circular, the extensions of letters above the line continue to use straight lines that recall its Kufic origins. Another version of the script is rounder and larger, and is more associated with the Maghreb, although it is nonetheless found in Andalusi volumes too. The oldest known illuminated Quran from the western Islamic world (i.e. the Maghreb and Al-Andalus) dates from 1090, towards the end of the first Taifas period and the beginning of the Almoravid domination in Al-Andalus. It was produced either in the Maghreb or Al-Andalus and is now kept at the Uppsala University Library. Its decoration is still in the earliest phases of artistic development, lacking the sophistication of later volumes, but many of the features that were standard in later manuscripts are present: the script is written in the Maghrebi style in black ink, but the diacritics (vowels and other orthographic signs) are in red or blue, simple gold and black roundels mark the end of verses, and headings are written in gold Kufic inside a decorated frame and background. It also contains a frontispiece, of relatively simple design, consisting of a grid of lozenges variously filled with gold vegetal motifs, gold netting, or gold Kufic inscriptions on red or blue backgrounds. More sophisticated illumination is already evident in a copy of a sahih dated to 1120 (during the reign of Ali ibn Yusuf), also produced in either the Maghreb or Al-Andalus, with a rich frontispiece centered around a large medallion formed by an interlacing geometric motif, filled with gold backgrounds and vegetal motifs. A similarly sophisticated Quran, dated to 1143 (at the end of Ali ibn Yusuf's reign) and produced in Córdoba, contains a frontispiece with an interlacing geometric motif forming a panel filled with gold and a knotted blue roundel at the middle. Ceramics The Almoravid conquest of al-Andalus caused a temporary rupture in ceramic production, but it returned in the 12th century. There is a collection of about 2,000 Maghrebi-Andalusi ceramic basins or bowls () in Pisa, where they were used to decorated churches from the early 11th to fifteenth centuries. There were a number of varieties of ceramics under the Almoravids, including cuerda seca pieces. The most luxurious form was iridescent lustreware, made by applying a metallic glaze to the pieces before a second firing. This technique came from Iraq and flourished in Fatimid Egypt. Minbars The Almoravid minbars– such as the minbar of the Grand Mosque of Marrakesh commissioned by Sultan Ali ibn Yusuf (1137), or the minbar for the University of al-Qarawiyyin (1144) – expressed the Almoravids' Maliki legitimacy, their "inheritance of the Umayyad imperial role", and the extension of that imperial power into the Maghreb. Both minbars are exceptional works of marquetry and woodcarving, decorated with geometric compositions, inlaid materials, and arabesque reliefs. Architecture The Almoravid period, along with the subsequent Almohad period, is considered one of the most formative stages of Moroccan and Moorish architecture, establishing many of the forms and motifs of this style that were refined in subsequent centuries. Manuel Casamar Perez remarks that the Almoravids scaled back the Andalusi trend towards heavier and more elaborate decoration which had developed since the Caliphate of Córdoba and instead prioritized a greater balance between proportions and ornamentation. The two centers of artistic production in the Islamic west before the rise of the Almoravids were Kairouan and Córdoba, both former capitals in the region which served as sources of inspiration. The Almoravids were responsible for establishing a new imperial capital at Marrakesh, which became a major center of architectural patronage thereafter. The Almoravids adopted the architectural developments of al-Andalus, such as the complex interlacing arches of the Great Mosque in Córdoba and of the Aljaferia palace in Zaragoza, while also introducing new ornamental techniques from the east such as muqarnas ("stalactite" or "honeycomb" carvings). After taking control of Al-Andalus in the Battle of Sagrajas, the Almoravids sent Muslim, Christian and Jewish artisans from Iberia to North Africa to work on monuments. The Great Mosque in Algiers (), the Great Mosque of Tlemcen (1136) and al-Qarawiyyin (expanded in 1135) in Fez are important examples of Almoravid architecture. The Almoravid Qubba is one of the few Almoravid monuments in Marrakesh surviving, and is notable for its highly ornate interior dome with carved stucco decoration, complex arch shapes, and minor muqarnas cupolas in the corners of the structure. The central nave of the expanded Qarawiyyin Mosque notably features the earliest full-fledged example of muqarnas vaulting in the western Islamic world. The complexity of these muqarnas vaults at such an early date – only several decades after the first simple muqarnas vaults appeared in distant Iraq – has been noted by architectural historians as surprising. Another high point of Almoravid architecture is the intricate ribbed dome in front of the mihrab of the Great Mosque of Tlemcen, which likely traces its origins to the 10th-century ribbed domes of the Great Mosque of Córdoba. The structure of the dome is strictly ornamental, consisting of multiple ribs or intersecting arches forming a twelve-pointed star pattern. It is also partly see-through, allowing some outside light to filter through a screen of pierced and carved arabesque decoration that fills the spaces between the ribs. Aside from more ornamental religious structures, the Almoravids also built many fortifications, although most of these in turn were demolished or modified by the Almohads and later dynasties. The new capital, Marrakesh, initially had no city walls but a fortress known as the Ksar el-Hajjar ("Fortress of Stone") was built by the city's founder, Abu Bakr ibn Umar, in order to house the treasury and serve as an initial residence. Eventually, circa 1126, Ali Ibn Yusuf also constructed a full set of walls, made of rammed earth, around the city in response to the growing threat of the Almohads. These walls, although much restored and partly expanded in later centuries, continue to serve as the walls of the medina of Marrakesh today. The medina's main gates were also first built at this time, although many of them have since been significantly modified. Bab Doukkala, one of the western gates, is believed to have best preserved its original Almoravid layout. It has a classic bent entrance configuration, of which variations are found throughout the medieval period of the Maghreb and Al-Andalus. Elsewhere, the archaeological site of Tasghîmût, southeast of Marrakesh, and Amargu, northeast of Fes, provide evidence about other Almoravid forts. Built out of rubble stone or rammed earth, they illustrate similarities with older Hammadid fortifications, as well as an apparent need to build quickly during times of crisis. The walls of Tlemcen (present-day Algeria) were likewise partly built by the Almoravids, using a mix of rubble stone at the base and rammed earth above. In domestic architecture, none of the Almoravid palaces or residences have survived, and they are known only through texts and archaeology. During his reign, Ali Ibn Yusuf added a large palace and royal residence on the south side of the Ksar el-Hajjar (on the present site of the Kutubiyya Mosque). This palace was later abandoned and its function was replaced by the Almohad Kasbah, but some of its remains have been excavated and studied in the 20th century. These remains have revealed the earliest known example in Morocco of a riad garden (an interior garden symmetrically divided into four parts). In 1960 other excavations near Chichaoua revealed the remains of a domestic complex or settlement dating from the Almoravid period or even earlier. It consisted of several houses, two hammams, a water supply system, and possibly a mosque. On the site were found many fragments of architectural decoration which are now preserved at the Archeological Museum of Rabat. These fragments are made of deeply-carved stucco featuring Kufic and cursive Arabic inscriptions as well as vegetal motifs such as palmettes and acanthus leaves. The structures also featured painted decoration in red ochre, typically consisting of border motifs composed of two interlacing bands. Similar decoration has also been found in the remains of former houses excavated in 2006 under the 12th-century Almoravid expansion of the Qarawiyyin Mosque in Fes. In addition to the usual border motifs were larger interlacing geometric motifs as well as Kufic inscriptions with vegetal backgrounds, all executed predominantly in red. Literature The Almoravid movement has its intellectual origins in the writings and teachings of Abu Imran al-Fasi, who first inspired Yahya Ibn Ibrahim of the Guddala tribe in Kairouan. Ibn Ibrahim then inspired Abdallah ibn Yasin to organize for jihad and start the Almoravid movement. Moroccan literature flourished in the Almoravid period. The political unification of Morocco and al-Andalus under the Almoravid dynasty rapidly accelerated the cultural interchange between the two continents, beginning when Yusuf ibn Tashfin sent al-Mu'tamid ibn Abbad, former poet king of the Taifa of Seville, into exile in Tangier and ultimately Aghmat. The historians Ibn Hayyan, Al-Bakri, Ibn Bassam, and al-Fath ibn Khaqan all lived in the Almoravid period. Ibn Bassam authored , Al-Fath ibn Khaqan authored Qala'idu l-'Iqyan, and Al-Bakri authored al-Masālik wa ’l-Mamālik (Book of Roads and Kingdoms). In the Almoravid period two writers stand out: Qadi Ayyad and Avempace. Ayyad is known for having authored Kitāb al-Shifāʾ bī Taʾrif Ḥuqūq al-Muṣṭafá. Many of the Seven Saints of Marrakesh were men of letters. The muwashshah was an important form of poetry and music in the Almoravid period. Great poets from the period are mentioned in anthologies such as , Rawd al-Qirtas, and Mu'jam as-Sifr. The Moroccan historian noted that there were 104 paper mills in Fez under Yusuf ibn Tashfin in the 11th century. Military organization Abdallah ibn Yasin imposed very strict disciplinary measures on his forces for every breach of his laws. The Almoravids' first military leader, Yahya ibn Umar al-Lamtuni, gave them a good military organization. Their main force was infantry, armed with javelins in the front ranks and pikes behind, which formed into a phalanx, and was supported by camelmen and horsemen on the flanks. They also had a flag carrier at the front who guided the forces behind him; when the flag was upright, the combatants behind would stand and when it was turned down, they would sit. Al-Bakri reports that, while in combat, the Almoravids did not pursue those who fled in front of them. Their fighting was intense and they did not retreat when disadvantaged by an advancing opposing force; they preferred death over defeat. These characteristics were possibly unusual at the time. Legends After the death of El Cid, Christian chronicles reported a legend of a Turkish woman leading a band of 300 "Amazons", black female archers. This legend was possibly inspired by the ominous veils on the faces of the warriors and their dark skin colored blue by the indigo of their robes. List of rulers Sanhaja tribal leaders recognizing the spiritual authority of Abdallah ibn Yasin (d. 1058 or 1059): Yahya Ibn Ibrahim al-Jaddali (also referred to as al-Jawhar ibn Sakkum) Yahya ibn Umar al-Lamtuni (d. 1055 or 1056) Abu Bakr ibn Umar (d. 1087) Subsequent rulers: Yusuf ibn Tashfin (1061–1106, initially as Abu Bakr's lieutenant in the north) Ibrahim ibn Abu Bakr (ruler of Sijilmasa, 1070–1075) Ali ibn Yusuf (1106–1143) Tashfin ibn Ali (1143–1145) Ibrahim ibn Tashfin (1145, dethroned quickly) Ishaq ibn Ali (1145–1147) Family tree Timeline Notes References Citations Bibliography Brett, M. and E. Fentress (1996), The Berbers. Oxford: Blackwell. Hrbek, I. and J. Devisse (1988), "The Almoravids", in M. Elfasi, ed., General History of Africa, Africa from the Seventh to the Eleventh Century, UNESCO. 1992 edition, Ch. 13, pp. 336–366. Levtzion, N. and J. F. P. Hopkins, eds (1981), Corpus of Early Arabic Sources for West African History, Cambridge, UK: Cambridge University Press. 2000 edition. Moraes Farias, P. F. de (1967), "The Almoravids: Some Questions Concerning the Character of the Movement", Bulletin de l’IFAN, series B, 29:3–4, pp. 794–878. 11th century in al-Andalus 12th century in al-Andalus Medieval Algeria History of Mauritania History of Western Sahara 11th-century establishments in Africa 1147 disestablishments 12th-century disestablishments in Morocco States and territories established in 1040 States and territories disestablished in 1147 Historical transcontinental empires Former empires in Africa
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https://en.wikipedia.org/wiki/Alyattes
Alyattes
Alyattes (Lydian language: ; ; reigned c. 635-585 BC), sometimes described as Alyattes I, was the fourth king of the Mermnad dynasty in Lydia, the son of Sadyattes, grandson of Ardys, and great-grandson of Gyges. He died after a reign of 57 years and was succeeded by his son Croesus. Alyattes was the first monarch who issued coins, made from electrum (and his successor Croesus was the first to issue gold coins). Alyattes is therefore sometimes mentioned as the originator of coinage, or of currency. Name The most likely etymology for the name derives it, via a form with initial digamma (), itself originally from a Lydian (Lydian alphabet: ). The name meant "lion-ness" (i.e. the state of being a lion), and was composed of the Lydian term (), meaning "lion", to which was added an abstract suffix (). Chronology Dates for the Mermnad kings are uncertain and are based on a computation by J. B. Bury and Russell Meiggs (1975) who estimated c.687–c.652 BC for the reign of Gyges. Herodotus 1.16, 1.25, 1.86 gave reign lengths for Gyges' successors, but there is uncertainty about these as the total exceeds the timespan between 652 (probable death of Gyges, fighting the Cimmerians) and 547/546 (fall of Sardis to Cyrus the Great). Bury and Meiggs concluded that Ardys and Sadyattes reigned through an unspecified period in the second half of the 7th century BC, but they did not propose dates for Alyattes except their assertion that his son Croesus succeeded him in 560 BC. The timespan 560–546 BC for the reign of Croesus is almost certainly accurate. However, based on an analysis of sources contemporary with Gyges, such as Neo-Assyrian records, Anthony Spalinger has convincingly deduced dated Gyges's death to 644 BCE, and Alexander Dale has consequently dated Alyattes's reign as starting in c. 635 BCE and ending in 585 BCE. Life and reign Alyattes was the son of the king Sadyattes of Lydia and his sister and queen, Lyde of Lydia, both the children of the king Ardys of Lydia. Alyattes ascended to the kingship of Lydia during period of severe crisis: during the 7th century BCE, the Cimmerians, a nomadic people from the Eurasian Steppe who had invaded Western Asia, attacked Lydia several times but had been repelled by Alyattes's great-grandfather, Gyges. In 644 BCE, the Cimmerians, led by their king Lygdamis, attacked Lydia for the third time. The Lydians were defeated, Sardis was sacked, and Gyges was killed, following which he was succeeded by his son Ardys. In 637 BCE, during the seventh regnal year of Ardys, the Thracian Treres tribe who had migrated across the Thracian Bosporus and invaded Anatolia, under their king Kobos, and in alliance with the Cimmerians and the Lycians, attacked Lydia. They defeated the Lydians again and for a second time sacked the Lydian capital of Sardis, except for its citadel. It is probable that Ardys was killed during this Cimmerian attack or was deposed in 637 BC for being unable to protect Lydia from the Cimmerian attacks, and Ardys's son and successor Sadyattes might have also been either killed during another Cimmerian attack in 653 BCE or deposed that year for his inability to successfully protect Lydia from the Cimmerian incursions. Alyattes thus succeeded his father Sadyattes amidst extreme turmoil in 635 BCE. Initial relations with the Ionians Alyattes started his reign by continuing the hostilities with the Ionian city of Miletus started by Sadyattes. Alyattes's war with Miletus consisted largely of a series of raids to capture the Milesians' harvest of grain, which were severely lacking in the Lydian core regions. These hostilities lasted until Alyattes's sixth year (c. 630 BCE), when he finally made peace with the city's tyrant Thrasybulus, and a treaty of friendship as well as one of military alliance was concluded between Lydia and Miletus whereby, since Miletus lacked auriferous and other metallurgic resources while cereals were scarce in Lydia, trade of Lydian metal in exchange of Milesian cereal was initiated to seal these treaties, according to which Miletus voluntarily provided Lydia with military auxiliaries and would profit from the Lydian control of the routes in inner Anatolia, and Lydia would gain access to the markets and maritime networks of the Milesians in the Black Sea and at Naucratis. Herodotus's account of Alyattes's illness, caused by Lydian troops' destruction of the temple Athena in Assesos, and which was cured after he heeded the Pythia and rebuilt two temples of Athena in Assesos and then made peace with Miletus, is a largely legendary account of these events which appears to not be factual. This legendary account likely arose as a result of Alyattes's offerings to the sanctuary of Delphi. Unlike with the other Greek cities of Anatolia, Alyattes always maintained very good relations with Ephesus, to whose ruling dynasty the Mermnads were connected by marriage: Alyattes's great-grandfather had married one of his daughters to the Ephesian tyrant Melas the Elder: Alyattes's grandfather Ardys had married his daughter Lyde to a grandson of Melas the Elder named Miletus (Lyde would later marry her own brother Sadyattes, and Alyattes would be born from this marriage); and Alyattes himself married one of his own daughters to the then tyrant of Miletus, a descendant of Miletus named Melas the Younger, and from this union would be born Pindar of Ephesus. One of the daughters of Melas the Younger might have in turn married Alyattes and become the mother of his less famous son, Pantaleon. Thanks to these close ties, Ephesus had never been subject to Lydian attacks and was exempt from paying tribute and offering military support to Lydia, and both the Greeks of Ephesus and the Anatolian peoples of the region, that is the Lydians and Carians, shared in common the temple of an Anatolian goddess equated by the Greeks to their own goddess Artemis. Lydia and Ephesus also shared important economic interests which allowed Ephesus to hold an advantageous position between the maritime trade routes of the Aegean Sea and the continental trade routes going through inner Anatolia and reaching Assyria, thus acting as an intermediary between the Lydian kingdom which controlled access to the trade routes leading to the inside of Asia and the Greeks inhabiting the European continent and the Aegean islands, and allowing Ephesus to profit from the goods transiting across its territory without fear of any military attack by the Lydians. These connections in turn provided Lydia with a port through which it could have access to the Mediterranean Sea. Offerings to Delphi Like his great-grandfather Gyges, Alyattes also dedicated lavish offerings to the oracle of the god Apollo at Delphi. According to the Greek historian Herodotus, Alyattes's offerings consisted of a large silver crater and an iron crater-stand which had been made by welding by Glaucus of Chios, thus combining Lydian and Ionian artistic traditions. Alyattes's offering to Delphi might have been sent to please the sanctuary of Apollo and the Delphains, especially the priests, to impress the Greek visitors of the sanctuary, and to influence the oracle to advise to Periander of Corinth, an ally of Thrasybulus of Miletus, to convince the latter to make peace with Alyattes. Lyde of Lydia story According to Tractatus de mulieribus (citing Xenophilos, who wrote the history of Lydia), Lyde was the wife and sister of Alyattes, the ancestor of Croesus. Lyde's son, Alyattes, when he inherited the kingdom from his father, committed the terrible crime of tearing the clothes of respectable people and spitting on many. She too held her son back as much as she could and placated those who were insulted with kind words and actions. She showed all his compassion to her son and made him feel great love for himself. When she believes that he is loved enough and abstains from food and other things, citing his illness as an excuse, Xenophilos accompanies his mother that he does not eat in the same way and has changed enough to be extremely honest and fair (someone).Alyattes after seeing this becomes a changed man. Relations with Caria In the south, Alyattes continued what had been the Lydian policy since Gyges's reign of maintaining alliances with the city-states of the Carians, with whom the Lydians also had strong cultural connections, such as sharing the sanctuary of the god Zeus of Mylasa with the Carians and the Mysians because they believed these three peoples descended from three brothers. These alliances between the Lydian kings and the various Carian dynasts required the Lydian and Carian rulers had to support each other, and to solidify these alliances, Alyattes married a woman from the Carian aristocracy with whom he had a son, Croesus, who would eventually succeed him. These connections established between the Lydian kings and the Carian city-states ensured that the Lydians were able to control Caria through alliances with Carian dynasts ruling over fortified settlements, such as Mylasa and Pedasa, and through Lydian aristocrats settled in Carian cities, such as in Aphrodisias. Wars against the Cimmerians Alyattes had inherited more than one war from his father, and soon after his ascension and early during his reign, with Assyrian approval and in alliance with the Lydians, the Scythians under their king Madyes entered Anatolia, expelled the Treres from Asia Minor, and defeated the Cimmerians so that they no longer constituted a threat again, following which the Scythians extended their domination to Central Anatolia until they were themselves expelled by the Medes from Western Asia in the 600s BCE. This final defeat of the Cimmerians was carried out by the joint forces of Madyes, whom Strabo credits with expelling the Treres and Cimmerians from Asia Minor, and of Alyattes, whom Herodotus of Halicarnassus and Polyaenus claim finally defeated the Cimmerians. In Polyaenus' account of the defeat of the Cimmerians, he claimed that Alyattes used "war dogs" to expel them from Asia Minor, with the term "war dogs" being a Greek folkloric reinterpretation of young Scythian warriors who, following the Indo-European passage rite of the , would ritually take on the role of wolf- or dog-warriors. Immediately after this first victory of his over the Cimmerians, Alyattes expelled from the Lydian borderlands a final remaining pocket of Cimmerian presence who had been occupying the nearby city of Antandrus for one century, and to facilitate this he re-founded the city of Adramyttium in Aeolis. Alyattes installed his son Croesus as the governor of Adramyttium, and he soon expelled these last remaining Cimmerians from Asia Minor. Adramyttium was moreso an important site for Lydia because it was situated near Atarneus and Astyra, where rich mines were located. Eastern conquests Alyattes turned towards Phrygia in the east. The kings of Lydia and of the former Phrygian kingdom had already entertained friendly relations before the destruction of the latter by the Cimmerians. After defeating the Cimmerians, Alyattes took advantage of the weakening of the various polities all across Anatolia by the Cimmerian raids and used the lack of a centralised Phrygian state and the traditionally friendly relations between the Lydian and Phrygian elites to extend Lydian rule eastwards to Phrygia. Lydian presence in Phrygia is archaeologically attested by the existence of a Lydian citadel in the Phrygian capital of Gordion, as well as Lydian architectural remains in northwest Phrygia, such as in Dascylium, and in the Phrygian Highlands at Midas City. Lydian troops might have been stationed in the aforementioned locations as well as in Hacıtuğrul, Afyonkarahisar, and Konya, which would have provided to the Lydian kingdom access to the produce and roads of Phrygia. The presence of a Lydian ivory plaque at Kerkenes Daǧ suggests that Alyattes's control of Phrygia might have extended to the east of the Halys River to include the city of Pteria, with the possibility that he may have rebuilt this city and placed a Phrygian ruler there: Pteria's strategic location would have been useful in protecting the Lydian Empire from attacks from the east, and its proximity to the Royal Road would have made of the city an important centre from which caravans could be protected. Phrygia under Lydian rule would continue to be administered by its local elites, such as the ruler of Midas City who held Phrygian royal titles such as (king) and (commander of the armies), but were under the authority of the Lydian kings of Sardis and had a Lydian diplomatic presence at their court, following the framework of the traditional vassalage treaties used since the period of the Hittite and Assyrian empires, and according to which the Lydian king imposed on the vassal rulers a "treaty of vassalage" which allowed the local Phrygian rulers to remain in power, in exchange of which the Phrygian vassals had the duty to provide military support and sometimes offer rich tribute to the Lydian kingdom. The status of Gordion and Dascylium is however less clear, and it is uncertain whether they were also ruled by local Phrygian kings vassal to the Lydian king, or whether they were directly ruled by Lydian governors. With the defeat of the Cimmerians having created a power vacuum in Anatolia, Alyattes continued his expansionist policy in the east, and of all the peoples to the west of the Halys River whom Herodotus claimed Alyattes's successor Croesus ruled over - the Lydians, Phrygians, Mysians, Mariandyni, Chalybes, Paphlagonians, Thyni and Bithyni Thracians, Carians, Ionians, Dorians, Aeolians, and Pamphylians - it is very likely that a number of these populations had already been conquered under Alyattes, especially since information is attested only about the relations between the Lydians and the Phrygians in both literary and archaeological sources, and there is no available data concerning relations between the other mentioned peoples and the Lydian kings. The only populations Herodotus claimed were independent of the Lydian Empire were the Lycians, who lived in a mountainous country which would not have been accessible to the Lydian armies, and the Cilicians, who had already been conquered by Neo-Babylonian Empire. Modern estimates nevertheless suggest that it is not impossible that the Lydians might have subjected Lycia, given that the Lycian coast would have been important for the Lydians because it was close to a trade route connecting the Aegean region, the Levant, and Cyprus. At some point in the later years of his reign, Alyattes conducted a military campaign in Caria, although the reason for this intervention is yet unknown. Alyattes's son Croesus, as governor of Adramyttium, had to provide his father with Ionian Greek mercenaries for this war. Later wars against the Ionians In 600 BCE, Alyattes resumed his military activities in the west, and the second Ionian city he attacked was Smyrna despite the Lydian kings having previously established good relations with the Smyrniotes in the aftermath of a failed attack of Gyges on the city, leading to the Lydians using the port of Smyrna to export their products and import grain, Lydian craftsmen being allowed to settle in Smyrniot workshops, and Alyattes having provided funding to the inhabitants of the city for the construction of their temple of Athena. Alyattes was thus able to acquire a port which gave the Lydian kingdom permanent access to the sea and a stable source of grain to feed the population of his kingdom through this attack. Smyrna was placed under the direct rule of a member of the Mermnad dynasty, and Alyattes had new fortification walls built for Smyrna from around 600 to around 590 BCE. Although under direct Lydian rule Smyrna's temple of Athena and its houses were rebuilt and the city was not forced to provide the Lydian kingdom with military troops or tribute, Smyrna itself was in ruins, and it would only be around 580 BCE, under the reign of Alyattes's son Croesus, that Smyrna would finally start to recover. Alyattes also initially initiated friendly relations with the Ionian city of Colophon, which included a military alliance according to which the city had to offer the service of its famous and feared cavalry, which was itself made up of the aristocracy of Colophon, to the Lydian kingdom should Alyattes request their help. Following the capture of Smyrna, Alyattes attacked the Ionian city of Clazomenae, but the inhabitants of the city managed to successfully repel him with the help of the Colophonian cavalry. Following Alyattes's defeat, the Lydian kingdom and the city of Clazomenae concluded a reconciliation agreement which allowed Lydian craftsmen to operate in Clazomenae and allowed the kingdom of Lydia itself to participate in maritime trade, most especially in the olive oil trade produced by the craftsmen of Clazomenae, but also to use the city's port to export products manufactured in Lydia proper. Soon after capturing Smyrna and his failure to capture Clazomenae, Alyattes summoned the Colophonian cavalry to Sardis, where he had them massacred in violation of hospitality laws and redistributed their horses to Lydian cavalrymen, following which he placed Colophon itself under direct Lydian rule. The reason for Alyattes's breaking of the friendly relations with Colophon are unknown, although the archaeologist John Manuel Cook has suggested that Alyattes might have concluded a treaty of friendship and a military alliance with Colophon to secure the city's non-interference in his military operations against the other Greek cities on the western coast of Asia Minor, but Colophon first violated these agreements with Alyattes by supporting Clazomenae with its cavalry against Alyattes's attack, prompting the Lydian king to retaliate by massacring the mounted aristocracy of Colophon. The status of the other Ionian Greek cities on the western coast of Asia Minor, that is Teos, Lebedus, Teichiussa, Melie, Erythrae, Phocaea and Myus, is still uncertain for the period of Alyattes's reign, although they would all eventually be subjected by his son Croesus. War against the Medes Alyattes's eastern conquests extended the Lydian Empire till the Upper Euphrates according to the scholar Igor Diakonoff, who identified Alyattes with the Biblical Gog. This expansionism brought the Lydian Empire in conflict in the 590s BCE with the Medes, an Iranian people who had expelled the majority of the Scythians from Western Asia after participating in the destruction of the Neo-Assyrian Empire. After the majority of the Scythians were expelled by the Medes during that decade out of Western Asia and into the Pontic Steppe, a war broke out between the Median Empire and another group of Scythians, probably members of a splinter group who had formed a kingdom in what is now Azerbaijan. These Scythians left Median-ruled Transcaucasia and fled to Sardis, because the Lydians had been allied to the Scythians. After Alyattes refused to accede to the demands of the Median king Cyaxares that these Scythian refugees be handed to him, a war broke out between the Median and Lydian Kingdoms in 590 BCE which was waged in eastern Anatolia beyond Pteria. This war lasted five years, until a solar eclipse occurred in 585 BCE during a battle (hence called the Battle of the Eclipse) opposing the Lydian and Median armies, which both sides interpreted as an omen to end the war. The Babylonian king Nebuchadnezzar II and the king Syennesis of Cilicia acted as mediators in the ensuing peace treaty, which was sealed by the marriage of Cyaxares's son Astyages with Alyattes's daughter Aryenis, and the possible wedding of a daughter of Cyaxares with either Alyattes or with his son Croesus. The border between the Lydian and Median empires was fixed at a yet undetermined location in eastern Anatolia; the Graeco-Roman historians' traditional account of the Halys River as having been set as the border between the two kingdoms appears to have been a retroactive narrative construction based on symbolic role assigned by Greeks to the Halys as the separation between Lower Asia and Upper Asia as well as on the Halys being a later provincial border within the Achaemenid Empire. Death Alyattes died shortly after the Battle of the Eclipse, in 585 BCE itself, following which Lydia faced a power struggle between his son Pantaleon, born from a Greek woman, and his other son Croesus, born from a Carian noblewoman, out of which the latter emerged successful. The tomb of Alyattes is located in Sardis at the site now called Bin Tepe, in a large tumulus measuring sixty metres in height and of a diameter of two hundred and fifty metres. The tomb consisted of an antechamber and a chamber with a door separating them, was built of well fitted and clamped large marble blocks, its walls were finely finished on the inside, and it contained a now lost crepidoma. The tomb of Alyattes was excavated by the Prussian Consul General Ludwig Peter Spiegelthal in 1853, and by American excavators in 1962 and the 1980s, although by then it had been broken in and looted by tomb robbers who left only alabastra and ceramic vessels. Before it was plundered, the tomb of Alyattes would likely have contained burial gifts consisting of furniture made of wood and ivory, textiles, jewellery, and large sets of solver and gold bowls, pitchers, craters, and ladles. He created the first coins in history made from electrum, a naturally occurring alloy of gold and silver. The weight of either precious metal could not just be weighed so they contained an imprint that identified the issuer who guaranteed the value of its contents. Today we still use a token currency, where the value is guaranteed by the state and not by the value of the metal used in the coins. Almost all coins used today descended from his invention after the technology passed into Greek usage through Hermodike II - a Greek princess from Cyme who was likely one of his wives (assuming he was referred to a dynastic 'Midas' because of the wealth his coinage amassed and because the electrum was sourced from Midas' famed river Pactolus); she was also likely the mother of Croesus (see croeseid symbolism). He standardised the weight of coins (1 stater = 168 grains of wheat). The coins were produced using an anvil die technique and stamped with a lion's head, the symbol of the Mermnadae. Tomb Alyattes' tomb still exists on the plateau between Lake Gygaea and the river Hermus to the north of the Lydian capital Sardis — a large mound of earth with a substructure of huge stones. (38.5723401, 28.0451151) It was excavated by Spiegelthal in 1854, who found that it covered a large vault of finely cut marble blocks approached by a flat-roofed passage of the same stone from the south. The sarcophagus and its contents had been removed by early plunderers of the tomb. All that was left were some broken alabaster vases, pottery and charcoal. On the summit of the mound were large phalli of stone. Herodotus described the tomb: Some authors have suggested that Buddhist stupas were derived from a wider cultural tradition from the Mediterranean to the Indus valley, and can be related to the funeral conical mounds on circular bases that can be found in Lydia or in Phoenicia from the 8th century B.C., such as the tomb of Alyattes. References Sources * Attribution: This cites A. von Ölfers, "Über die lydischen Königsgräber bei Sardes," Abh. Berl. Ak., 1858. External links Alyattes of Lydia by Jona Lendering 585 BC deaths Kings of Lydia 6th-century BC monarchs in Asia 7th-century BC monarchs in Asia Year of birth unknown Mermnad dynasty