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became, with the help of his mother's inheritance, the first Ascanian duke of Saxony in 1139. However, he soon lost control of Saxony to the rival House of Guelph. Albert inherited the Margraviate of Brandenburg in 1157 from its last Wendish ruler, Pribislav, and he became the first Ascanian margrave. Albert, and his descendants of the House of Ascania, then made considerable progress in Christianizing and Germanizing the lands. As a borderland between German and Slavic cultures, the country was known as a march. In 1237 and 1244, two towns, Cölln and Berlin, were founded during the rule of Otto and Johann, grandsons of Margrave Albert the Bear. Later, they were united into one city, Berlin. The emblem of the House of Ascania, a red eagle and bear, became the heraldic emblems of Berlin. In 1320, the Brandenburg Ascanian line came to an end. After the Emperor had deposed the Guelph rulers of Saxony in 1180, Ascanians returned to rule the Duchy of Saxony, which had been reduced to its eastern half by the Emperor. However, even in eastern Saxony, the Ascanians could establish control only in limited areas, mostly near the River Elbe. In the 13th century, the Principality of Anhalt was split off from the Duchy of Saxony. Later, the remaining state was split into Saxe-Lauenburg and Saxe-Wittenberg. The Ascanian dynasties in the two Saxon states became extinct in 1689 and in 1422, respectively, but
even in eastern Saxony, the Ascanians could establish control only in limited areas, mostly near the River Elbe. In the 13th century, the Principality of Anhalt was split off from the Duchy of Saxony. Later, the remaining state was split into Saxe-Lauenburg and Saxe-Wittenberg. The Ascanian dynasties in the two Saxon states became extinct in 1689 and in 1422, respectively, but Ascanians continued to rule in the smaller state of Anhalt and its various subdivisions until the monarchy was abolished in 1918. Catherine the Great, Empress of Russia from 1762 to 1796, was a member of the House of Ascania, herself the daughter of Christian August, Prince of Anhalt-Zerbst. List of states ruled by the House of Ascania County, Principality, and Duchy of Anhalt: c. 1100–1918 Duchy and Electorate of Saxony: 1112, 1139–1142, 1180–1422 County of Weimar-Orlamünde: 1112–1486 Margravate of Brandenburg: 1157–1320 Duchy of Saxe-Lauenburg: 1269–1689 Principality of Lüneburg: 1369–1388 Principality and Duchy of Anhalt-Bernburg: 1252–1468 and 1603–1863 Principality of Anhalt-Zerbst: 1252–1396 and 1544–1796 Principality of Anhalt-Aschersleben: 1252–1315 Principality and Duchy of Anhalt-Köthen: 1396–1561
written using the chain rule of differentiation for the product of two functions of time as: where un is the unit (inward) normal vector to the particle's trajectory (also called the principal normal), and r is its instantaneous radius of curvature based upon the osculating circle at time t. These components are called the tangential acceleration and the normal or radial acceleration (or centripetal acceleration in circular motion, see also circular motion and centripetal force). Geometrical analysis of three-dimensional space curves, which explains tangent, (principal) normal and binormal, is described by the Frenet–Serret formulas. Special cases Uniform acceleration Uniform or constant acceleration is a type of motion in which the velocity of an object changes by an equal amount in every equal time period. A frequently cited example of uniform acceleration is that of an object in free fall in a uniform gravitational field. The acceleration of a falling body in the absence of resistances to motion is dependent only on the gravitational field strength g (also called acceleration due to gravity). By Newton's Second Law the force acting on a body is given by: Because of the simple analytic properties of the case of constant acceleration, there are simple formulas relating the displacement, initial and time-dependent velocities, and acceleration to the time elapsed: where is the elapsed time, is the initial displacement from the origin, is the displacement from the origin at time , is the initial velocity, is the velocity at time , and is the uniform rate of acceleration. In particular, the motion can be resolved into two orthogonal parts, one of constant velocity and the other according to the above equations. As Galileo showed, the net result is parabolic motion, which describes, e. g., the trajectory of a projectile in a vacuum near the surface of Earth. Circular motion In uniform circular motion, that is moving with constant speed along a circular path, a particle experiences an acceleration resulting from the change of the direction of the velocity vector, while its magnitude remains constant. The derivative of the location of a point on a curve with respect to time, i.e. its velocity, turns out to be always exactly tangential to the curve, respectively orthogonal to the radius in this point. Since in uniform motion the velocity in the tangential direction does not change, the acceleration must be in radial direction, pointing to the center of the circle. This acceleration constantly changes the direction of the velocity to be tangent in the neighboring point, thereby rotating the velocity vector along the circle. For a given speed , the magnitude of this geometrically caused acceleration (centripetal acceleration) is inversely proportional to the radius of the circle, and increases as the square of this speed: Note that, for a given angular velocity , the centripetal acceleration is directly proportional to radius . This is due to the dependence of velocity on the radius . Expressing centripetal acceleration vector in polar components, where is a vector from the centre of the circle to the particle with magnitude equal to this distance, and considering the orientation of the acceleration towards the center, yields As usual in rotations, the speed of a particle may be expressed as an angular speed with respect to a point at the distance as Thus This acceleration and the mass of the particle determine the necessary centripetal force, directed toward the centre of the circle, as the net force acting on this particle to keep it in this uniform circular motion. The so-called 'centrifugal force', appearing to act outward on the body, is a so-called pseudo force experienced in the frame of reference of the body in circular motion, due to the body's linear momentum, a vector tangent to the circle of motion. In a nonuniform circular motion, i.e., the speed along the curved path is changing, the acceleration has a non-zero component tangential to the curve, and is not confined to the principal normal, which directs to the center of the osculating circle, that determines the radius for the centripetal acceleration. The tangential component is given by the angular acceleration ,
has the dimensions of velocity (L/T) divided by time, i.e. L T−2. The SI unit of acceleration is the metre per second squared (m s−2); or "metre per second per second", as the velocity in metres per second changes by the acceleration value, every second. Other forms An object moving in a circular motion—such as a satellite orbiting the Earth—is accelerating due to the change of direction of motion, although its speed may be constant. In this case it is said to be undergoing centripetal (directed towards the center) acceleration. Proper acceleration, the acceleration of a body relative to a free-fall condition, is measured by an instrument called an accelerometer. In classical mechanics, for a body with constant mass, the (vector) acceleration of the body's center of mass is proportional to the net force vector (i.e. sum of all forces) acting on it (Newton’s second law): where is the net force acting on the body, is the mass of the body, and is the center-of-mass acceleration. As speeds approach the speed of light, relativistic effects become increasingly large. Tangential and centripetal acceleration The velocity of a particle moving on a curved path as a function of time can be written as: with v(t) equal to the speed of travel along the path, and a unit vector tangent to the path pointing in the direction of motion at the chosen moment in time. Taking into account both the changing speed v(t) and the changing direction of ut, the acceleration of a particle moving on a curved path can be written using the chain rule of differentiation for the product of two functions of time as: where un is the unit (inward) normal vector to the particle's trajectory (also called the principal normal), and r is its instantaneous radius of curvature based upon the osculating circle at time t. These components are called the tangential acceleration and the normal or radial acceleration (or centripetal acceleration in circular motion, see also circular motion and centripetal force). Geometrical analysis of three-dimensional space curves, which explains tangent, (principal) normal and binormal, is described by the Frenet–Serret formulas. Special cases Uniform acceleration Uniform or constant acceleration is a type of motion in which the velocity of an object changes by an equal amount in every equal time period. A frequently cited example of uniform acceleration is that of an object in free fall in a uniform gravitational field. The acceleration of a falling body in the absence of resistances to motion is dependent only on the gravitational field strength g (also called acceleration due to gravity). By Newton's Second Law the force acting on a body is given by: Because of the simple analytic properties of the case of constant acceleration, there are simple formulas relating the displacement, initial and time-dependent velocities, and acceleration to the time elapsed: where is the elapsed time, is the initial displacement from the origin, is the displacement from the origin at time , is the initial velocity, is the velocity at time , and is the uniform rate of acceleration. In particular, the motion can be resolved into two orthogonal parts, one of constant velocity and the other according to the above equations. As Galileo showed, the net result is parabolic motion, which describes, e. g., the trajectory of a projectile in a vacuum near the surface of Earth. Circular motion In uniform circular motion, that is moving with constant speed along a circular path, a particle experiences an acceleration resulting from the change of the direction of the velocity vector, while its magnitude remains constant. The derivative of the location of a point on a curve with respect to time, i.e. its velocity, turns out to be always exactly tangential to the curve, respectively orthogonal to the radius in this point. Since in uniform motion the velocity in the tangential direction does not change, the acceleration must be in radial direction, pointing to the center of the circle. This acceleration constantly changes the direction of the velocity to be tangent in the neighboring point, thereby rotating the velocity vector along the circle. For a given speed , the magnitude of this geometrically caused acceleration (centripetal acceleration) is inversely proportional to the radius of the circle, and increases as the square of this speed: Note that, for a given angular velocity , the centripetal acceleration is directly proportional to radius . This is due to the dependence of velocity on the radius . Expressing centripetal acceleration vector in polar components, where is a vector from the centre of the circle to the particle with magnitude equal to this distance, and considering the orientation of the acceleration towards the center, yields As usual in rotations, the speed of a particle may be expressed as an angular speed with respect to a point at the distance as Thus This acceleration and the mass of the particle determine the necessary centripetal force, directed toward the centre of the circle, as the net force acting on this particle to keep it in this uniform circular motion. The
a sustainability perspective. In our daily work, a series of actions can be implemented. Among them: Prioritize the use of biodegradable products in conservation interventions whenever is possible; Support research and make use, whenever possible, of products and solvents, aimed at green chemistry, among them, aqueous systems (semi-rigid gels), nanogels, adjusted water systems, among others. Advocate and contribute to the development of research into new techniques and materials that may have use, performance and disposal with less environmental impact; In laboratories, prepare small amounts of material to avoid disposal; never discard material down the sink; Implement strict disposal protocol for chemical products, recyclable materials and compostable materials; Wear nitrile gloves only when strictly necessary; choose the most resistant ones; replace them, when possible, with ones that can be washed and reused; Do not purchase excess materials with reduced expiration dates and thus avoid waste and disposal; Reuse of materials in the laboratory giving them other uses, such as blotting paper, non woven, polyester film, among others; Give preference to the use of silicone paper instead of polyester films whenever possible Install deionized and distilled water filters in laboratories to avoid purchasing bottled products in order to avoid disposal; Give preference to locally produced products whenever possible, strengthening the local economy and reducing carbon footprint; Preventive Conservation and Sustainability More than respecting the principle of sustainability, nowadays this must be part of preventive conservation management protocols, whether in exhibition rooms, museums, storage rooms, and other activities such as transport and packaging of objects and works of art; Use a LED lighting system, use sensors for lighting, reducing the luminosity of exhibition spaces when there is no visitor present in the room; Encourage the implementation of green energy capture systems, such as the use of photovoltaic plates, wind energy systems, heat pumps, among others, in museums, galleries, technical reserves, libraries, archives; Improve the insulation of the building to keep the indoor climate stable and use less energy on the HVAC systems; the roof and windows can be a big factor; Microclimates for specific objects or materials groups may be more sustainable than controlling the environmental conditions of the whole collection; Reuse packaging materials, and encourage the design of standard packaging by types of objects; Use durable materials for packing that may be washed and re-used such as Tyvek or Mylar; Keep track of materials to avoid over buying and eventually waste. Country by country look United States Heritage Preservation, in partnership with the Institute of Museum and Library Services, a U.S. federal agency, produced The Heritage Health Index. The results of this work was the report A Public Trust at Risk: The Heritage Health Index Report on the State of America's Collections, which was published in December 2005 and concluded that immediate action is needed to prevent the loss of 190 million artifacts that are in need of conservation treatment. The report made four recommendations: Institutions must give priority to providing safe conditions for the collections they hold in trust. Every collecting institution must develop an emergency plan to protect its collections and train staff to carry it out. Every institution must assign responsibility for caring for collections to members of its staff. Individuals at all levels of government and in the private sector must assume responsibility for providing the support that will allow these collections to survive. United Kingdom In October 2006, the Department for Culture, Media and Sport, a governmental department, authored a document: "Understanding the Future: Priorities for England's Museums". This document was based on several years of consultation aimed to lay out the government's priorities for museums in the 21st century. The document listed the following as priorities for the next decade: Museums will fulfil their potential as learning resources (pp 7–10). Museums will be embedded into the delivery of education in every school in the country. Understanding of the effectiveness of museum education will be improved further and best practice built into education programmes. The value of museums' collections as a research resource will be well understood and better links built between the academic community and museums. Museums will embrace their role in fostering, exploring, celebrating and questioning the identities of diverse communities (pp 11–14). The sector needs to work with partners in academia and beyond to create an intellectual framework supporting museums' capacity to tackle issues of identity. The museum sector must continue to develop improved practical techniques for engaging communities of all sorts. Museums' collections will be more dynamic and better used (pp 15–18). Government and the sector will find new ways to encourage museums to collect actively and strategically, especially the record of contemporary society. The sector will develop new collaborative approaches to sharing and developing collections and related expertise. Museums' workforce will be dynamic, highly skilled and representative (pp 17–22). Museums' governing bodies and workforce will be representative of the communities they serve. Find more varied ways for a broader range of skills to come into museums. Improve continuing professional development. Museums will work more closely with each other and partners outside the sector (pp 23–26). A consistent evidence base of the contribution of all kinds of museums to the full range of public service agendas will be developed. There will be deeper and longer lasting partnerships between the national museums and a broader range of regional partners. Museums' international roles will be strengthened to improve museum programmes in this country and Britain's image, reputation and relationships abroad. The conservation profession response to this report was on the whole less than favourable, the Institute of Conservation (ICON) published their response under the title "A Failure of Vision". It had the following to say: Concluding: Further to this the ICON website summary report lists the following specific recommendations: A national survey to find out what the public want from museums, what motivates them to visit them and what makes for a rewarding visit. A review of survey results and prioritisation of the various intrinsic, instrumental and institutional values to provide a clear basis for a 10-year strategy HR consultants to be brought in from the commercial sector to review recruitment, career development and working practices in the national and regional museums. A commitment to examine the potential for using Museum Accreditation as a more effective driver for improving recruitment, diversity, and career development across the sector. DCMS to take full account of the eventual findings of the current Commons Select Committee enquiry into Care of Collections in the final version of this document The adoption of those recommendations of the recent House of Lords inquiry into Science and Heritage which might affect the future of museums. In November 2008, the UK-based think tank Demos published an influential pamphlet entitled It's a material world: caring for the public realm, in which they argue for integrating the public directly into efforts to conserve material culture, particularly that which is in the public, their argument, as stated on page 16, demonstrates their belief that society can benefit from conservation as a paradigm as well as a profession: Training Training in conservation of cultural heritage for many years took the form of an apprenticeship, whereby an apprentice slowly developed the necessary skills to undertake their job. For some specializations within conservation this is still the case. However, it is more common in the field of conservation today that the training required to become a practicing conservator comes from a recognized university course in conservation of cultural heritage. The university can rarely provide all the necessary training in first hand experience that an apprenticeship can, and therefore in addition to graduate level training the profession also tends towards encouraging conservation students to spend time as an intern. Conservation of cultural heritage is an interdisciplinary field as conservators have backgrounds in the fine arts, sciences (including chemistry, biology, and materials science), and closely related disciplines, such as art history, archaeology, and anthropology. They also have design, fabrication, artistic, and other special skills necessary for the practical application of that knowledge. Within the various schools that teach conservation of cultural heritage, the approach differs according to the educational and vocational system within the country, and the focus of the school itself. This is acknowledged by the American Institute for Conservation who advise "Specific admission requirements differ and potential candidates are encouraged to contact the programs directly for details on prerequisites, application procedures, and program curriculum". In France, training for heritage conservation is taught by four schools : , L'École supérieure des Beaux-Arts Tours, Angers, Le Mans, L'Université Paris 1 Panthéon-Sorbonne, Institut national du patrimoine. Associations and professional organizations Societies devoted to the care of cultural heritage have been in existence around the world for many years. One early example is the founding in 1877 of the Society for the Protection of Ancient Buildings in Britain to protect the built heritage, this society continues to be active today. The 14th Dalai Lama and the Tibetan people work to preserve their cultural heritage with organizations including the Tibetan Institute of Performing Arts and an international network of eight Tibet Houses. The built heritage was at the forefront of the growth of member based
Louis Pasteur carried out scientific analysis on paint as well. However, perhaps the first organized attempt to apply a theoretical framework to the conservation of cultural heritage came with the founding in the United Kingdom of the Society for the Protection of Ancient Buildings in 1877. The society was founded by William Morris and Philip Webb, both of whom were deeply influenced by the writings of John Ruskin. During the same period, a French movement with similar aims was being developed under the direction of Eugène Viollet-le-Duc, an architect and theorist, famous for his restorations of medieval buildings. Conservation of cultural heritage as a distinct field of study initially developed in Germany, where in 1888 Friedrich Rathgen became the first chemist to be employed by a Museum, the Koniglichen Museen, Berlin (Royal Museums of Berlin). He not only developed a scientific approach to the care of objects in the collections, but disseminated this approach by publishing a Handbook of Conservation in 1898. The early development of conservation of cultural heritage in any area of the world is usually linked to the creation of positions for chemists within museums. In British archaeology, key research and technical experimentation in conservation was undertaken by women such as Ione Gedye both in the field and in archaeological collections, particularly those of the Institute of Archaeology, London. In the United Kingdom, pioneering research into painting materials and conservation, ceramics, and stone conservation was conducted by Arthur Pillans Laurie, academic chemist and Principal of Heriot-Watt University from 1900. Laurie's interests were fostered by William Holman Hunt. In 1924 the chemist Dr Harold Plenderleith began to work at the British Museum with Dr. Alexander Scott in the recently created Research Laboratory, although he was actually employed by the Department of Scientific and Industrial Research in the early years. Plenderleith's appointment may be said to have given birth to the conservation profession in the UK, although there had been craftsmen in many museums and in the commercial art world for generations. This department was created by the museum to address the deteriorating condition of objects in the collection, damages which were a result of their being stored in the London Underground tunnels during the First World War. The creation of this department moved the focus for the development of conservation theory and practice from Germany to Britain, and made the latter a prime force in this fledgling field. In 1956 Plenderleith wrote a significant handbook called The Conservation of Antiquities and Works of Art, which supplanted Rathgen's earlier tome and set new standards for the development of art and conservation science. In the United States, the development of conservation of cultural heritage can be traced to the Fogg Art Museum, and Edward Waldo Forbes, its director from 1909 to 1944. He encouraged technical investigation, and was Chairman of the Advisory Committee for the first technical journal, Technical Studies in the Field of the Fine Arts, published by the Fogg from 1932 to 1942. Importantly he also brought onto the museum staff chemists. Rutherford John Gettens was the first of such in the US to be permanently employed by an art museum. He worked with George L. Stout, the founder and first editor of Technical Studies. Gettens and Stout co-authored Painting Materials: A Short Encyclopaedia in 1942, reprinted in 1966. This compendium is still cited regularly. Only a few dates and descriptions in Gettens' and Stout's book are now outdated. George T. Oliver, of Oliver Brothers Art Restoration and Art Conservation-Boston (Est. 1850 in New York City) invented the vacuum hot table for relining paintings in 1920s; he filed a patent for the table in 1937. Taylor's prototype table, which he designed and constructed, is still in operation. Oliver Brothers is believed to be the first and the oldest continuously operating art restoration company in the United States. The focus of conservation development then accelerated in Britain and America, and it was in Britain that the first International Conservation Organisations developed. The International Institute for Conservation of Historic and Artistic Works (IIC) was incorporated under British law in 1950 as "a permanent organization to co-ordinate and improve the knowledge, methods, and working standards needed to protect and preserve precious materials of all kinds." The rapid growth of conservation professional organizations, publications, journals, newsletters, both internationally and in localities, has spearheaded the development of the conservation profession, both practically and theoretically. Art historians and theorists such as Cesare Brandi have also played a significant role in developing conservation science theory. In recent years ethical concerns have been at the forefront of developments in conservation. Most significantly has been the idea of preventive conservation. This concept is based in part on the pioneering work by Garry Thomson CBE, and his book Museum Environment, first published in 1978. Thomson was associated with the National Gallery in London; it was here that he established a set of guidelines or environmental controls for the best conditions in which objects could be stored and displayed within the museum environment. Although his exact guidelines are no longer rigidly followed, they did inspire this field of conservation. Conservation laboratories Conservators routinely use chemical and scientific analysis for the examination and treatment of cultural works. The modern conservation laboratory uses equipment such as microscopes, spectrometers, and various x-ray regime instruments to better understand objects and their components. The data thus collected helps in deciding the conservation treatments to be provided to the object. Ethics The conservator's work is guided by ethical standards. These take the form of applied ethics. Ethical standards have been established across the world, and national and international ethical guidelines have been written. One such example is: American Institute for Conservation Code of Ethics and Guidelines for Practice Conservation OnLine provides resources on ethical issues in conservation, including examples of codes of ethics and guidelines for professional conduct in conservation and allied fields; and charters and treaties pertaining to ethical issues involving the preservation of cultural property. As well as standards of practice conservators deal with wider ethical concerns, such as the debates as to whether all art is worth preserving. Keeping up with the international contemporary scenario, recent concerns with sustainability in conservation have emerged. The common understanding that "the care of an artifact should not come at the undue expense of the environment" is generally well accepted within the community and is already contemplated in guidelines of diverse institutions related to the field. Practice Preventive conservation Many cultural works are sensitive to environmental
influential radical political thinkers. If anyone doubted the gloom and miserable poverty of Russia in the 1880s, the anarchist theorist Peter Kropotkin responded, "read only Chekhov's novels!" Raymond Tallis further recounts that Vladimir Lenin believed his reading of the short story Ward No. 6 "made him a revolutionary." Upon finishing the story, Lenin is said to have remarked: "I absolutely had the feeling that I was shut up in Ward 6 myself!" In Chekhov's lifetime, British and Irish critics generally did not find his work pleasing; E. J. Dillon thought "the effect on the reader of Chekhov's tales was repulsion at the gallery of human waste represented by his fickle, spineless, drifting people" and R. E. C. Long said "Chekhov's characters were repugnant, and that Chekhov revelled in stripping the last rags of dignity from the human soul". After his death, Chekhov was reappraised. Constance Garnett's translations won him an English-language readership and the admiration of writers such as James Joyce, Virginia Woolf, and Katherine Mansfield, whose story "The Child Who Was Tired" is similar to Chekhov's "Sleepy". The Russian critic D. S. Mirsky, who lived in England, explained Chekhov's popularity in that country by his "unusually complete rejection of what we may call the heroic values." In Russia itself, Chekhov's drama fell out of fashion after the revolution, but it was later incorporated into the Soviet canon. The character of Lopakhin, for example, was reinvented as a hero of the new order, rising from a modest background so as eventually to possess the gentry's estates. One of the first non-Russians to praise Chekhov's plays was George Bernard Shaw, who subtitled his Heartbreak House "A Fantasia in the Russian Manner on English Themes," and pointed out similarities between the predicament of the British landed class and that of their Russian counterparts as depicted by Chekhov: "the same nice people, the same utter futility." In the United States, Chekhov's reputation began its rise slightly later, partly through the influence of Stanislavski's system of acting, with its notion of subtext: "Chekhov often expressed his thought not in speeches," wrote Stanislavski, "but in pauses or between the lines or in replies consisting of a single word ... the characters often feel and think things not expressed in the lines they speak." The Group Theatre, in particular, developed the subtextual approach to drama, influencing generations of American playwrights, screenwriters, and actors, including Clifford Odets, Elia Kazan and, in particular, Lee Strasberg. In turn, Strasberg's Actors Studio and the "Method" acting approach influenced many actors, including Marlon Brando and Robert De Niro, though by then the Chekhov tradition may have been distorted by a preoccupation with realism. In 1981, the playwright Tennessee Williams adapted The Seagull as The Notebook of Trigorin. One of Anton's nephews, Michael Chekhov would also contribute heavily to modern theatre, particularly through his unique acting methods which developed Stanislavski's ideas further. Despite Chekhov's reputation as a playwright, William Boyd asserts that his short stories represent the greater achievement. Raymond Carver, who wrote the short story "Errand" about Chekhov's death, believed that Chekhov was the greatest of all short story writers: Ernest Hemingway, another writer influenced by Chekhov, was more grudging: "Chekhov wrote about six good stories. But he was an amateur writer." And Vladimir Nabokov criticised Chekhov's "medley of dreadful prosaisms, ready-made epithets, repetitions." But he also declared “yet it is his works which I would take on a trip to another planet” and called "The Lady with the Dog" "one of the greatest stories ever written" in its depiction of a problematic relationship, and described Chekhov as writing "the way one person relates to another the most important things in his life, slowly and yet without a break, in a slightly subdued voice." For the writer William Boyd, Chekhov's historical accomplishment was to abandon what William Gerhardie called the "event plot" for something more "blurred, interrupted, mauled or otherwise tampered with by life." Virginia Woolf mused on the unique quality of a Chekhov story in The Common Reader (1925): While a Professor of Comparative Literature at Princeton University, Michael Goldman presented his view on defining the elusive quality of Chekhov's comedies stating: "Having learned that Chekhov is comic ... Chekhov is comic in a very special, paradoxical way. His plays depend, as comedy does, on the vitality of the actors to make pleasurable what would otherwise be painfully awkward—inappropriate speeches, missed connections, faux pas, stumbles, childishness—but as part of a deeper pathos; the stumbles are not pratfalls but an energized, graceful dissolution of purpose." Alan Twigg, the chief editor and publisher of the Canadian book review magazine B.C. BookWorld wrote, Chekhov has also influenced the work of Japanese playwrights including Shimizu Kunio, Yōji Sakate, and Ai Nagai. Critics have noted similarities in how Chekhov and Shimizu use a mixture of light humour as well as an intense depictions of longing. Sakate adapted several of Chekhov's plays and transformed them in the general style of nō. Nagai also adapted Chekhov's plays, including Three Sisters, and transformed his dramatic style into Nagai's style of satirical realism while emphasising the social issues depicted on the play. Chekhov's works have been adapted for the screen, including Sidney Lumet's Sea Gull and Louis Malle's Vanya on 42nd Street. Laurence Olivier's final effort as a film director was a 1970 adaption of Three Sisters in which he also played a supporting role. His work has also served as inspiration or been referenced in numerous films. In Andrei Tarkovsky's 1975 film The Mirror, characters discuss his short story "Ward No. 6". Woody Allen has been influenced by Chekhov and reference to his works are present in many of his films including Love and Death (1975), Interiors (1978) and Hannah and Her Sisters (1986). Plays by Chekhov are also referenced in François Truffaut's 1980 drama film The Last Metro, which is set in a theatre. The Cherry Orchard has a role in the comedy film Henry's Crime (2011). A portion of a stage production of Three Sisters appears in the 2014 drama film Still Alice. Several of Chekhov's short stories were adapted as episodes of the 1986 Indian anthology television series Katha Sagar. Another Indian television series titled Chekhov Ki Duniya aired on DD National in the 1990s, adapting different works of Chekhov. Nuri Bilge Ceylan's Palme d'Or winner Winter Sleep was adapted from the short story "The Wife" by Anton Chekhov. Publications See also Chekhov Library Chekhov Monument in Rostov-on-Don Maria Chekhova Ann Dunnigan, English-language translator Jean-Claude van Itallie, English-language translator Explanatory notes Citations General sources Allen, David, Performing Chekhov, Routledge (UK), 2001, Bartlett, Rosamund, and Anthony Phillips (translators), Chekhov: A Life in Letters, Penguin Books, 2004, Bartlett, Rosamund, Chekhov: Scenes from a Life, Free Press, 2004, Benedetti, Jean (editor and translator), Dear Writer, Dear Actress: The Love Letters of Olga Knipper and Anton Chekhov, Methuen Publishing Ltd, 1998 edition, Benedetti, Jean, Stanislavski: An Introduction, Methuen Drama, 1989 edition, Borny, Geoffrey, Interpreting Chekhov, ANU Press, 2006, , free download Chekhov, Anton, About Love and Other Stories, translated by Rosamund Bartlett, Oxford University Press, 2004, Chekhov, Anton, The Undiscovered Chekhov: Fifty New Stories, translated by Peter Constantine, Duck Editions, 2001, Chekhov, Anton, Easter Week, translated by Michael Henry Heim, engravings by Barry Moser, Shackman Press, 2010 Chekhov, Anton, Letters of Anton Chekhov to His Family and Friends with Biographical Sketch, translated by Constance Garnett, Macmillan, 1920. Full text at Gutenberg.. Retrieved 16 February 2007. Chekhov, Anton, Note-Book of Anton Chekhov, translated by S. S. Koteliansky and Leonard Woolf, B.W. Huebsch, 1921. Full text at Gutenberg.. Retrieved 16 February 2007. Chekhov, Anton, The Other Chekhov, edited by Okla Elliott and Kyle Minor, with story introductions by Pinckney Benedict, Fred Chappell, Christopher Coake, Paul Crenshaw, Dorothy Gambrell, Steven Gillis, Michelle Herman, Jeff Parker, Benjamin Percy, and David R. Slavitt. New American Press, 2008 edition, Chekhov, Anton, Seven Short Novels, translated by Barbara Makanowitzky, W. W. Norton & Company, 2003 edition, Clyman, T. W. (Ed.). A Chekhov companion. Westport, Ct: Greenwood Press, (1985). Finke, Michael C., Chekhov's 'Steppe': A Metapoetic Journey, an essay in Anton Chekhov Rediscovered, ed Savely Senderovich and Munir Sendich, Michigan Russian Language Journal, 1988, Finke, Michael C., Seeing Chekhov: Life and Art, Cornell UP, 2005, Gerhardie, William, Anton Chekhov, Macdonald, (1923) 1974 edition, Gorky, Maksim, Alexander Kuprin, and I.A. Bunin, Reminiscences of Anton Chekhov, translated by S. S. Koteliansky and Leonard Woolf, B.W.Huebsch, 1921. Read at eldritchpress.. Retrieved 16 February 2007. Gottlieb, Vera, and Paul Allain (eds), The Cambridge Companion to Chekhov, Cambridge University Press, 2000, Jackson, Robert Louis, Dostoevsky in Chekhov's Garden of Eden – 'Because of Little Apples', in Dialogues with Dostoevsky, Stanford University Press, 1993, Klawans, Harold L., Chekhov's Lie, 1997, . About the challenges of combining writing with the medical life. Miles, Patrick (ed), Chekhov on the British Stage, Cambridge University Press, 1993, Nabokov, Vladimir, Anton Chekhov, in Lectures on Russian Literature, Harvest/HBJ Books, [1981] 2002 edition, . Pitcher, Harvey, Chekhov's Leading Lady: Portrait of the Actress Olga Knipper, J Murray, 1979, Prose, Francine, Learning from Chekhov, in Writers on Writing, ed. Robert Pack and Jay Parini, UPNE, 1991, Sekirin, Peter. "Memories of Chekhov: Accounts of the Writer from His Family, Friends and Contemporaries," MacFarland Publishers, 2011, Speirs, L. Tolstoy and Chekhov. Cambridge, England: University Press, (1971), Stanislavski, Constantin, My Life in Art, Methuen Drama, 1980 edition, Styan, John Louis, Modern Drama in Theory and Practice, Cambridge University Press, 1981, Zeiger, Arthur, The Plays of Anton Chekhov, Claxton House, Inc., New York, NY, 1945. Tufarulo, G, M., La Luna è morta e lo specchio infranto. Miti letterari del Novecento, vol.1 – G. Laterza, Bari, 2009– . External links Biographical Biography at The Literature Network "Chekhov's Legacy" by Cornel West at NPR, 2004 The International competition of philological, culture and film studies works dedicated to Anton Chekhov's life and creative work Documentary 2010: Tschechow lieben (Tschechow and Women) – Director: Marina Rumjanzewa – Language: German Works . All Constance Garnett's translations of the short stories and letters are available, plus the edition of the Note-book translated by S. S. Koteliansky and Leonard Woolf – see the "References" section for print publication details of all of these. Site also has translations of all the plays. 201 Stories by Anton Chekhov, translated by Constance Garnett presented in chronological order of Russian publication with annotations. Антон Павлович Чехов. Указатель Texts of
debtor's prison he fled to Moscow, where his two eldest sons, Alexander and Nikolai, were attending university. The family lived in poverty in Moscow. Chekhov's mother was physically and emotionally broken by the experience. Chekhov was left behind to sell the family's possessions and finish his education. Chekhov remained in Taganrog for three more years, boarding with a man by the name of Selivanov who, like Lopakhin in The Cherry Orchard, had bailed out the family for the price of their house. Chekhov had to pay for his own education, which he managed by private tutoring, catching and selling goldfinches, and selling short sketches to the newspapers, among other jobs. He sent every ruble he could spare to his family in Moscow, along with humorous letters to cheer them up. During this time, he read widely and analytically, including the works of Cervantes, Turgenev, Goncharov, and Schopenhauer, and wrote a full-length comic drama, Fatherless, which his brother Alexander dismissed as "an inexcusable through innocent fabrication." Chekhov also experienced a series of love affairs, one with the wife of a teacher. In 1879, Chekhov completed his schooling and joined his family in Moscow, having gained admission to the medical school at I.M. Sechenov First Moscow State Medical University. Early writings Chekhov now assumed responsibility for the whole family. To support them and to pay his tuition fees, he wrote daily short, humorous sketches and vignettes of contemporary Russian life, many under pseudonyms such as "Antosha Chekhonte" (Антоша Чехонте) and "Man without a Spleen" (Человек без селезенки). His prodigious output gradually earned him a reputation as a satirical chronicler of Russian street life, and by 1882 he was writing for Oskolki (Fragments), owned by Nikolai Leykin, one of the leading publishers of the time. Chekhov's tone at this stage was harsher than that familiar from his mature fiction. In 1884, Chekhov qualified as a physician, which he considered his principal profession though he made little money from it and treated the poor free of charge. In 1884 and 1885, Chekhov found himself coughing blood, and in 1886 the attacks worsened, but he would not admit his tuberculosis to his family or his friends. He confessed to Leykin, "I am afraid to submit myself to be sounded by my colleagues." He continued writing for weekly periodicals, earning enough money to move the family into progressively better accommodations. Early in 1886 he was invited to write for one of the most popular papers in St. Petersburg, Novoye Vremya (New Times), owned and edited by the millionaire magnate Alexey Suvorin, who paid a rate per line double Leykin's and allowed Chekhov three times the space. Suvorin was to become a lifelong friend, perhaps Chekhov's closest. Before long, Chekhov was attracting literary as well as popular attention. The sixty-four-year-old Dmitry Grigorovich, a celebrated Russian writer of the day, wrote to Chekhov after reading his short story "The Huntsman" that "You have real talent, a talent that places you in the front rank among writers in the new generation." He went on to advise Chekhov to slow down, write less, and concentrate on literary quality. Chekhov replied that the letter had struck him "like a thunderbolt" and confessed, "I have written my stories the way reporters write up their notes about fires—mechanically, half-consciously, caring nothing about either the reader or myself."" The admission may have done Chekhov a disservice, since early manuscripts reveal that he often wrote with extreme care, continually revising. Grigorovich's advice nevertheless inspired a more serious, artistic ambition in the twenty-six-year-old. In 1888, with a little string-pulling by Grigorovich, the short story collection At Dusk (V Sumerkakh) won Chekhov the coveted Pushkin Prize "for the best literary production distinguished by high artistic worth." Turning points In 1887, exhausted from overwork and ill health, Chekhov took a trip to Ukraine, which reawakened him to the beauty of the steppe. On his return, he began the novella-length short story "The Steppe," which he called "something rather odd and much too original," and which was eventually published in Severny Vestnik (The Northern Herald). In a narrative that drifts with the thought processes of the characters, Chekhov evokes a chaise journey across the steppe through the eyes of a young boy sent to live away from home, and his companions, a priest and a merchant. "The Steppe" has been called a "dictionary of Chekhov's poetics", and it represented a significant advance for Chekhov, exhibiting much of the quality of his mature fiction and winning him publication in a literary journal rather than a newspaper. In autumn 1887, a theatre manager named Korsh commissioned Chekhov to write a play, the result being Ivanov, written in a fortnight and produced that November. Though Chekhov found the experience "sickening" and painted a comic portrait of the chaotic production in a letter to his brother Alexander, the play was a hit and was praised, to Chekhov's bemusement, as a work of originality. Although Chekhov did not fully realise it at the time, Chekhov's plays, such as The Seagull (written in 1895), Uncle Vanya (written in 1897), The Three Sisters (written in 1900), and The Cherry Orchard (written in 1903) served as a revolutionary backbone to what is common sense to the medium of acting to this day: an effort to recreate and express the realism of how people truly act and speak with each other. This realistic manifestation of the human condition may engender in audiences reflection upon what it means to be human. This philosophy of approaching the art of acting has stood not only steadfast, but as the cornerstone of acting for much of the 20th century to this day. Mikhail Chekhov considered Ivanov a key moment in his brother's intellectual development and literary career. From this period comes an observation of Chekhov's that has become known as Chekhov's gun, a dramatic principle that requires that every element in a narrative be necessary and irreplaceable, and that everything else be removed. The death of Chekhov's brother Nikolai from tuberculosis in 1889 influenced A Dreary Story, finished that September, about a man who confronts the end of a life that he realises has been without purpose. Mikhail Chekhov, who recorded his brother's depression and restlessness after Nikolai's death, was researching prisons at the time as part of his law studies, and Anton Chekhov, in a search for purpose in his own life, himself soon became obsessed with the issue of prison reform. Sakhalin In 1890, Chekhov undertook an arduous journey by train, horse-drawn carriage, and river steamer to the Russian Far East and the katorga, or penal colony, on Sakhalin Island, north of Japan, where he spent three months interviewing thousands of convicts and settlers for a census. The letters Chekhov wrote during the two-and-a-half-month journey to Sakhalin are considered to be among his best. His remarks to his sister about Tomsk were to become notorious. Chekhov witnessed much on Sakhalin that shocked and angered him, including floggings, embezzlement of supplies, and forced prostitution of women. He wrote, "There were times I felt that I saw before me the extreme limits of man's degradation." He was particularly moved by the plight of the children living in the penal colony with their parents. For example: Chekhov later concluded that charity was not the answer, but that the government had a duty to finance humane treatment of the convicts. His findings were published in 1893 and 1894 as Ostrov Sakhalin (The Island of Sakhalin), a work of social science, not literature. Chekhov found literary expression for the "Hell of Sakhalin" in his long short story "The Murder," the last section of which is set on Sakhalin, where the murderer Yakov loads coal in the night while longing for home. Chekhov's writing on Sakhalin, especially the traditions and habits of the Gilyak people, is the subject of a sustained meditation and analysis in Haruki Murakami's novel 1Q84. It is also the subject of a poem by the Nobel Prize winner Seamus Heaney, "Chekhov on Sakhalin" (collected in the volume Station Island). Rebecca Gould has compared Chekhov's book on Sakhalin to Katherine Mansfield's Urewera Notebook (1907). In 2013, the Wellcome Trust-funded play 'A Russian Doctor', performed by Andrew Dawson and researched by Professor Jonathan Cole, explored Chekhov's experiences on Sakhalin Island. Melikhovo Mikhail Chekhov, a member of the household at Melikhovo, described the extent of his brother's medical commitments: Chekhov's expenditure on drugs was considerable, but the greatest cost was making journeys of several hours to visit the sick, which reduced his time for writing. However, Chekhov's work as a doctor enriched his writing by bringing him into intimate contact with all sections of Russian society: for example, he witnessed at first hand the peasants' unhealthy and cramped living conditions, which he recalled in his short story "Peasants". Chekhov visited the upper classes as well, recording in his notebook: "Aristocrats? The same ugly bodies and physical uncleanliness, the same toothless old age and disgusting death, as with market-women." In 1894, Chekhov began writing his play The Seagull in a lodge he had built in the orchard at Melikhovo. In the two years since he had moved to the estate, he had refurbished the house, taken up agriculture and horticulture, tended the orchard and the pond, and planted many trees, which, according to Mikhail, he "looked after ... as though they were his children. Like Colonel Vershinin in his Three Sisters, as he looked at them he dreamed of what they would be like in three or four hundred years." The first night of The Seagull, at the Alexandrinsky Theatre in St. Petersburg on 17 October 1896, was a fiasco, as the play was booed by the audience, stinging Chekhov into renouncing the theatre. But the play so impressed the theatre director Vladimir Nemirovich-Danchenko that he convinced his colleague Konstantin Stanislavski to direct a new production for the innovative Moscow Art Theatre in 1898. Stanislavski's attention to psychological realism and ensemble playing coaxed the buried subtleties from the text, and restored Chekhov's interest in playwriting. The Art Theatre commissioned more plays from Chekhov and the following year staged Uncle Vanya, which Chekhov had completed in 1896. In the last decades of his life he became an atheist. Yalta In March 1897, Chekhov suffered a major haemorrhage of the lungs while on a visit to Moscow. With great difficulty he was persuaded to enter a clinic, where the doctors diagnosed tuberculosis on the upper part of his lungs and ordered a change in his manner of life. After his father's death in 1898, Chekhov bought a plot of land on the outskirts of Yalta and built a villa (The White Dacha), into which he moved with his mother and sister the following year. Though he planted trees and flowers, kept dogs and tame cranes, and received guests such as Leo Tolstoy and Maxim Gorky, Chekhov was always relieved to leave his "hot Siberia" for Moscow or travels abroad. He vowed to move to Taganrog as soon as a water supply was installed there. In Yalta he completed two more plays for the Art Theatre, composing with greater difficulty than in the days when he "wrote serenely, the way I eat pancakes now". He took a year each over Three
Hunger developed an international network to have a bigger global impact. The Network has 6 headquarters in the world: France, Spain, the United Kingdom, the United States, Canada and Italy. Action Against Hunger has also a West Africa Regional Office (WARO) located in Dakar, a training centre in Nairobi, and five logistic platforms (Lyon, Paris, Barcelona, Dubai, Panama). This network increases the human and financial capacities and enables specialisation per headquarter. Action Against Hunger in France, Spain and the USA are the operational headquarters. They manage the interventions directly on the field. In order to maximize efficiency and coherence, these three operational headquarters work under the principle of one headquarter per country of intervention. Action Against Hunger UK focuses on research, monitoring and evaluation, notably with Hunger Watch. The UK headquarters also plays an intermediary role with DFID. Action Against Hunger Canada raises public and private funds in North America and plays an increasing role on the national level. Action Against Hunger / Azione contro la Fame Italia raises private funds and promotes important campaigns in order to sensitize the Italian public opinion on hunger and malnutrition. References Further reading Michelle Jurkovich. 2020. Feeding the Hungry: Advocacy and Blame in the Global Fight against Hunger. Cornell University Press. External links Action Against Hunger US website Action Against Hunger UK website Action Contre la Faim France website Acción Contra el Hambre Spain website Action Contre la Faim Canada website Aktion gegen den Hunger Germany website Azione contro la Fame
Against Hunger partners with leaders from the food and beverage industry to bring attention to global hunger. Each year, several campaigns are run by the network to raise funds and support the organisation's programs : Restaurants Against Hunger and Love Food Give Food. Countries of intervention In 2019, Action Against Hunger International Network is present in 51 countries: Africa Burkina Faso, Burundi, Cameroon, Ivory Coast, Djibouti, Ethiopia, Kenya, Liberia, Malawi, Madagascar, Mali, Mauritania, Niger, Nigeria, Uganda, Central African Republic, Democratic Republic of the Congo, Senegal, Sierra Leone, Somalia, South Soudan, Tanzania, Chad, Zimbabwe Asia Bangladesh, Myanmar, Cambodia, India, Indonesia, Mongolia, Nepal, Pakistan, Philippines, South Caucasus Caribbean Haïti Europe Turkey, Ukraine Middle East Afghanistan, Azerbaijan, Egypt, Lebanon, Syria, Palestinian Occupied Territories, Yemen, Jordan, Iraq Latin America Colombia, Guatemala, Nicaragua, Paraguay, Peru Action Against Hunger international network Since 1995 Action Against Hunger developed an international network to have a bigger global impact. The Network has 6 headquarters in the world: France, Spain, the United Kingdom, the United States, Canada and Italy. Action Against Hunger has also a West Africa Regional Office (WARO) located in Dakar, a training centre in Nairobi, and five logistic platforms (Lyon, Paris, Barcelona, Dubai, Panama). This network increases the human and financial capacities and enables specialisation per headquarter. Action Against Hunger in France, Spain and the USA are the operational headquarters. They manage the interventions directly on the field. In order to maximize efficiency and coherence, these three operational headquarters work under the principle of one headquarter per country of intervention. Action Against Hunger UK focuses on research, monitoring and evaluation, notably with Hunger Watch. The UK headquarters also plays an intermediary role with DFID. Action Against Hunger Canada raises public and private funds in North America and plays an increasing role on the national level. Action Against Hunger / Azione contro la Fame Italia raises private funds and promotes important campaigns in order to sensitize the Italian public opinion on hunger and malnutrition. References Further reading Michelle Jurkovich. 2020. Feeding the Hungry: Advocacy and Blame in the
Jossie John-Allison Weiss, an American singer-songwriter formerly known as A.W. Alan Walker (music producer) (born 1997), uses the initials and logo AW A. H. Weiler (1908 – 2002), New York Times film critic whose early reviews were signed with his initials A.W. . Places Ahrweiler (district), Germany, vehicle registration code Aruba (ISO 3166-1 2-letter country code AW) Companies A&W Restaurants A&W Root Beer Addison-Wesley, publishers Africa World Airlines, IATA code Prefix for helicopters made by AgustaWestland, e.g., AW101 Allied Waste Industries Inc, stock symbol on NYSE Armstrong Whitworth, a British manufacturing company in the early
(born 1997), uses the initials and logo AW A. H. Weiler (1908 – 2002), New York Times film critic whose early reviews were signed with his initials A.W. . Places Ahrweiler (district), Germany, vehicle registration code Aruba (ISO 3166-1 2-letter country code AW) Companies A&W Restaurants A&W Root Beer Addison-Wesley, publishers Africa World Airlines, IATA code Prefix for helicopters made by AgustaWestland, e.g., AW101 Allied Waste Industries Inc, stock symbol on NYSE Armstrong Whitworth, a British
how primary and secondary necrotic cells can be distinguished by analysis of supernatant for caspases, HMGB1, and release of cytokeratin 18. However, no distinct surface or biochemical markers of necrotic cell death have been identified yet, and only negative markers are available. These include absence of apoptotic markers (caspase activation, cytochrome c release, and oligonucleosomal DNA fragmentation) and differential kinetics of cell death markers (phosphatidylserine exposure and cell membrane permeabilization). A selection of techniques that can be used to distinguish apoptosis from necroptotic cells could be found in these references. Implication in disease Defective pathways The many different types of apoptotic pathways contain a multitude of different biochemical components, many of them not yet understood. As a pathway is more or less sequential in nature, removing or modifying one component leads to an effect in another. In a living organism, this can have disastrous effects, often in the form of disease or disorder. A discussion of every disease caused by modification of the various apoptotic pathways would be impractical, but the concept overlying each one is the same: The normal functioning of the pathway has been disrupted in such a way as to impair the ability of the cell to undergo normal apoptosis. This results in a cell that lives past its "use-by date" and is able to replicate and pass on any faulty machinery to its progeny, increasing the likelihood of the cell's becoming cancerous or diseased. A recently described example of this concept in action can be seen in the development of a lung cancer called NCI-H460. The X-linked inhibitor of apoptosis protein (XIAP) is overexpressed in cells of the H460 cell line. XIAPs bind to the processed form of caspase-9 and suppress the activity of apoptotic activator cytochrome c, therefore overexpression leads to a decrease in the number of proapoptotic agonists. As a consequence, the balance of anti-apoptotic and proapoptotic effectors is upset in favour of the former, and the damaged cells continue to replicate despite being directed to die. Defects in regulation of apoptosis in cancer cells occur often at the level of control of transcription factors. As a particular example, defects in molecules that control transcription factor NF-κB in cancer change the mode of transcriptional regulation and the response to apoptotic signals, to curtail dependence on the tissue that the cell belongs. This degree of independence from external survival signals, can enable cancer metastasis. Dysregulation of p53 The tumor-suppressor protein p53 accumulates when DNA is damaged due to a chain of biochemical factors. Part of this pathway includes alpha-interferon and beta-interferon, which induce transcription of the p53 gene, resulting in the increase of p53 protein level and enhancement of cancer cell-apoptosis. p53 prevents the cell from replicating by stopping the cell cycle at G1, or interphase, to give the cell time to repair, however it will induce apoptosis if damage is extensive and repair efforts fail. Any disruption to the regulation of the p53 or interferon genes will result in impaired apoptosis and the possible formation of tumors. Inhibition Inhibition of apoptosis can result in a number of cancers, inflammatory diseases, and viral infections. It was originally believed that the associated accumulation of cells was due to an increase in cellular proliferation, but it is now known that it is also due to a decrease in cell death. The most common of these diseases is cancer, the disease of excessive cellular proliferation, which is often characterized by an overexpression of IAP family members. As a result, the malignant cells experience an abnormal response to apoptosis induction: Cycle-regulating genes (such as p53, ras or c-myc) are mutated or inactivated in diseased cells, and further genes (such as bcl-2) also modify their expression in tumors. Some apoptotic factors are vital during mitochondrial respiration e.g. cytochrome C. Pathological inactivation of apoptosis in cancer cells is correlated with frequent respiratory metabolic shifts toward glycolysis (an observation known as the “Warburg hypothesis”. HeLa cell Apoptosis in HeLa cells is inhibited by proteins produced by the cell; these inhibitory proteins target retinoblastoma tumor-suppressing proteins. These tumor-suppressing proteins regulate the cell cycle, but are rendered inactive when bound to an inhibitory protein. HPV E6 and E7 are inhibitory proteins expressed by the human papillomavirus, HPV being responsible for the formation of the cervical tumor from which HeLa cells are derived. HPV E6 causes p53, which regulates the cell cycle, to become inactive. HPV E7 binds to retinoblastoma tumor suppressing proteins and limits its ability to control cell division. These two inhibitory proteins are partially responsible for HeLa cells' immortality by inhibiting apoptosis to occur. Canine distemper virus (CDV) is able to induce apoptosis despite the presence of these inhibitory proteins. This is an important oncolytic property of CDV: this virus is capable of killing canine lymphoma cells. Oncoproteins E6 and E7 still leave p53 inactive, but they are not able to avoid the activation of caspases induced from the stress of viral infection. These oncolytic properties provided a promising link between CDV and lymphoma apoptosis, which can lead to development of alternative treatment methods for both canine lymphoma and human non-Hodgkin lymphoma. Defects in the cell cycle are thought to be responsible for the resistance to chemotherapy or radiation by certain tumor cells, so a virus that can induce apoptosis despite defects in the cell cycle is useful for cancer treatment. Treatments The main method of treatment for potential death from signaling-related diseases involves either increasing or decreasing the susceptibility of apoptosis in diseased cells, depending on whether the disease is caused by either the inhibition of or excess apoptosis. For instance, treatments aim to restore apoptosis to treat diseases with deficient cell death and to increase the apoptotic threshold to treat diseases involved with excessive cell death. To stimulate apoptosis, one can increase the number of death receptor ligands (such as TNF or TRAIL), antagonize the anti-apoptotic Bcl-2 pathway, or introduce Smac mimetics to inhibit the inhibitor (IAPs). The addition of agents such as Herceptin, Iressa, or Gleevec works to stop cells from cycling and causes apoptosis activation by blocking growth and survival signaling further upstream. Finally, adding p53-MDM2 complexes displaces p53 and activates the p53 pathway, leading to cell cycle arrest and apoptosis. Many different methods can be used either to stimulate or to inhibit apoptosis in various places along the death signaling pathway. Apoptosis is a multi-step, multi-pathway cell-death programme that is inherent in every cell of the body. In cancer, the apoptosis cell-division ratio is altered. Cancer treatment by chemotherapy and irradiation kills target cells primarily by inducing apoptosis. Hyperactive apoptosis On the other hand, loss of control of cell death (resulting in excess apoptosis) can lead to neurodegenerative diseases, hematologic diseases, and tissue damage. It is of interest to note that neurons that rely on mitochondrial respiration undergo apoptosis in neurodegenerative diseases such as Alzheimer's and Parkinson's. (an observation known as the “Inverse Warburg hypothesis”). Moreover, there is an inverse epidemiological comorbidity between neurodegenerative diseases and cancer. The progression of HIV is directly linked to excess, unregulated apoptosis. In a healthy individual, the number of CD4+ lymphocytes is in balance with the cells generated by the bone marrow; however, in HIV-positive patients, this balance is lost due to an inability of the bone marrow to regenerate CD4+ cells. In the case of HIV, CD4+ lymphocytes die at an accelerated rate through uncontrolled apoptosis, when stimulated. At the molecular level, hyperactive apoptosis can be caused by defects in signaling pathways that regulate the Bcl-2 family proteins. Increased expression of apoptotic proteins such as BIM, or their decreased proteolysis, leads to cell death and can cause a number of pathologies, depending on the cells where excessive activity of BIM occurs. Cancer cells can escape apoptosis through mechanisms that suppress BIM expression or by increased proteolysis of BIM. Treatments Treatments aiming to inhibit works to block specific caspases. Finally, the Akt protein kinase promotes cell survival through two pathways. Akt phosphorylates and inhibits Bad (a Bcl-2 family member), causing Bad to interact with the 14-3-3 scaffold, resulting in Bcl dissociation and thus cell survival. Akt also activates IKKα, which leads to NF-κB activation and cell survival. Active NF-κB induces the expression of anti-apoptotic genes such as Bcl-2, resulting in inhibition of apoptosis. NF-κB has been found to play both an antiapoptotic role and a proapoptotic role depending on the stimuli utilized and the cell type. HIV progression The progression of the human immunodeficiency virus infection into AIDS is due primarily to the depletion of CD4+ T-helper lymphocytes in a manner that is too rapid for the body's bone marrow to replenish the cells, leading to a compromised immune system. One of the mechanisms by which T-helper cells are depleted is apoptosis, which results from a series of biochemical pathways: HIV enzymes deactivate anti-apoptotic Bcl-2. This does not directly cause cell death but primes the cell for apoptosis should the appropriate signal be received. In parallel, these enzymes activate proapoptotic procaspase-8, which does directly activate the mitochondrial events of apoptosis. HIV may increase the level of cellular proteins that prompt Fas-mediated apoptosis. HIV proteins decrease the amount of CD4 glycoprotein marker present on the cell membrane. Released viral particles and proteins present in extracellular fluid are able to induce apoptosis in nearby "bystander" T helper cells. HIV decreases the production of molecules involved in marking the cell for apoptosis, giving the virus time to replicate and continue releasing apoptotic agents and virions into the surrounding tissue. The infected CD4+ cell may also receive the death signal from a cytotoxic T cell. Cells may also die as direct
caspases, in addition to APAF1 and FADD, have been mutated to determine the new phenotype. In order to create a tumor necrosis factor (TNF) knockout, an exon containing the nucleotides 3704–5364 was removed from the gene. This exon encodes a portion of the mature TNF domain, as well as the leader sequence, which is a highly conserved region necessary for proper intracellular processing. TNF-/- mice develop normally and have no gross structural or morphological abnormalities. However, upon immunization with SRBC (sheep red blood cells), these mice demonstrated a deficiency in the maturation of an antibody response; they were able to generate normal levels of IgM, but could not develop specific IgG levels. Apaf-1 is the protein that turns on caspase 9 by cleavage to begin the caspase cascade that leads to apoptosis. Since a -/- mutation in the APAF-1 gene is embryonic lethal, a gene trap strategy was used in order to generate an APAF-1 -/- mouse. This assay is used to disrupt gene function by creating an intragenic gene fusion. When an APAF-1 gene trap is introduced into cells, many morphological changes occur, such as spina bifida, the persistence of interdigital webs, and open brain. In addition, after embryonic day 12.5, the brain of the embryos showed several structural changes. APAF-1 cells are protected from apoptosis stimuli such as irradiation. A BAX-1 knock-out mouse exhibits normal forebrain formation and a decreased programmed cell death in some neuronal populations and in the spinal cord, leading to an increase in motor neurons. The caspase proteins are integral parts of the apoptosis pathway, so it follows that knock-outs made have varying damaging results. A caspase 9 knock-out leads to a severe brain malformation. A caspase 8 knock-out leads to cardiac failure and thus embryonic lethality. However, with the use of cre-lox technology, a caspase 8 knock-out has been created that exhibits an increase in peripheral T cells, an impaired T cell response, and a defect in neural tube closure. These mice were found to be resistant to apoptosis mediated by CD95, TNFR, etc. but not resistant to apoptosis caused by UV irradiation, chemotherapeutic drugs, and other stimuli. Finally, a caspase 3 knock-out was characterized by ectopic cell masses in the brain and abnormal apoptotic features such as membrane blebbing or nuclear fragmentation. A remarkable feature of these KO mice is that they have a very restricted phenotype: Casp3, 9, APAF-1 KO mice have deformations of neural tissue and FADD and Casp 8 KO showed defective heart development, however, in both types of KO other organs developed normally and some cell types were still sensitive to apoptotic stimuli suggesting that unknown proapoptotic pathways exist. Methods for distinguishing apoptotic from necrotic (necroptotic) cells In order to perform analysis of apoptotic versus necrotic (necroptotic) cells, one can do analysis of morphology by label-free live cell imaging, time-lapse microscopy, flow fluorocytometry, and transmission electron microscopy. There are also various biochemical techniques for analysis of cell surface markers (phosphatidylserine exposure versus cell permeability by flow cytometry), cellular markers such as DNA fragmentation (flow cytometry), caspase activation, Bid cleavage, and cytochrome c release (Western blotting). It is important to know how primary and secondary necrotic cells can be distinguished by analysis of supernatant for caspases, HMGB1, and release of cytokeratin 18. However, no distinct surface or biochemical markers of necrotic cell death have been identified yet, and only negative markers are available. These include absence of apoptotic markers (caspase activation, cytochrome c release, and oligonucleosomal DNA fragmentation) and differential kinetics of cell death markers (phosphatidylserine exposure and cell membrane permeabilization). A selection of techniques that can be used to distinguish apoptosis from necroptotic cells could be found in these references. Implication in disease Defective pathways The many different types of apoptotic pathways contain a multitude of different biochemical components, many of them not yet understood. As a pathway is more or less sequential in nature, removing or modifying one component leads to an effect in another. In a living organism, this can have disastrous effects, often in the form of disease or disorder. A discussion of every disease caused by modification of the various apoptotic pathways would be impractical, but the concept overlying each one is the same: The normal functioning of the pathway has been disrupted in such a way as to impair the ability of the cell to undergo normal apoptosis. This results in a cell that lives past its "use-by date" and is able to replicate and pass on any faulty machinery to its progeny, increasing the likelihood of the cell's becoming cancerous or diseased. A recently described example of this concept in action can be seen in the development of a lung cancer called NCI-H460. The X-linked inhibitor of apoptosis protein (XIAP) is overexpressed in cells of the H460 cell line. XIAPs bind to the processed form of caspase-9 and suppress the activity of apoptotic activator cytochrome c, therefore overexpression leads to a decrease in the number of proapoptotic agonists. As a consequence, the balance of anti-apoptotic and proapoptotic effectors is upset in favour of the former, and the damaged cells continue to replicate despite being directed to die. Defects in regulation of apoptosis in cancer cells occur often at the level of control of transcription factors. As a particular example, defects in molecules that control transcription factor NF-κB in cancer change the mode of transcriptional regulation and the response to apoptotic signals, to curtail dependence on the tissue that the cell belongs. This degree of independence from external survival signals, can enable cancer metastasis. Dysregulation of p53 The tumor-suppressor protein p53 accumulates when DNA is damaged due to a chain of biochemical factors. Part of this pathway includes alpha-interferon and beta-interferon, which induce transcription of the p53 gene, resulting in the increase of p53 protein level and enhancement of cancer cell-apoptosis. p53 prevents the cell from replicating by stopping the cell cycle at G1, or interphase, to give the cell time to repair, however it will induce apoptosis if damage is extensive and repair efforts fail. Any disruption to the regulation of the p53 or interferon genes will result in impaired apoptosis and the possible formation of tumors. Inhibition Inhibition of apoptosis can result in a number of cancers, inflammatory diseases, and viral infections. It was originally believed that the associated accumulation of cells was due to an increase in cellular proliferation, but it is now known that it is also due to a decrease in cell death. The most common of these diseases is cancer, the disease of excessive cellular proliferation, which is often characterized by an overexpression of IAP family members. As a result, the malignant cells experience an abnormal response to apoptosis induction: Cycle-regulating genes (such as p53, ras or c-myc) are mutated or inactivated in diseased cells, and further genes (such as bcl-2) also modify their expression in tumors. Some apoptotic factors are vital during mitochondrial respiration e.g. cytochrome C. Pathological inactivation of apoptosis in cancer cells is correlated with frequent respiratory metabolic shifts toward glycolysis (an observation known as the “Warburg hypothesis”. HeLa cell Apoptosis in HeLa cells is inhibited by proteins produced by the cell; these inhibitory proteins target retinoblastoma tumor-suppressing proteins. These tumor-suppressing proteins regulate the cell cycle, but are rendered inactive when bound to an inhibitory protein. HPV E6 and E7 are inhibitory proteins expressed by the human papillomavirus, HPV being responsible for the formation of the cervical tumor from which HeLa cells are derived. HPV E6 causes p53, which regulates the cell cycle, to become inactive. HPV E7 binds to retinoblastoma tumor suppressing proteins and limits its ability to control cell division. These two inhibitory proteins are partially responsible for HeLa cells' immortality by inhibiting apoptosis to occur. Canine distemper virus (CDV) is able to induce apoptosis despite the presence of these inhibitory proteins. This is an important oncolytic property of CDV: this virus is capable of killing canine lymphoma cells. Oncoproteins E6 and E7 still leave p53 inactive, but they are not able to avoid the activation of caspases induced from the stress of viral infection. These oncolytic properties provided a promising link between CDV and lymphoma apoptosis, which can lead to development of alternative treatment methods for both canine lymphoma and human non-Hodgkin lymphoma. Defects in the cell cycle are thought to be responsible for the resistance to chemotherapy or radiation by certain tumor cells, so a virus that can induce apoptosis despite defects in the cell cycle is useful for cancer treatment. Treatments The main method of treatment for potential death from signaling-related diseases involves either increasing or decreasing the susceptibility of apoptosis in diseased cells, depending on whether the disease is caused by either the inhibition of or excess apoptosis. For instance, treatments aim to restore apoptosis to treat diseases with deficient cell death and to increase the apoptotic threshold to treat diseases involved with excessive cell death. To stimulate apoptosis, one can increase the number of death receptor ligands (such as TNF or TRAIL), antagonize the anti-apoptotic Bcl-2 pathway, or introduce Smac mimetics to inhibit the inhibitor (IAPs). The addition of agents such as Herceptin, Iressa, or Gleevec works to stop cells from cycling and causes apoptosis activation by blocking growth and survival signaling further upstream. Finally, adding p53-MDM2 complexes displaces p53 and activates the p53 pathway, leading to cell cycle arrest and apoptosis. Many different methods can be used either to stimulate or to inhibit apoptosis in various places along the death signaling pathway. Apoptosis is a multi-step, multi-pathway cell-death programme that is inherent in every cell of the body. In cancer, the apoptosis cell-division ratio is altered. Cancer treatment by chemotherapy and irradiation kills target cells primarily by inducing apoptosis. Hyperactive apoptosis On the other hand, loss of control of cell death (resulting in excess apoptosis) can lead to neurodegenerative diseases, hematologic diseases, and tissue damage. It is of interest to note that neurons that rely on mitochondrial respiration undergo apoptosis in neurodegenerative diseases such as Alzheimer's and Parkinson's. (an observation known as the “Inverse Warburg hypothesis”). Moreover, there is an inverse epidemiological comorbidity between neurodegenerative diseases and cancer. The progression of HIV is directly linked to excess, unregulated apoptosis. In a healthy individual, the number of CD4+ lymphocytes is in balance with the cells generated by the bone marrow; however, in HIV-positive patients, this balance is lost due to an inability of the bone marrow to regenerate CD4+ cells. In the case of HIV, CD4+ lymphocytes die at an accelerated rate through uncontrolled apoptosis, when stimulated. At the molecular level, hyperactive apoptosis can be caused by defects in signaling pathways that regulate the Bcl-2 family proteins. Increased expression of apoptotic proteins such as BIM, or their decreased proteolysis, leads to cell death and can cause a number of pathologies, depending on the cells where excessive activity of BIM occurs. Cancer cells can escape apoptosis through mechanisms that suppress BIM expression or by increased proteolysis of BIM. Treatments Treatments aiming to inhibit works to block specific caspases. Finally, the Akt protein kinase promotes cell survival through two pathways. Akt phosphorylates and inhibits Bad (a Bcl-2 family member), causing Bad to interact with the 14-3-3 scaffold, resulting in Bcl dissociation and thus cell survival. Akt also activates IKKα, which leads to NF-κB activation and cell survival. Active NF-κB induces the expression of anti-apoptotic genes such as Bcl-2, resulting in inhibition of apoptosis. NF-κB has been found to play both an antiapoptotic role and a proapoptotic role depending on the stimuli utilized and the cell type. HIV progression The progression of the human immunodeficiency virus infection into AIDS is due primarily to the depletion of CD4+ T-helper lymphocytes in a manner that is too rapid for the body's bone marrow to replenish the cells, leading to a compromised immune system. One of the mechanisms by which T-helper cells are depleted is apoptosis, which results from a series of biochemical pathways: HIV enzymes deactivate anti-apoptotic Bcl-2. This does not directly cause cell death but primes the cell for apoptosis should the appropriate signal be received. In parallel, these enzymes activate proapoptotic procaspase-8, which does directly activate the mitochondrial events of apoptosis. HIV may increase the level of cellular proteins that prompt Fas-mediated apoptosis. HIV proteins decrease the amount of CD4 glycoprotein marker present on the cell membrane. Released viral particles and proteins present in extracellular fluid are able to induce apoptosis in nearby "bystander" T helper cells. HIV decreases the production of molecules involved in marking the cell for apoptosis, giving the virus time to replicate and continue releasing apoptotic agents and virions into the surrounding tissue. The infected CD4+ cell may also receive the death signal from a cytotoxic T cell. Cells may also die as direct consequences of viral infections. HIV-1 expression induces tubular cell G2/M arrest and apoptosis. The progression from HIV to AIDS is not immediate or even necessarily rapid; HIV's cytotoxic activity toward CD4+ lymphocytes is classified as AIDS once a given patient's CD4+ cell count falls below 200. Researchers from Kumamoto University in Japan have developed a new method to eradicate HIV in viral reservoir cells, named "Lock-in and apoptosis." Using the synthesized compound Heptanoylphosphatidyl L-Inositol Pentakisphophate (or L-Hippo) to bind strongly to the HIV protein PR55Gag, they were able to suppress viral budding. By suppressing viral budding, the researchers were able to trap the HIV virus in the cell and allow for the cell to undergo apoptosis (natural cell death). Associate Professor Mikako Fujita has stated that the approach is not yet available to HIV patients because the research team has to conduct further research on combining the drug therapy that currently exists with this "Lock-in and apoptosis" approach to lead to complete recovery from HIV. Viral infection Viral induction of apoptosis occurs when one or several cells of a living organism are infected with a virus, leading to cell death. Cell death in organisms is necessary for the normal development of cells and the cell cycle maturation. It is also important in maintaining the regular functions and activities of cells. Viruses can trigger apoptosis of infected cells via a range of mechanisms including: Receptor binding Activation of protein kinase R (PKR) Interaction with p53 Expression of viral proteins coupled to MHC proteins on the surface of the infected cell, allowing recognition by cells of the immune system (such as Natural Killer and cytotoxic T cells) that then induce the infected cell to undergo apoptosis. Canine distemper virus (CDV) is known to cause apoptosis in central nervous system and lymphoid tissue of infected dogs in vivo and in vitro. Apoptosis caused by CDV is typically induced via the extrinsic pathway, which activates caspases that disrupt cellular function and eventually leads to the cells death. In normal cells, CDV activates caspase-8 first, which works as the initiator protein followed by the executioner protein caspase-3. However, apoptosis induced by CDV in HeLa cells does not involve the initiator protein caspase-8. HeLa cell apoptosis caused by CDV follows a different mechanism than that in vero cell lines. This change in the caspase cascade suggests CDV induces apoptosis via the intrinsic pathway, excluding the need for the initiator caspase-8. The executioner protein is instead activated by the internal stimuli caused by viral infection not a caspase cascade. The Oropouche virus (OROV) is found in the family Bunyaviridae. The study of apoptosis brought on by Bunyaviridae was initiated in 1996, when it was observed that apoptosis was induced by the La Crosse virus into the kidney cells of baby hamsters and into the brains of baby mice. OROV is a disease that is transmitted between humans by the biting midge (Culicoides paraensis). It is referred to as a zoonotic arbovirus and causes febrile illness, characterized by the onset of a sudden fever known as Oropouche fever. The Oropouche virus also causes disruption in cultured cells – cells that are cultivated in distinct and specific conditions. An example of this can be seen in HeLa cells, whereby the cells begin to degenerate shortly after they are infected. With the use of gel electrophoresis, it can be observed that OROV causes DNA fragmentation in HeLa cells. It can be interpreted by counting, measuring, and analyzing the cells of the Sub/G1 cell population. When HeLA cells are infected with OROV, the cytochrome C is released from the membrane of the mitochondria, into the cytosol of the cells. This type of interaction shows that apoptosis is activated via an intrinsic pathway. In order for apoptosis to occur within OROV, viral uncoating, viral internalization, along with the replication of cells is necessary. Apoptosis in some viruses is activated by extracellular stimuli. However, studies have demonstrated that the OROV infection causes apoptosis to be activated through intracellular stimuli and involves the mitochondria. Many viruses encode proteins that can inhibit apoptosis. Several viruses encode viral homologs of Bcl-2. These homologs can inhibit proapoptotic proteins such as BAX and BAK, which are essential for the activation of apoptosis. Examples of
River in Virginia Appomattox Basin, a name for the Tri-Cities, Virginia region Appomattox Manor, a manor in City Point, Hopewell, Virginia Battle of Appomattox Station, a battle of the American Civil War in Appomattox, Virginia, a day before the Battle of Appomattox Court House SS Appomattox, a large American wooden steamship operated mainly on the Great Lakes SS Appomattox (1893), a British steamship of the early 20th century Appomattox (opera), a 2007 opera in based on the American Civil War, composed by Philip Glass Appomattox (statue), a
battle of the American Civil War that was a culmination of the Appomattox Campaign and resulted in the surrender of Robert E. Lee Appomattox Court House National Historical Park, a National Historical Park in Virginia at the site of the surrender Appomattox may also refer to: Appomattox County, Virginia, in the United States Appomattox, Virginia, a town and the seat of that county Appomattox Court House (disambiguation), several courthouses in Appomattox, Virginia Appomattox River, a tributary of the James River in Virginia Appomattox Basin, a name for the Tri-Cities, Virginia region Appomattox Manor, a manor in City Point, Hopewell, Virginia Battle of
adolescents, limited data also exists. This may be because of the taboo nature of anal sex and that teenagers and caregivers subsequently avoid talking to one another about the topic. It is also common for subject review panels and schools to avoid the subject. A 2000 study found that 22.9% of college students who self-identified as non-virgins had anal sex. They used condoms during anal sex 20.9% of the time as compared with 42.9% of the time with vaginal intercourse. Anal sex being more common among heterosexuals today than it was previously has been linked to the increase in consumption of anal pornography among men, especially among those who view it on a regular basis. Seidman et al. argued that "cheap, accessible and, especially, interactive media have enabled many more people to produce as well as consume pornography", and that this modern way of producing pornography, in addition to the buttocks and anus having become more eroticized, has led to a significant interest in or obsession with anal sex among men. Male to male Behaviors and views Historically, anal sex has been commonly associated with male homosexuality. However, many gay men and men who have sex with men in general (those who identify as gay, bisexual, heterosexual or have not identified their sexual identity) do not engage in anal sex. Among men who have anal sex with other men, the insertive partner may be referred to as the top and the one being penetrated may be referred to as the bottom. Those who enjoy either role may be referred to as versatile. Gay men who prefer anal sex may view it as their version of intercourse and a natural expression of intimacy that is capable of providing pleasure. The notion that it might resonate with gay men with the same emotional significance that vaginal sex resonates with heterosexuals has also been considered. Some men who have sex with men, however, believe that being a receptive partner during anal sex questions their masculinity. Men who have sex with men may also prefer to engage in frot or other forms of mutual masturbation because they find it more pleasurable or more affectionate, to preserve technical virginity, or as safe sex alternatives to anal sex, while other frot advocates denounce anal sex as degrading to the receptive partner and unnecessarily risky. Prevalence Reports regarding the prevalence of anal sex among gay men and other men who have sex with men vary. A survey in The Advocate in 1994 indicated that 46% of gay men preferred to penetrate their partners, while 43% preferred to be the receptive partner. Other sources suggest that roughly three-fourths of gay men have had anal sex at one time or another, with an equal percentage participating as tops and bottoms. A 2012 NSSHB sex survey in the U.S. suggests high lifetime participation in anal sex among gay men: 83.3% report ever taking part in anal sex in the insertive position and 90% in the receptive position, even if only between a third and a quarter self-report very recent engagement in the practice, defined as 30 days or less. Oral sex and mutual masturbation are more common than anal stimulation among men in sexual relationships with other men. According to Weiten et al., anal intercourse is generally more popular among gay male couples than among heterosexual couples, but "it ranks behind oral sex and mutual masturbation" among both sexual orientations in prevalence. Wellings et al. reported that "the equation of 'homosexual' with 'anal' sex among men is common among lay and health professionals alike" and that "yet an Internet survey of 180,000 MSM across Europe (EMIS, 2011) showed that oral sex was most commonly practised, followed by mutual masturbation, with anal intercourse in third place". Female to male Women may sexually stimulate a man's anus by fingering the exterior or interior areas of the anus; they may also stimulate the perineum (which, for males, is between the base of the scrotum and the anus), massage the prostate or engage in anilingus. Sex toys, such as a dildo, may also be used. The practice of a woman penetrating a man's anus with a strap-on dildo for sexual activity is called pegging. It is common for heterosexual men to reject being receptive partners during anal sex because they believe it is a feminine act, can make them vulnerable, or contradicts their sexual orientation; they may believe being a receptive partner is indicative that they are gay. Reece et al. reported in 2010 that receptive anal intercourse is infrequent among men overall, stating that "an estimated 7% of men 14 to 94 years old reported being a receptive partner during anal intercourse". The BMJ stated in 1999: Female to female With regard to lesbian sexual practices, anal sex includes fingering, use of a dildo or other sex toys, or anilingus. There is less research on anal sexual activity among women who have sex with women compared to couples of other sexual orientations. In 1987, a non-scientific study (Munson) was conducted of more than 100 members of a lesbian social organization in Colorado. When asked what techniques they used in their last ten sexual encounters, lesbians in their 30s were twice as likely as other age groups to engage in anal stimulation (with a finger or dildo). A 2014 study of partnered lesbian women in Canada and the U.S. found that 7% engaged in anal stimulation or penetration at least once a week; about 10% did so monthly and 70% did not at all. Anilingus is also less often practiced among female same-sex couples. Health risks General risks Anal sex can expose its participants to two principal dangers: infections due to the high number of infectious microorganisms not found elsewhere on the body, and physical damage to the anus and rectum due to their fragility. Unprotected penile-anal penetration, colloquially known as barebacking, carries a higher risk of passing on sexually transmitted infections (STIs) because the anal sphincter is a delicate, easily torn tissue that can provide an entry for pathogens. Use of condoms, ample lubrication to reduce the risk of tearing, and safer sex practices in general, reduce the risk of STIs. However, a condom can break or otherwise come off during anal sex, and this is more likely to happen with anal sex than with other sex acts because of the tightness of the anal sphincters during friction. Unprotected receptive anal sex (with an HIV positive partner) is the sex act most likely to result in HIV transmission. Other infections that can be transmitted by unprotected anal sex are human papillomavirus (HPV) (which can increase risk of anal cancer); typhoid fever; amoebiasis; chlamydia; cryptosporidiosis; E. coli infections; giardiasis; gonorrhea; hepatitis A; hepatitis B; hepatitis C; herpes simplex; Kaposi's sarcoma-associated herpesvirus (HHV-8); lymphogranuloma venereum; Mycoplasma hominis; Mycoplasma genitalium; pubic lice; salmonellosis; shigella; syphilis; tuberculosis; and Ureaplasma urealyticum. As with other sexual practices, people without sound knowledge about the sexual risks involved are susceptible to STIs. Because of the view that anal sex is not "real sex" and therefore does not result in virginity loss, or pregnancy, teenagers and other young people may consider vaginal intercourse riskier than anal intercourse and believe that a STI can only result from vaginal intercourse. It may be because of these views that condom use with anal sex is often reported to be low and inconsistent across all groups in various countries. Although anal sex alone does not lead to pregnancy, pregnancy can still occur with anal sex or other forms of sexual activity if the penis is near the vagina (such as during intercrural sex or other genital-genital rubbing) and its sperm is deposited near the vagina's entrance and travels along the vagina's lubricating fluids; the risk of pregnancy can also occur without the penis being near the vagina because sperm may be transported to the vaginal opening by the vagina coming in contact with fingers or other non-genital body parts that have come in contact with semen. There are a variety of factors that make male-to-female anal intercourse riskier than vaginal intercourse for women, including the risk of HIV transmission being higher for anal intercourse than for vaginal intercourse. The risk of injury to the woman during anal intercourse is also significantly higher than the risk of injury to her during vaginal intercourse because of the durability of the vaginal tissues compared to the anal tissues. Additionally, if a man moves from anal intercourse immediately to vaginal intercourse without a condom or without changing it, infections can arise in the vagina (or urinary tract) due to bacteria present within the anus; these infections can also result from switching between vaginal sex and anal sex by the use of fingers or sex toys. Pain during receptive anal sex among gay men (or men who have sex with men) is formally known as anodyspareunia. In one study, 61% of gay or bisexual men said they experienced painful receptive anal sex and that it was the most frequent sexual difficulty they had experienced. By contrast, 24% of gay or bisexual men stated that they always experienced some degree of pain during anal sex, and about 12% of gay men find it too painful to pursue receptive anal sex; it was concluded that the perception of anal sex as painful is as likely to be psychologically or emotionally based as it is to be physically based. Factors predictive of pain during anal sex include inadequate
the bottom. Those who enjoy either role may be referred to as versatile. Gay men who prefer anal sex may view it as their version of intercourse and a natural expression of intimacy that is capable of providing pleasure. The notion that it might resonate with gay men with the same emotional significance that vaginal sex resonates with heterosexuals has also been considered. Some men who have sex with men, however, believe that being a receptive partner during anal sex questions their masculinity. Men who have sex with men may also prefer to engage in frot or other forms of mutual masturbation because they find it more pleasurable or more affectionate, to preserve technical virginity, or as safe sex alternatives to anal sex, while other frot advocates denounce anal sex as degrading to the receptive partner and unnecessarily risky. Prevalence Reports regarding the prevalence of anal sex among gay men and other men who have sex with men vary. A survey in The Advocate in 1994 indicated that 46% of gay men preferred to penetrate their partners, while 43% preferred to be the receptive partner. Other sources suggest that roughly three-fourths of gay men have had anal sex at one time or another, with an equal percentage participating as tops and bottoms. A 2012 NSSHB sex survey in the U.S. suggests high lifetime participation in anal sex among gay men: 83.3% report ever taking part in anal sex in the insertive position and 90% in the receptive position, even if only between a third and a quarter self-report very recent engagement in the practice, defined as 30 days or less. Oral sex and mutual masturbation are more common than anal stimulation among men in sexual relationships with other men. According to Weiten et al., anal intercourse is generally more popular among gay male couples than among heterosexual couples, but "it ranks behind oral sex and mutual masturbation" among both sexual orientations in prevalence. Wellings et al. reported that "the equation of 'homosexual' with 'anal' sex among men is common among lay and health professionals alike" and that "yet an Internet survey of 180,000 MSM across Europe (EMIS, 2011) showed that oral sex was most commonly practised, followed by mutual masturbation, with anal intercourse in third place". Female to male Women may sexually stimulate a man's anus by fingering the exterior or interior areas of the anus; they may also stimulate the perineum (which, for males, is between the base of the scrotum and the anus), massage the prostate or engage in anilingus. Sex toys, such as a dildo, may also be used. The practice of a woman penetrating a man's anus with a strap-on dildo for sexual activity is called pegging. It is common for heterosexual men to reject being receptive partners during anal sex because they believe it is a feminine act, can make them vulnerable, or contradicts their sexual orientation; they may believe being a receptive partner is indicative that they are gay. Reece et al. reported in 2010 that receptive anal intercourse is infrequent among men overall, stating that "an estimated 7% of men 14 to 94 years old reported being a receptive partner during anal intercourse". The BMJ stated in 1999: Female to female With regard to lesbian sexual practices, anal sex includes fingering, use of a dildo or other sex toys, or anilingus. There is less research on anal sexual activity among women who have sex with women compared to couples of other sexual orientations. In 1987, a non-scientific study (Munson) was conducted of more than 100 members of a lesbian social organization in Colorado. When asked what techniques they used in their last ten sexual encounters, lesbians in their 30s were twice as likely as other age groups to engage in anal stimulation (with a finger or dildo). A 2014 study of partnered lesbian women in Canada and the U.S. found that 7% engaged in anal stimulation or penetration at least once a week; about 10% did so monthly and 70% did not at all. Anilingus is also less often practiced among female same-sex couples. Health risks General risks Anal sex can expose its participants to two principal dangers: infections due to the high number of infectious microorganisms not found elsewhere on the body, and physical damage to the anus and rectum due to their fragility. Unprotected penile-anal penetration, colloquially known as barebacking, carries a higher risk of passing on sexually transmitted infections (STIs) because the anal sphincter is a delicate, easily torn tissue that can provide an entry for pathogens. Use of condoms, ample lubrication to reduce the risk of tearing, and safer sex practices in general, reduce the risk of STIs. However, a condom can break or otherwise come off during anal sex, and this is more likely to happen with anal sex than with other sex acts because of the tightness of the anal sphincters during friction. Unprotected receptive anal sex (with an HIV positive partner) is the sex act most likely to result in HIV transmission. Other infections that can be transmitted by unprotected anal sex are human papillomavirus (HPV) (which can increase risk of anal cancer); typhoid fever; amoebiasis; chlamydia; cryptosporidiosis; E. coli infections; giardiasis; gonorrhea; hepatitis A; hepatitis B; hepatitis C; herpes simplex; Kaposi's sarcoma-associated herpesvirus (HHV-8); lymphogranuloma venereum; Mycoplasma hominis; Mycoplasma genitalium; pubic lice; salmonellosis; shigella; syphilis; tuberculosis; and Ureaplasma urealyticum. As with other sexual practices, people without sound knowledge about the sexual risks involved are susceptible to STIs. Because of the view that anal sex is not "real sex" and therefore does not result in virginity loss, or pregnancy, teenagers and other young people may consider vaginal intercourse riskier than anal intercourse and believe that a STI can only result from vaginal intercourse. It may be because of these views that condom use with anal sex is often reported to be low and inconsistent across all groups in various countries. Although anal sex alone does not lead to pregnancy, pregnancy can still occur with anal sex or other forms of sexual activity if the penis is near the vagina (such as during intercrural sex or other genital-genital rubbing) and its sperm is deposited near the vagina's entrance and travels along the vagina's lubricating fluids; the risk of pregnancy can also occur without the penis being near the vagina because sperm may be transported to the vaginal opening by the vagina coming in contact with fingers or other non-genital body parts that have come in contact with semen. There are a variety of factors that make male-to-female anal intercourse riskier than vaginal intercourse for women, including the risk of HIV transmission being higher for anal intercourse than for vaginal intercourse. The risk of injury to the woman during anal intercourse is also significantly higher than the risk of injury to her during vaginal intercourse because of the durability of the vaginal tissues compared to the anal tissues. Additionally, if a man moves from anal intercourse immediately to vaginal intercourse without a condom or without changing it, infections can arise in the vagina (or urinary tract) due to bacteria present within the anus; these infections can also result from switching between vaginal sex and anal sex by the use of fingers or sex toys. Pain during receptive anal sex among gay men (or men who have sex with men) is formally known as anodyspareunia. In one study, 61% of gay or bisexual men said they experienced painful receptive anal sex and that it was the most frequent sexual difficulty they had experienced. By contrast, 24% of gay or bisexual men stated that they always experienced some degree of pain during anal sex, and about 12% of gay men find it too painful to pursue receptive anal sex; it was concluded that the perception of anal sex as painful is as likely to be psychologically or emotionally based as it is to be physically based. Factors predictive of pain during anal sex include inadequate lubrication, feeling tense or anxious, lack of stimulation, as well as lack of social ease with being gay and being closeted. Research has found that psychological factors can in fact be the primary contributors to the experience of pain during anal intercourse and that adequate communication between sexual partners can prevent it, countering the notion that pain is always inevitable during anal sex. Unprotected anal sex is a risk factor for formation of antisperm antibodies (ASA) in the recipient. In some people, ASA may cause autoimmune infertility. Antisperm antibodies impair fertilization, negatively affect the implantation process and impair growth and development of the embryo. Physical damage and cancer Anal sex can exacerbate hemorrhoids and therefore result in bleeding; in other cases, the formation of a hemorrhoid is attributed to anal sex. If bleeding occurs as a result of anal sex, it may also be because of a tear in the anal or rectal tissues (an anal fissure) or perforation (a hole) in the colon, the latter of which being a serious medical issue that should be remedied by immediate medical attention. Because of the rectum's lack of elasticity, the anal mucous membrane being thin, and small blood vessels being present directly beneath the mucous membrane, tiny tears and bleeding in the rectum usually result from penetrative anal sex, though the bleeding is usually minor and therefore usually not visible. By contrast to other anal sexual behaviors, anal fisting poses a more serious danger of damage due to the deliberate stretching of the anal and rectal tissues; anal fisting injuries include anal sphincter lacerations and rectal and sigmoid colon (rectosigmoid) perforation, which might result in death. Repetitive penetrative anal sex may result in the anal sphincters becoming weakened, which may cause rectal prolapse or affect the ability to hold in feces (a condition known as fecal incontinence). Rectal prolapse is relatively uncommon, however, especially in men, and its causes are not well understood. Kegel exercises have been used to strengthen the anal sphincters and overall pelvic floor, and may help prevent or remedy fecal incontinence. Most cases of anal cancer are related to infection with the human papilloma virus (HPV). Anal sex alone does not cause anal cancer; the risk of anal cancer through anal sex is attributed to HPV infection, which is often contracted through unprotected anal sex. Anal cancer is relatively rare, and significantly less common than cancer of the colon or rectum (colorectal cancer); the American Cancer Society states that it affects approximately 7,060 people (4,430 in women and 2,630 in men) and results in approximately 880 deaths (550 in women and 330 in men) in the United States, and that, though anal cancer has been on the rise for many years, it is mainly diagnosed in adults, "with an average age being in the early 60s" and it "affects women somewhat more often than men." Though anal cancer is serious, treatment for it is "often very effective" and most anal cancer patients can be cured of the disease; the American Cancer Society adds that "receptive anal intercourse also increases the risk of anal cancer in both men and women, particularly in those younger than the age of 30. Because of this, men who have sex with men have a high risk of this cancer." Other cultural views General Different cultures have had different views on anal sex throughout human history, with some cultures more positive about the activity than others. Historically, anal sex has been restricted or condemned, especially with regard to religious beliefs; it has also commonly been used as a form of domination, usually with the active partner (the one who is penetrating) representing masculinity and the passive partner (the one who is being penetrated) representing femininity. A number of cultures have especially recorded the practice of anal sex between males, and anal sex between males has been especially stigmatized or punished. In some societies, if discovered to have engaged in the practice, the individuals involved were put to death, such as by decapitation, burning, or even mutilation. Anal sex has been more accepted in modern times; it is often considered a natural, pleasurable form of sexual expression. Some people, men in particular, are only interested in anal sex for sexual satisfaction, which has been partly attributed to the buttocks and anus being more eroticized in modern culture, including via pornography. Engaging in anal sex is still, however, punished in some societies. For example, regarding LGBT rights in Iran, Iran's Penal Code states in Article 109 that "both men involved in same-sex penetrative (anal) or non-penetrative sex will be punished" and "Article 110 states that those convicted of engaging in anal sex will be executed and that the manner of execution is at the discretion of the judge". Ancient and non-Western cultures From the earliest records, the ancient Sumerians had very relaxed attitudes toward sex and did not regard anal sex as taboo. priestesses were forbidden from producing offspring and frequently engaged in anal sex as a method of birth control. Anal sex is also obliquely alluded to by a description of an omen in which a man "keeps saying to his wife: 'Bring your backside. Other Sumerian texts refer to homosexual anal intercourse. The , a set of priests who worked in the temples of the goddess Inanna, where they performed elegies and lamentations, were especially known for their homosexual proclivities. The Sumerian sign for was a ligature of the signs for 'penis' and 'anus'. One Sumerian proverb reads: "When the wiped off his ass [he said], 'I
was closed in 1991. The small scale of Aarau causes it to continually expand the borders of its growth. The urban center lies in the middle of the "Golden Triangle" between Zürich, Bern, and Basel, and Aarau is having increasing difficulty in maintaining the independence of its economic base from the neighboring large cities. The idea of merging Aarau with its neighboring suburbs has been recently discussed in the hope of arresting the slowly progressing losses. Manufacture include bells, mathematical instruments, electrical goods, cotton textiles, cutlery, chemicals, shoes, and other products. Aarau is famous for the quality of their instruments, cutlery and their bells. Markets and fairs Every Saturday morning there is a vegetable market in the Graben at the edge of the Old City. It is supplied with regional products. In the last week of September the MAG (Market of Aarauer Tradesmen) takes place there, with regional companies selling their products. The "Rüeblimärt" is held in the same place on the first Wednesday in November, which is a Carrot fair. The Aarau fair is held at the ice skating rink during the Spring. Transport Aarau railway station is a terminus of the S-Bahn Zürich on the line S3. The town is also served with public transport provided by Busbetrieb Aarau AG. Population The population of Aarau grew continuously from 1800 until about 1960, when the city reached a peak population of 17,045, more than five times its population in 1800. However, since 1960 the population has fallen by 8%. There are three reasons for this population loss: firstly, since the completion of Telli (a large apartment complex), the city has not had any more considerable land developments. Secondly, the number of people per household has fallen; thus, the existing dwellings do not hold as many people. Thirdly, population growth was absorbed by neighboring municipalities in the regional urban area, and numerous citizens of Aarau moved into the countryside. This trend might have stopped since the turn of the 21st century. Existing industrial developments are being used for new purposes instead of standing empty. Aarau has a population (as of ) of . , 19.8% of the population was made up of foreign nationals. Over the last 10 years the population has grown at a rate of 1%. Most of the population () speaks German (84.5%), with Italian being second most common ( 3.3%) and Serbo-Croatian being third ( 2.9%). The age distribution, , in Aarau is; 1,296 children or 8.1% of the population are between 0 and 9 years old and 1,334 teenagers or 8.4% are between 10 and 19. Of the adult population, 2,520 people or 15.8% of the population are between 20 and 29 years old. 2,518 people or 15.8% are between 30 and 39, 2,320 people or 14.6% are between 40 and 49, and 1,987 people or 12.5% are between 50 and 59. The senior population distribution is 1,588 people or 10.0% of the population are between 60 and 69 years old, 1,219 people or 7.7% are between 70 and 79, there are 942 people or 5.9% who are between 80 and 89, and there are 180 people or 1.1% who are 90 and older. , there were 1,365 homes with 1 or 2 persons in the household, 3,845 homes with 3 or 4 persons in the household, and 2,119 homes with 5 or more persons in the household. The average number of people per household was 1.99 individuals. there were 1,594 single family homes (or 18.4% of the total) out of a total of 8,661 homes and apartments. In Aarau about 74.2% of the population (between age 25–64) have completed either non-mandatory upper secondary education or additional higher education (either university or a Fachhochschule). Of the school age population (), there are 861 students attending primary school, there are 280 students attending secondary school, there are 455 students attending tertiary or university level schooling, there are 35 students who are seeking a job after school in the municipality. Sport The football club FC Aarau play in the Stadion Brügglifeld. From 1981 until 2010 they played in the top tier of the Swiss football league system when they were relegated to the Swiss Challenge League. In the 2013/2014 they climbed back to the highest tier only to be relegated again. In the 2016/17 season they will play in the Swiss Challenge League. They won the Swiss Cup in 1985 and were three times Swiss football champions, in 1912, in 1914 and in 1993. Argovia Stars play in the MySports League, the third highest league of Swiss ice hockey. They play their home games in the 3,000-seat KeBa Aarau Arena. Sites Heritage sites of national significance Aarau is home to a number of sites that are listed as Swiss heritage sites of national significance. The list includes three churches; the Christian Catholic parish house, the Catholic parish house, and the Reformed City Church. There are five government buildings on the list; the Cantonal Library, which contains many pieces important to the nation's history, and Art Gallery, the old Cantonal School, the Legislature, the Cantonal Administration building, and the archives. Three gardens or parks are
the exact date is not known. City hall was built around Rore Tower in 1515. The upper gate tower stands beside the southern gate in the city wall, along the road to Lucerne and Bern. The jail has been housed in it since the Middle Ages. A Carillon was installed in the tower in the middle of the 20th century, the bells for which were provided by the centuries-old bell manufacturers of Aarau. The town church was built between 1471 and 1478. During the Reformation, in 1528, its twelve altars and accompanying pictures were destroyed. The "Justice fountain" (Gerechtigkeitsbrunnen) was built in 1634, and is made of French limestone; it includes a statue of Lady Justice made of sandstone, hence the name. It was originally in the street in front of city hall, but was moved to its present location in front of the town church in 1905 due to increased traffic. Economy , Aarau had an unemployment rate of 2.35%. , there were 48 people employed in the primary economic sector and about 9 businesses involved in this sector. 4,181 people are employed in the secondary sector and there are 164 businesses in this sector. 20,186 people are employed in the tertiary sector, with 1,461 businesses in this sector. This is a total of over 24,000 jobs, since Aarau's population is about 16,000 it draws workers from many surrounding communities. there were 8,050 total workers who lived in the municipality. Of these, 4,308 or about 53.5% of the residents worked outside Aarau while 17,419 people commuted into the municipality for work. There were a total of 21,161 jobs (of at least 6 hours per week) in the municipality. The largest employer in Aarau is the cantonal government, the offices of which are distributed across the entire city at numerous locations. One of the two head offices of the Aargauer Zeitung, Switzerland's fifth largest newspaper, is located in Aarau, as are the Tele M1 television channel studios, and several radio stations. Kern & Co., founded in 1819, was an internationally known geodetic instrument manufacturer based in Aarau. However, it was taken over by Wild Leitz in 1988, and was closed in 1991. The small scale of Aarau causes it to continually expand the borders of its growth. The urban center lies in the middle of the "Golden Triangle" between Zürich, Bern, and Basel, and Aarau is having increasing difficulty in maintaining the independence of its economic base from the neighboring large cities. The idea of merging Aarau with its neighboring suburbs has been recently discussed in the hope of arresting the slowly progressing losses. Manufacture include bells, mathematical instruments, electrical goods, cotton textiles, cutlery, chemicals, shoes, and other products. Aarau is famous for the quality of their instruments, cutlery and their bells. Markets and fairs Every Saturday morning there is a vegetable market in the Graben at the edge of the Old City. It is supplied with regional products. In the last week of September the MAG (Market of Aarauer Tradesmen) takes place there, with regional companies selling their products. The "Rüeblimärt" is held in the same place on the first Wednesday in November, which is a Carrot fair. The Aarau fair is held at the ice skating rink during the Spring. Transport Aarau railway station is a terminus of the S-Bahn Zürich on the line S3. The town is also served with public transport provided by Busbetrieb Aarau AG. Population The population of Aarau grew continuously from 1800 until about 1960, when the city reached a peak population of 17,045, more than five times its population in 1800. However, since 1960 the population has fallen by 8%. There are three reasons for this population loss: firstly, since the completion of Telli (a large apartment complex), the city has not had any more considerable land developments. Secondly, the number of people per household has fallen; thus, the existing dwellings do not hold as many people. Thirdly, population growth was absorbed by neighboring municipalities in the regional urban area, and numerous citizens of Aarau moved into the countryside. This trend might have stopped since the turn of the 21st century. Existing industrial developments are being used for new purposes instead of standing empty. Aarau has a population (as of ) of . , 19.8% of the population was made up of foreign nationals. Over the last 10 years the population has grown at a rate of 1%. Most of the population () speaks German (84.5%), with Italian being second most common ( 3.3%) and Serbo-Croatian being third ( 2.9%). The age distribution, , in Aarau is; 1,296 children or 8.1% of the population are between 0 and 9 years old and 1,334 teenagers or 8.4% are between 10 and 19. Of the adult population, 2,520 people or 15.8% of the population are between 20 and 29 years old. 2,518 people or 15.8% are between 30 and 39, 2,320 people or 14.6% are between 40 and 49, and 1,987 people or 12.5% are between 50 and 59. The senior population distribution is 1,588 people or 10.0% of the population are between 60 and 69 years old, 1,219 people or 7.7% are between 70 and 79, there are 942 people or 5.9% who are between 80 and 89, and there are 180 people or 1.1% who are 90 and older. , there were 1,365 homes with 1 or 2 persons in the household, 3,845 homes with 3 or 4 persons in the household, and 2,119 homes with 5 or more persons in the household. The average number of people per household was 1.99 individuals. there were 1,594 single family homes (or 18.4% of the total) out of a total of 8,661 homes and apartments. In Aarau about 74.2% of the population (between age 25–64) have completed either non-mandatory upper secondary education or additional higher education (either university or a Fachhochschule). Of the school age population (), there are 861 students attending primary school, there are 280 students attending secondary school, there are 455 students attending tertiary or university level schooling, there are 35 students who are seeking a job after school in the municipality. Sport The football club FC Aarau play in the Stadion Brügglifeld. From 1981 until 2010 they played in the top tier of the Swiss football league system when they were relegated to the Swiss Challenge League. In the 2013/2014 they climbed back to the highest tier only to be relegated again. In the 2016/17 season they will play in the Swiss Challenge League. They won the Swiss Cup in 1985 and were three times Swiss football champions, in 1912, in 1914 and in 1993. Argovia Stars play in the MySports League, the third highest league of Swiss ice hockey. They play their home games in the 3,000-seat KeBa Aarau Arena. Sites Heritage sites of national significance Aarau is home to a number of sites that are listed as Swiss heritage sites of national significance. The list includes three churches; the Christian Catholic parish house, the Catholic parish house, and the Reformed City Church. There are five government buildings on the list; the Cantonal Library, which contains many pieces important to the nation's history, and Art Gallery, the old Cantonal School, the Legislature, the Cantonal Administration building, and the archives. Three gardens or parks are on the list; Garten Schmidlin, Naturama Aargau and the Schlossgarten. The remaining four buildings on the list are; the former Rickenbach Factory, the Crematorium, the Haus zum Erker at Rathausgasse 10 and the Restaurant Zunftstube at Pelzgasse. Tourist Sites The Bally Shoe company has a unique shoe museum in the city. There is also the Trade Museum which contain stained glass windows from Muri Convent and paintings. Annual Events Each May, Aarau plays host to the annual Jazzaar Festival attracting the world's top Jazz musicians. Religion From the , 4,473 or 28.9% are Roman Catholic, while 6,738 or 43.6% belonged to the Swiss Reformed Church. Of the rest of the population, there are 51 individuals (or about 0.33% of the population) who belong to the Christian Catholic i.e. Old Catholic faith. Government Legislative In place of a town meeting, a town assembly (Einwohnerrat) of 50 members is elected by the citizens, and follows the policy of proportional representation. It is responsible for approving tax levels, preparing the annual account, and the business report. In addition, it can issue regulations. The term of office is four years. In the last two elections
rotating monthly) annual Amtsbürgermeister 1815–1831 annual Landammänner since 1815 Jewish history in Aargau In the 17th century, Aargau was the only federal condominium where Jews were tolerated. In 1774, they were restricted to just two towns, Endingen and Lengnau. While the rural upper class pressed incessantly for the expulsion the Jews, the financial interests of the authorities prevented it. They imposed special taxes on peddling and cattle trading, the primary Jewish professions. The Protestant occupiers also enjoyed the discomfort of the local Catholics by the presence of the Jewish community. The Jews were directly subordinate to the governor; from 1696, they were compelled to renew a letter of protection from him every 16 years. During this period, Jews and Christians were not allowed to live under the same roof, neither were Jews allowed to own land or houses. They were taxed at a much higher rate than others and, in 1712, the Lengnau community was "pillaged." In 1760, they were further restricted regarding marriages and procreation. An exorbitant tax was levied on marriage licenses; oftentimes, they were outright refused. This remained the case until the 19th century. In 1799, the Helvetic republic abolished all special tolls, and, in 1802, removed the poll tax. On 5 May 1809, they were declared citizens and given broad rights regarding trade and farming. They were still restricted to Endingen and Lengnau until 7 May 1846, when their right to move and reside freely within the canton of Aargau was granted. On 24 September 1856, the Swiss Federal Council granted them full political rights within Aargau, as well as broad business rights; however the majority Christian population did not fully abide by these new liberal laws. The time of 1860 saw the canton government voting to grant suffrage in all local rights and to give their communities autonomy. Before the law was enacted, it was however repealed due to vocal opposition led by the Ultramonte Party. Finally, the federal authorities in July 1863, granted all Jews full rights of citizens. However, they did not receive all of the rights in Endingen and Lengnau until a resolution of the Grand Council, on 15 May 1877, granted citizens' rights to the members of the Jewish communities of those places, giving them charters under the names of New Endingen and New Lengnau. The Swiss Jewish Kulturverein was instrumental in this fight from its founding in 1862 until it was dissolved 20 years later. During this period of diminished rights, they were not even allowed to bury their dead in Swiss soil and had to bury their dead on an island called Judenäule (Jews' Isle) on the Rhine near Waldshut. Beginning in 1603, the deceased Jews of the Surbtal communities were buried on the river island which was leased by the Jewish community. As the island was repeatedly flooded and devastated, in 1750 the Surbtal Jews asked the Tagsatzung to establish the Endingen cemetery in the vicinity of their communities. Geography The capital of the canton is Aarau, which is located on its western border, on the Aare. The canton borders Germany (Baden-Württemberg) to the north, the Rhine forming the border. To the west lie the Swiss cantons of Basel-Landschaft, Solothurn and Bern; the canton of Lucerne lies south, and Zürich and Zug to the east. Its total area is . Besides the Rhine, it contains two large rivers, the Aare and the Reuss. The canton of Aargau is one of the least mountainous Swiss cantons, forming part of a great table-land, to the north of the Alps and the east of the Jura, above which rise low hills. The surface of the country is diversified with undulating tracts and well-wooded hills, alternating with fertile valleys watered mainly by the Aare and its tributaries. The valleys alternate with hills, many of which are wooded. Slightly over one-third of the canton is wooded (), while nearly half is used from farming (). or about 2.4% of the canton is considered unproductive, mostly lakes (notably Lake Hallwil) and streams. With a population density of 450/km2 (1,200/sq mi), the canton has a relatively high amount of land used for human development, with or about 15% of the canton developed for housing or transportation. It contains the hot sulphur springs of Baden and Schinznach-Bad, while at Rheinfelden there are very extensive saline springs. Just below Brugg the Reuss and the Limmat join the Aar, while around Brugg are the ruined castle of Habsburg, the old convent of Königsfelden (with fine painted medieval glass) and the remains of the Roman settlement of Vindonissa (Windisch). Fahr Monastery forms a small exclave of the canton, otherwise surrounded by the canton of Zürich, and since 2008 is part of the Aargau municipality of Würenlos. Political subdivisions Districts Aargau is divided into 11 districts: Aarau with capital Aarau Baden with capital Baden Bremgarten with capital Bremgarten Brugg with capital Brugg Kulm with capital Unterkulm Laufenburg with capital Laufenburg Lenzburg with capital Lenzburg Muri with capital Muri Rheinfelden with capital Rheinfelden Zofingen with capital Zofingen Zurzach with capital Zurzach The most recent change in district boundaries occurred in 2010 when Hottwil transferred from Brugg to Laufenburg, following its merger with other municipalities, all of which were in Laufenburg. Municipalities There are (as of 2014) 213 municipalities in the canton of Aargau. As with most Swiss cantons there has been a trend since the early 2000s for municipalities to merge, though mergers in Aargau have so far been less radical than in other cantons. Coat of arms The blazon of the coat of arms is Per pale, dexter: sable, a fess wavy argent, charged with two cotises wavy azure; sinister: sky blue, three mullets of five argent. The flag and arms of the canton of Aargau date to 1803 and are an original design by Samuel Ringier-Seelmatter; the current official design, specifying the stars as five-pointed, dates to 1930. Demographics Aargau has a population () of . , 21.5% of the population are resident foreign nationals. Over the last 10 years (2000–2010) the population has changed at a rate of 11%. Migration accounted for 8.7%, while births and deaths accounted for 2.8%. Most of the population () speaks German (477,093 or 87.1%) as their first language, Italian is the second most common (17,847 or 3.3%) and Serbo-Croatian is the third (10,645 or 1.9%). There are 4,151 people who speak French and 618 people who speak Romansh. Of the population in the canton, 146,421 or about 26.7% were born in Aargau and lived there in 2000. There were 140,768 or 25.7% who were born in the same canton, while 136,865 or 25.0% were born somewhere else in Switzerland, and 107,396 or 19.6% were born outside of Switzerland. , children and teenagers (0–19 years old) make up 24.3% of the population, while adults (20–64 years old) make up 62.3% and seniors (over 64 years old) make up 13.4%. , there were 227,656 people who were single and never married in the canton. There were 264,939 married individuals, 27,603 widows or widowers and 27,295 individuals who are divorced. , there were 224,128 private households in the canton, and an average of 2.4 persons per household. There were 69,062 households that consist of only one person and 16,254 households with five or more people. , the construction rate of new housing units was 6.5 new units per 1000 residents. The vacancy rate for the canton, , was 1.54%. The majority of the population is centered on one of three areas: the Aare Valley, the side branches of the Aare Valley, or along the Rhine. Historic population The historical population is given in the following chart: Politics In the 2011 federal election, the most popular party was the SVP which received 34.7% of the vote. The next three most popular parties were the SP/PS (18.0%), the FDP (11.5%) and the CVP (10.6%). The SVP received about the same percentage of the vote as they did in the 2007 Federal election (36.2% in 2007 vs 34.7% in 2011). The SPS retained about the same popularity (17.9% in 2007), the FDP retained about the same popularity (13.6% in 2007) and the CVP retained about the same popularity (13.5% in 2007). Federal election results FDP before 2009, FDP.The Liberals after 2009 "*" indicates that the party was not on the ballot in this canton. Part of the GPS Cantonal politics The Grand Council of the canton of Aargau is called Grosser Rat. It is the legislature of the canton, has 140 seats, with members elected every four years. Religion From the , 219,800 or 40.1% were Roman Catholic, while 189,606 or 34.6% belonged to the Swiss Reformed Church. Of the rest of the population, there were 11,523 members of an Orthodox church (or about 2.10% of the population), there were 3,418 individuals (or about 0.62% of the population) who belonged to the Christian Catholic Church, and there were 29,580 individuals (or about 5.40% of the population) who belonged to another Christian church. There were 342 individuals (or about 0.06% of the population) who were Jewish, and 30,072 (or about 5.49% of the population) who were Muslim. There were 1,463 individuals who were Buddhist, 2,089 individuals who were Hindu and 495 individuals who belonged to another church. 57,573 (or about 10.52% of the population) belonged to no church, are agnostic or atheist, and 15,875 individuals (or about 2.90% of the population) did not answer the question. Education In Aargau about 212,069 or (38.7%) of the population have completed non-mandatory upper secondary education, and 70,896 or (12.9%) have completed additional higher education (either university or a Fachhochschule). Of the 70,896 who completed tertiary schooling, 63.6% were Swiss men, 20.9% were Swiss women, 10.4% were non-Swiss men and 5.2% were non-Swiss women. Economy , Aargau had an unemployment rate of 3.6%. , there were 11,436 people employed in the primary economic sector and about 3,927 businesses involved in this sector. 95,844 people were employed in the secondary sector and there were 6,055 businesses in this sector. 177,782 people were employed in the tertiary sector, with 21,530 businesses in this sector. the total number of full-time equivalent jobs was 238,225. The number of jobs in the
The victory gave Zürich the opportunity to force the Catholic cantons out of the government in the county of Baden and the adjacent area of the Freie Ämter. The Freie Ämter were then divided in two by a line drawn from the gallows in Fahrwangen to the Oberlunkhofen church steeple. The northern part, the so-called Unteren Freie Ämter (lower Freie Ämter), which included the districts of Boswil (in part) and Hermetschwil and the Niederamt, were ruled by Zürich, Bern and Glarus. The southern part, the Oberen Freie Ämter (upper Freie Ämter), were ruled by the previous seven cantons but Bern was added to make an eighth. During the Helvetic Republic (1798–1803), the county of Baden, the Freie Ämter and the area known as the Kelleramt were combined into the canton of Baden. County of Baden The County of Baden was a shared condominium of the entire Old Swiss Confederacy. After the Confederacy conquest in 1415, they retained much of the Habsburg legal structure, which caused a number of problems. The local nobility had the right to hold the low court in only about one fifth of the territory. There were over 30 different nobles who had the right to hold courts scattered around the surrounding lands. All these overlapping jurisdictions caused numerous conflicts, but gradually the Confederation was able to acquire these rights in the county. The cities of Baden, Bremgarten and Mellingen became the administrative centers and held the high courts. Together with the courts, the three administrative centers had considerable local autonomy, but were ruled by a governor who was appointed by the Acht Orte every two years. After the Protestant victory at the Second Battle of Villmergen, the administration of the County changed slightly. Instead of the Acht Orte appointing a bailiff together, Zürich and Bern each appointed the governor for 7 out of 16 years while Glarus appointed him for the remaining two years. The chaotic legal structure and fragmented land ownership combined with a tradition of dividing the land among all the heirs in an inheritance prevented any large scale reforms. The governor tried in the 18th century to reform and standardize laws and ownership across the county, but with limited success. With an ever-changing administration, the County lacked a coherent long-term economic policy or support for reforms. By the end of the 18th century there were no factories or mills and only a few small cottage industries along the border with Zürich. Road construction first became a priority after 1750, when Zürich and Bern began appointing a governor for seven years. During the Protestant Reformation, some of the municipalities converted to the new faith. However, starting in 1531, some of the old parishes were converted back to the old faith. The governors were appointed from both Catholic and Protestant cantons and since they changed every two years, neither faith gained a majority in the county. After the French invasion, on 19 March 1798, the governments of Zürich and Bern agreed to the creation of the short lived canton of Baden in the Helvetic Republic. With the Act of Mediation in 1803, the canton of Baden was dissolved. Portions of the lands of the former County of Baden now became the District of Baden in the newly created canton of Aargau. After World War II, this formerly agrarian region saw striking growth and became the district with the largest and densest population in the canton (110,000 in 1990, 715 persons per km2). Forming the canton of Aargau The contemporary canton of Aargau was formed in 1803, a canton of the Swiss Confederation as a result of the Act of Mediation. It was a combination of three short-lived cantons of the Helvetic Republic: Aargau (1798–1803), Baden (1798–1803) and Fricktal (1802–1803). Its creation is therefore rooted in the Napoleonic era. In the year 2003, the canton of Aargau celebrated its 200th anniversary. French forces occupied the Aargau from 10 March to 18 April 1798; thereafter the Bernese portion became the canton of Aargau and the remainder formed the canton of Baden. Aborted plans to merge the two halves came in 1801 and 1802, and they were eventually united under the name Aargau, which was then admitted as a full member of the reconstituted Confederation following the Act of Mediation. Some parts of the canton of Baden at this point were transferred to other cantons: the Amt of Hitzkirch to Lucerne, whilst Hüttikon, Oetwil an der Limmat, Dietikon and Schlieren went to Zürich. In return, Lucerne's Amt of Merenschwand was transferred to Aargau (district of Muri). The Fricktal, ceded in 1802 by Austria via Napoleonic France to the Helvetic Republic, was briefly a separate canton of the Helvetic Republic (the canton of Fricktal) under a Statthalter ('Lieutenant'), but on 19 March 1803 (following the Act of Mediation) was incorporated into the canton of Aargau. The former cantons of Baden and Fricktal can still be identified with the contemporary districts – the canton of Baden is covered by the districts of Zurzach, Baden, Bremgarten, and Muri (albeit with the gains and losses of 1803 detailed above); the canton of Fricktal by the districts of Rheinfelden and Laufenburg (except for Hottwil which was transferred to that district in 2010). Chief magistracy The chief magistracy of Aargau changed its style repeatedly: first two consecutive Regierungsstatthalter : April 1798 – November 1801 Jakob Emmanuel Feer (1754–1833) 1802–1803 Johann Heinrich Rothpletz (1766–1833) Presidents of the Government Commission 10 March 1803 – 26 April 1803 Johann Rudolf Dolder (1753–1807) 26 April 1803 – 1815 a 'Small Council' (president rotating monthly) annual Amtsbürgermeister 1815–1831 annual Landammänner since 1815 Jewish history in Aargau In the 17th century, Aargau was the only federal condominium where Jews were tolerated. In 1774, they were restricted to just two towns, Endingen and Lengnau. While the rural upper class pressed incessantly for the expulsion the Jews, the financial interests of the authorities prevented it. They imposed special taxes on peddling and cattle trading, the primary Jewish professions. The Protestant occupiers also enjoyed the discomfort of the local Catholics by the presence of the Jewish community. The Jews were directly subordinate to the governor; from 1696, they were compelled to renew a letter of protection from him every 16 years. During this period, Jews and Christians were not allowed to live under the same roof, neither were Jews allowed to own land or houses. They were taxed at a much higher rate than others and, in 1712, the Lengnau community was "pillaged." In 1760, they were further restricted regarding marriages and procreation. An exorbitant tax was levied on marriage licenses; oftentimes, they were outright refused. This remained the case until the 19th century. In 1799, the Helvetic republic abolished all special tolls, and, in 1802, removed the poll tax. On 5 May 1809, they were declared citizens and given broad rights regarding trade and farming. They were still restricted to Endingen and Lengnau until 7 May 1846, when their right to move and reside freely within the canton of Aargau was granted. On 24 September 1856, the Swiss Federal Council granted them full political rights within Aargau, as well as broad business rights; however the majority Christian population did not fully abide by these new liberal laws. The time of 1860 saw the canton government voting to grant suffrage in all local rights and to give their communities autonomy. Before the law was enacted, it was however repealed due to vocal opposition led by the Ultramonte Party. Finally, the federal authorities in July 1863, granted all Jews full rights of citizens. However, they did not receive all of the rights in Endingen and Lengnau until a resolution of the Grand Council, on 15 May 1877, granted citizens' rights to the members of the Jewish communities of those places, giving them charters under the names of New Endingen and New Lengnau. The Swiss Jewish Kulturverein was instrumental in this fight from its founding in 1862 until it was dissolved 20 years later. During this period of diminished rights, they were not even allowed to bury their dead in Swiss soil and had to bury their dead on an island called Judenäule (Jews' Isle) on the Rhine near Waldshut. Beginning in 1603, the deceased Jews of the Surbtal communities were buried on the river island which was leased by the Jewish community. As the island was repeatedly flooded and devastated, in 1750 the Surbtal Jews asked the Tagsatzung to establish the Endingen cemetery in the vicinity of their communities. Geography The capital of the canton is Aarau, which is located on its western border, on the Aare. The canton borders Germany (Baden-Württemberg) to the north, the Rhine forming the border. To the west lie the Swiss cantons of Basel-Landschaft, Solothurn and Bern; the canton of Lucerne lies south, and Zürich and Zug to the east. Its total area is . Besides the Rhine, it contains two large rivers, the Aare and the Reuss. The canton of Aargau is one of the least mountainous Swiss cantons, forming part of a great table-land, to the north of the Alps and the east of the Jura, above which rise low hills. The surface of the country is diversified with undulating tracts and well-wooded hills, alternating with fertile valleys watered mainly by the Aare and its tributaries. The valleys alternate with hills, many of which are wooded. Slightly over one-third of the canton is wooded (), while nearly half is used from farming (). or about 2.4% of the canton is considered unproductive, mostly lakes (notably Lake Hallwil) and streams. With a population density of 450/km2 (1,200/sq mi), the canton has a relatively high amount of land used for human development, with or about 15% of the canton developed for housing or transportation. It contains the hot sulphur springs of Baden and Schinznach-Bad, while at Rheinfelden there are very extensive saline springs. Just below Brugg the Reuss and the Limmat join the Aar, while around Brugg are the ruined castle of Habsburg, the old convent of Königsfelden (with fine painted medieval glass) and the remains of the Roman settlement of Vindonissa (Windisch). Fahr Monastery forms a small exclave of the canton, otherwise surrounded by the canton of Zürich, and since 2008 is part of the Aargau municipality of Würenlos. Political subdivisions Districts Aargau is divided into 11 districts: Aarau with capital Aarau Baden with capital Baden Bremgarten with capital Bremgarten Brugg with capital Brugg Kulm with capital Unterkulm Laufenburg with capital Laufenburg Lenzburg with capital Lenzburg Muri with capital Muri Rheinfelden with capital Rheinfelden Zofingen with capital Zofingen Zurzach with capital Zurzach The most recent change in district boundaries occurred in 2010 when Hottwil transferred from Brugg to Laufenburg, following its merger with other municipalities, all of which were in Laufenburg. Municipalities There are (as of 2014) 213 municipalities in the canton of Aargau. As with most Swiss cantons there has been a trend since the early 2000s for municipalities to merge, though mergers in Aargau have so far been less radical than in other cantons. Coat of arms The blazon of the coat of arms is Per pale, dexter: sable, a fess wavy argent, charged with two cotises wavy azure; sinister: sky blue, three mullets of five argent. The flag and arms of the canton of Aargau date to 1803 and are an original design by Samuel Ringier-Seelmatter; the current official design, specifying the stars as five-pointed, dates to 1930. Demographics Aargau has a population () of . , 21.5% of the population are resident foreign nationals. Over the last 10 years (2000–2010) the population has changed at a rate of 11%. Migration accounted for 8.7%, while births and deaths accounted for 2.8%. Most of the population () speaks German (477,093 or 87.1%) as their first language, Italian is the second most common (17,847 or 3.3%) and Serbo-Croatian is the third (10,645 or 1.9%). There are 4,151 people who speak French and 618 people who speak Romansh. Of the population in the canton, 146,421 or about 26.7% were born in Aargau and lived there in 2000. There were 140,768 or 25.7% who were born in the same canton, while 136,865 or 25.0% were born somewhere else in Switzerland, and 107,396 or 19.6% were born outside of Switzerland. , children and teenagers (0–19 years old) make up 24.3% of the population, while adults (20–64 years old) make up 62.3% and seniors (over 64 years old) make up 13.4%. , there were 227,656 people who were single and never married in the canton. There were 264,939 married individuals, 27,603 widows or widowers and 27,295 individuals who are divorced. , there were 224,128 private households in the canton, and an average of 2.4 persons per household. There were
Johnny Aba (born 1956), a Papua New Guinean boxer of the 1970s and '80s Animals The aba, Gymnarchus niloticus, a species of fish native to Africa Aba Roundleaf Bat, a west Africa bat Media Aba (film), Sri Lanka 2008 film "Aba Daba Honeymoon", 1914 song Other uses Aba short form of Abaya, a middle eastern robe Aba Women's Riots of 1929 in Nigeria Aba (Dune), a robe in the fictional Dune universe Aba (mythology), Thracian naiad Anglican Province of Aba, Nigeria Roman Catholic Diocese of Aba, Nigeria Abaá, a Fang
Aba Bayefsky, Canadian artist and teacher Aba Cercato, Italian television presenter Mar Abba I (or Aba), metropolitan bishop and saint of the Assyrian Church of the East Samuel Aba of Hungary, 11th-century leader Vilmos Aba Novák, a Hungarian painter Saint Aba of Kaskhar, a 4th-century martyr Johnny Aba (born 1956), a Papua New Guinean boxer of the 1970s and '80s Animals The aba, Gymnarchus niloticus, a species of fish native to Africa Aba Roundleaf Bat, a west Africa bat Media Aba (film), Sri Lanka 2008 film "Aba Daba Honeymoon", 1914 song Other uses Aba short form of Abaya, a middle eastern robe Aba Women's Riots of 1929 in Nigeria Aba (Dune), a robe in the fictional Dune universe Aba (mythology), Thracian naiad Anglican Province of Aba, Nigeria Roman Catholic
accent. Those who resided with the Nubians spoke Kenzi. Robert Hartmann, who visited the country in 1859/60, noted that the vast majority of the Ababda now spoke Arabic. However, in the past they used to speak a Beja dialect that was now, as he was told, solely restricted to a few nomadic families roaming the Eastern Desert. He believed that they abandoned their language in favour of Arabic due to their close contact with other arabophone tribes. The Swedish linguist Herman Almkvist, writing in 1881, counted the Ababda to the Beja and noted that most had discarded the Beja language, supposedly identical to the Bishari dialect, in favour of Arabic, although "quite a lot" were still capable of understanding and even talking Beja. Bishari informants told him that in the past, the Bishari and Ababda were the same people. Joseph Russegger, who visited the country around 1840, noted that the Ababda spoke their own language, although he added that it was heavily mixed with Arabic. He believed it to be a "Nubian Bedouin" language and implied that this language, and the Ababda customs and appearance in general, is similar to that of the Bishari.
noted that most had discarded the Beja language, supposedly identical to the Bishari dialect, in favour of Arabic, although "quite a lot" were still capable of understanding and even talking Beja. Bishari informants told him that in the past, the Bishari and Ababda were the same people. Joseph Russegger, who visited the country around 1840, noted that the Ababda spoke their own language, although he added that it was heavily mixed with Arabic. He believed it to be a "Nubian Bedouin" language and implied that this language, and the Ababda customs and appearance in general, is similar to that of the Bishari. Traveller Bayard Taylor wrote in 1856 that the Ababda spoke a language different from that of the Bishari, although it "probably sprang from the same original stock." The French Orientalist Eusebe de Salle concluded in 1840, after attending a Beja conversation between Ababda and Bishari, that both understood each other reasonably well, but that the Ababda "definitely" had a language of their own. The physician Carl Benjamin Klunzinger wrote in 1878 that the Ababda would always speak Arabic while conversing with strangers, avoiding to speak their own language which he thought was a mixture of Arabic and Beja. In the 1820s Eduard Rüppell briefly stated that the Ababda spoke their own, seemingly non-Arabic language. A similar opinion was written by Pierre Trémaux after his journey in Sudan in the late 1840s. At the turn of the 19th century, during the French campaign in Egypt and Syria, the engineer Dubois-Aymé wrote that the Ababda understood Arabic, but still spoke a language of their own. See also Zubayrids Beja people
Traveler, a stallion of unknown breeding, known to have been in Texas by 1889; and Peter McCue, foaled 1895, registered as a Thoroughbred but of disputed pedigree. Another early foundation sire for the breed was Copperbottom, foaled in 1828, who tracks his lineage through the Byerley Turk, a foundation sire of the Thoroughbred horse breed. The main duty of the ranch horse in the American West was working cattle. Even after the invention of the automobile, horses were still irreplaceable for handling livestock on the range. Thus, major Texas cattle ranches, such as the King Ranch, the 6666 (Four Sixes) Ranch, and the Waggoner Ranch played a significant role in the development of the modern Quarter Horse. The skills required by cowboys and their horses became the foundation of the rodeo, a contest which began with informal competition between cowboys and expanded to become a major competitive event throughout the west. To this day, the Quarter Horse dominates in events that require speed as well as the ability to handle cattle. Sprint races were also popular weekend entertainment and racing became a source of economic gain for breeders. As a result, more Thoroughbred blood was added into the developing American Quarter Horse breed. The American Quarter Horse also benefitted from the addition of Arabian, Morgan, and even Standardbred bloodlines. In 1940, the American Quarter Horse Association (AQHA) was formed by a group of horsemen and ranchers from the Southwestern United States dedicated to preserving the pedigrees of their ranch horses. After winning the 1941 Fort Worth Exposition and Fat Stock Show grand champion stallion, the horse honored with the first registration number, P-1, was Wimpy, a descendant of the King Ranch foundation sire Old Sorrel. Other sires alive at the founding of the AQHA were given the earliest registration numbers Joe Reed P-3, Chief P-5, Oklahoma Star P-6, Cowboy P-12, and Waggoner's Rainy Day P-13. The Thoroughbred race horse Three Bars, alive in the early years of the AQHA, is recognized by the American Quarter Horse Hall of Fame as one of the significant foundation sires for the Quarter Horse breed. Other significant Thoroughbred sires seen in early AQHA pedigrees include Rocket Bar, Top Deck and Depth Charge. "Appendix" and "Foundation" horses Since the American Quarter Horse was formally established as a breed, the AQHA stud book has remained open to additional Thoroughbred blood via a performance standard. An "Appendix" American Quarter Horse is a first generation cross between a registered Thoroughbred and an American Quarter Horse or a cross between a "numbered" American Quarter Horse and an "appendix" American Quarter Horse. The resulting offspring is registered in the "appendix" of the American Quarter Horse Association's studbook, hence the nickname. Horses listed in the appendix may be entered in competition, but offspring are not initially eligible for full AQHA registration. If the Appendix horse meets certain conformational criteria and is shown or raced successfully in sanctioned AQHA events, the horse can earn its way from the appendix into the permanent studbook, making its offspring eligible for AQHA registration. Since Quarter Horse/Thoroughbred crosses continue to enter the official registry of the American Quarter Horse breed, this creates a continual gene flow from the Thoroughbred breed into the American Quarter Horse breed, which has altered many of the characteristics that typified the breed in the early years of its formation. Some breeders argue that the continued addition of Thoroughbred bloodlines are beginning to compromise the integrity of the breed standard. Some favor the earlier style of horse and have created several separate organizations to promote and register "Foundation" Quarter Horses. American Quarter Horses today The American Quarter Horse is best known today as a show horse, race horse, reining and cutting horse, rodeo competitor, ranch horse, and all-around family horse. Quarter Horses are commonly used in rodeo events such as barrel racing, calf roping and team roping; and gymkhana or O-Mok-See. Other stock horse events such as cutting and reining are open to all breeds but are dominated by American Quarter Horse. The breed is not only well-suited for western riding and cattle work. Many race tracks offer Quarter Horses a wide assortment of pari-mutuel horse racing with earnings in the millions. Quarter Horses have also been trained to compete in dressage and show jumping. They are also used for recreational trail riding and in mounted police units. The American Quarter Horse has also been exported worldwide. European nations such as Germany and Italy have imported large numbers of Quarter Horses. Next to the American Quarter Horse Association (which also encompasses Quarter Horses from Canada), the second largest registry of Quarter Horses is in Brazil, followed by Australia. In the UK the breed is also becoming very popular, especially with the two Western riding Associations, the Western Horse Association and The Western Equestrian Society. The British American Quarter Horse breed society is the AQHA-UK. With the internationalization of the discipline of reining and its acceptance as one of the official seven events of the World Equestrian Games, there is a growing international interest in Quarter Horses. The American Quarter Horse is the most popular breed in the United States today, and the American Quarter Horse Association is the largest breed registry in the world, with nearly 3 million American Quarter Horses registered worldwide in 2014. Breed characteristics The Quarter Horse has a small, short, refined head with a straight profile, and a strong, well-muscled body, featuring a broad chest and powerful, rounded hindquarters. They usually stand between high, although some Halter-type and English hunter-type horses may grow as tall as . There are two main body types: the stock type and the hunter or racing type. The stock horse type is shorter, more compact, stocky and well-muscled, yet agile. The racing and hunter type Quarter Horses are somewhat taller and smoother muscled than the stock type, more closely resembling the Thoroughbred. Quarter Horses come in nearly all colors. The most common color is sorrel, a brownish red, part of the color group called chestnut by most other breed registries. Other recognized colors include bay, black, brown, buckskin, palomino, gray, dun, red dun, grullo (also occasionally referred to as blue dun), red roan, blue roan, bay roan, perlino, cremello, and white. In the past, spotted color patterns were excluded, but now with the advent of DNA testing to verify parentage, the registry accepts all colors as long as both parents are registered. Stock type A stock horse is a horse of a type that is well suited for working with livestock, particularly cattle. Reining and cutting horses are smaller in stature, with quick, agile movements and very powerful hindquarters. Western pleasure show horses are often slightly taller, with slower movements, smoother gaits, and a somewhat more level topline – though still featuring the powerful hindquarters characteristic of the Quarter Horse. Halter type Horses shown in-hand in Halter competition are larger yet, with a very heavily muscled appearance, while retaining small heads with wide jowls and refined muzzles. There is controversy amongst owners, breeder and veterinarians regarding the health effects of the extreme muscle mass that is currently fashionable in the specialized halter horse, which typically is and weighs in at over when fitted for halter competition. Not only are there concerns about the weight to frame ratio on the
first registration number, P-1, was Wimpy, a descendant of the King Ranch foundation sire Old Sorrel. Other sires alive at the founding of the AQHA were given the earliest registration numbers Joe Reed P-3, Chief P-5, Oklahoma Star P-6, Cowboy P-12, and Waggoner's Rainy Day P-13. The Thoroughbred race horse Three Bars, alive in the early years of the AQHA, is recognized by the American Quarter Horse Hall of Fame as one of the significant foundation sires for the Quarter Horse breed. Other significant Thoroughbred sires seen in early AQHA pedigrees include Rocket Bar, Top Deck and Depth Charge. "Appendix" and "Foundation" horses Since the American Quarter Horse was formally established as a breed, the AQHA stud book has remained open to additional Thoroughbred blood via a performance standard. An "Appendix" American Quarter Horse is a first generation cross between a registered Thoroughbred and an American Quarter Horse or a cross between a "numbered" American Quarter Horse and an "appendix" American Quarter Horse. The resulting offspring is registered in the "appendix" of the American Quarter Horse Association's studbook, hence the nickname. Horses listed in the appendix may be entered in competition, but offspring are not initially eligible for full AQHA registration. If the Appendix horse meets certain conformational criteria and is shown or raced successfully in sanctioned AQHA events, the horse can earn its way from the appendix into the permanent studbook, making its offspring eligible for AQHA registration. Since Quarter Horse/Thoroughbred crosses continue to enter the official registry of the American Quarter Horse breed, this creates a continual gene flow from the Thoroughbred breed into the American Quarter Horse breed, which has altered many of the characteristics that typified the breed in the early years of its formation. Some breeders argue that the continued addition of Thoroughbred bloodlines are beginning to compromise the integrity of the breed standard. Some favor the earlier style of horse and have created several separate organizations to promote and register "Foundation" Quarter Horses. American Quarter Horses today The American Quarter Horse is best known today as a show horse, race horse, reining and cutting horse, rodeo competitor, ranch horse, and all-around family horse. Quarter Horses are commonly used in rodeo events such as barrel racing, calf roping and team roping; and gymkhana or O-Mok-See. Other stock horse events such as cutting and reining are open to all breeds but are dominated by American Quarter Horse. The breed is not only well-suited for western riding and cattle work. Many race tracks offer Quarter Horses a wide assortment of pari-mutuel horse racing with earnings in the millions. Quarter Horses have also been trained to compete in dressage and show jumping. They are also used for recreational trail riding and in mounted police units. The American Quarter Horse has also been exported worldwide. European nations such as Germany and Italy have imported large numbers of Quarter Horses. Next to the American Quarter Horse Association (which also encompasses Quarter Horses from Canada), the second largest registry of Quarter Horses is in Brazil, followed by Australia. In the UK the breed is also becoming very popular, especially with the two Western riding Associations, the Western Horse Association and The Western Equestrian Society. The British American Quarter Horse breed society is the AQHA-UK. With the internationalization of the discipline of reining and its acceptance as one of the official seven events of the World Equestrian Games, there is a growing international interest in Quarter Horses. The American Quarter Horse is the most popular breed in the United States today, and the American Quarter Horse Association is the largest breed registry in the world, with nearly 3 million American Quarter Horses registered worldwide in 2014. Breed characteristics The Quarter Horse has a small, short, refined head with a straight profile, and a strong, well-muscled body, featuring a broad chest and powerful, rounded hindquarters. They usually stand between high, although some Halter-type and English hunter-type horses may grow as tall as . There are two main body types: the stock type and the hunter or racing type. The stock horse type is shorter, more compact, stocky and well-muscled, yet agile. The racing and hunter type Quarter Horses are somewhat taller and smoother muscled than the stock type, more closely resembling the Thoroughbred. Quarter Horses come in nearly all colors. The most common color is sorrel, a brownish red, part of the color group called chestnut by most other breed registries. Other recognized colors include bay, black, brown, buckskin, palomino, gray, dun, red dun, grullo (also occasionally referred to as blue dun), red roan, blue roan, bay roan, perlino, cremello, and white. In the past, spotted color patterns were excluded, but now with the advent of DNA testing to verify parentage, the registry accepts all colors as long as both parents are registered. Stock type A stock horse is a horse of a type that is well suited for working with livestock, particularly cattle. Reining and cutting horses are smaller in stature, with quick, agile movements and very powerful hindquarters. Western pleasure show horses are often slightly taller, with slower movements, smoother gaits, and a somewhat more level topline – though still featuring the powerful hindquarters characteristic of the Quarter Horse. Halter type Horses shown in-hand in Halter competition are larger yet, with a very heavily muscled appearance, while retaining small heads with wide jowls and refined muzzles. There is controversy amongst owners, breeder and veterinarians regarding the health effects of the extreme muscle mass that is currently fashionable in the specialized halter horse, which typically is and weighs in at over when fitted for halter competition. Not only are there concerns about the weight to frame ratio on the horse's skeletal system, but the massive build is also linked to hyperkalemic periodic paralysis (HYPP) in descendants of the stallion Impressive (see Genetic diseases below). Racing and hunter type Quarter Horse race horses are bred to sprint short distances ranging from 220 to 870 yards. Thus, they have long legs and are leaner than their stock type counterparts, but are still characterized by muscular hindquarters and powerful legs. Quarter Horses race primarily against other Quarter Horses, and their sprinting ability has earned them the nickname, "the world's fastest athlete." The show hunter type is slimmer, even more closely resembling a Thoroughbred, usually reflecting a higher percentage of appendix breeding. They are shown in hunter/jumper classes at both breed shows and in open USEF-rated horse show competition. Genetic diseases There are several genetic diseases of concern to Quarter Horse breeders: Hyperkalemic periodic paralysis (HYPP), which is caused by an autosomal dominant gene linked to the stallion Impressive. It is characterized by uncontrollable muscle twitching and substantial muscle weakness or paralysis among affected horses. Because it is a dominant gene, only one parent has to have
it was one of the three biggest cash crops, along with tobacco and sugar. In fact, from 1850 through the end of the 19th century, sugar or abacá alternated with each other as the biggest export crop of the Philippines. This 19th-century trade was predominantly with the United States and the making of ropes was done mainly in New England, although in time rope-making shifted back to the Philippines. Excluding the Philippines, abacá was first cultivated on a large scale in Sumatra in 1925 under the Dutch, who had observed its cultivation in the Philippines for cordage since the nineteenth century, followed up by plantings in Central America in 1929 sponsored by the U.S. Department of Agriculture. It also was transplanted into India and Guam. Commercial planting began in 1930 in British North Borneo; at the onset of World War II, the supply from the Philippines was eliminated by the Empire of Japan. In the early 1900s, a train running from Danao to Argao would transport Philippine abacá from the plantations to Cebu City for export. The railway system was destroyed during World War II; the abaca continues to be transported to Cebu by road. After the war, the U.S. Department of Agriculture started production in Panama, Costa Rica, Honduras, and Guatemala. Today, abacá is produced primarily in the Philippines and Ecuador. The Philippines produces between 85% and 95% of the world's abacá, and the production employs 1.5 million people. Production has declined because of virus diseases. Uses Due to its strength, it is a sought after product and is the strongest of the natural fibers. It is used by the paper industry for such specialty uses such as tea bags, banknotes and decorative papers. It can be used to make handcrafts such as hats, bags, carpets, clothing and furniture. Abacá rope is very durable, flexible and resistant to salt water damage, allowing its use in hawsers, ship's lines and fishing nets. A rope can require to break. Abacá fiber was once used primarily for rope, but this application is now of minor significance. Lupis is the finest quality of abacá. Sinamay is woven chiefly from abacá. Textiles The inner fibers are used in the making of hats, including the "Manila hats," hammocks, matting, cordage, ropes, coarse twines, and types of canvas. Abacá cloth is found in museum collections around the world, like the Boston Museum of Fine Arts and the Textile Museum of Canada. Philippine indigenous tribes still weave abacá-based textiles like t'nalak, made by the Tiboli tribe of South Cotabato, and dagmay, made by the Bagobo people.
Philippines. Excluding the Philippines, abacá was first cultivated on a large scale in Sumatra in 1925 under the Dutch, who had observed its cultivation in the Philippines for cordage since the nineteenth century, followed up by plantings in Central America in 1929 sponsored by the U.S. Department of Agriculture. It also was transplanted into India and Guam. Commercial planting began in 1930 in British North Borneo; at the onset of World War II, the supply from the Philippines was eliminated by the Empire of Japan. In the early 1900s, a train running from Danao to Argao would transport Philippine abacá from the plantations to Cebu City for export. The railway system was destroyed during World War II; the abaca continues to be transported to Cebu by road. After the war, the U.S. Department of Agriculture started production in Panama, Costa Rica, Honduras, and Guatemala. Today, abacá is produced primarily in the Philippines and Ecuador. The Philippines produces between 85% and 95% of the world's abacá, and the production employs 1.5 million people. Production has declined because of virus diseases. Uses Due to its strength, it is a sought after product and is the strongest of the natural fibers. It is used by the paper industry for such specialty uses such as tea bags, banknotes and decorative papers. It can be used to make handcrafts such as hats, bags, carpets, clothing and furniture. Abacá rope is very durable, flexible and resistant to salt water damage, allowing its use in hawsers, ship's lines and fishing nets. A rope can require to break. Abacá fiber was once used primarily for rope, but this application is now of minor significance. Lupis is the finest quality of abacá. Sinamay is woven chiefly from abacá. Textiles The inner fibers are used in the making of hats, including the "Manila hats," hammocks, matting, cordage, ropes, coarse twines, and types of canvas. Abacá cloth is found in museum collections around the world, like the Boston Museum of Fine Arts and the Textile Museum of Canada. Philippine indigenous tribes still weave abacá-based textiles like t'nalak, made by the Tiboli tribe of South Cotabato, and dagmay, made by the Bagobo people. Cultivation The plant is normally grown in well-drained loamy soil, using rhizomes planted at the start of the rainy season. In addition, new plants can be started by seeds. Growers harvest abacá fields every three to eight months after an initial growth period of 12–25 months. Harvesting is done by removing the leaf-stems after flowering but before fruit appears. The plant loses productivity between 15 and 40 years. The slopes of volcanoes provide a preferred growing environment. Harvesting generally includes several operations involving the leaf sheaths: tuxying (separation of primary and secondary sheath) stripping (getting the fibers) drying (usually following the tradition of sun-drying). When the processing is complete, the bundles of fiber are pale and lustrous with a length of . In Costa Rica, more modern harvest and drying techniques are being developed to accommodate the very high yields obtained there. According to the Philippine Fiber Industry Development Authority, the Philippines provided 87.4% of the world's abacá in 2014, earning the Philippines US$111.33 million. The demand is still greater than the supply. The remainder came from Ecuador (12.5%) and Costa Rica (0.1%). The Bicol region in the Philippines produced 27,885 metric tons of abacá in 2014, the largest of any Philippine region. The Philippine Rural Development Program (PRDP) and the Department of Agriculture reported that in 2009–2013, Bicol Region had 39% share of Philippine abacá production while overwhelming 92% comes from Catanduanes Island. Eastern Visayas, the second largest producer had 24% and the Davao Region, the third largest producer had 11% of the total production. Around 42 percent of the total abacá fiber shipments from the Philippines went to the United Kingdom in 2014,
pit, often appearing alongside the place Sheol ( Šəʾōl), meaning the realm of the dead. In the Book of Revelation of the New Testament, an angel called Abaddon is described as the king of an army of locusts; his name is first transcribed in Koine Greek (Revelation 9:11—"whose name in Hebrew is Abaddon,") as , and then translated , Apollyon. The Vulgate and the Douay–Rheims Bible have additional notes not present in the Greek text, "in Latin Exterminans", exterminans being the Latin word for "destroyer". Etymology According to the Brown–Driver–Briggs lexicon, the Hebrew ’ăḇadōn is an intensive form of the Semitic root and verb stem ’ăḇāḏ "perish", transitive "destroy", which occurs 184 times in the Hebrew Bible. The Septuagint, an early Greek translation of the Hebrew Bible, renders "Abaddon" as "ἀπώλεια", while the Greek Apollýon is the active participle of ἀπόλλυμι apóllymi, "to destroy". Judaism Hebrew Bible The term abaddon appears six times in the Masoretic text of the Hebrew Bible; abaddon means destruction or "place of destruction", or the realm of the dead, and is accompanied by Sheol. Job 26:6: the grave (Sheol) is naked before Him, and destruction (Abaddon) has no covering. Job 28:22: destruction (Abaddon) and death say. Job 31:12: it is a fire that consumes to destruction (Abaddon). Psalm 88:11: Shall thy loving kindness be declared in the grave (Sheol) or thy faithfulness in destruction (Abaddon)? Proverbs 15:11: Hell (Sheol) and Destruction (Abaddon) are before the LORD, how much more the hearts of the children of men? Proverbs 27:20: Hell (Sheol) and Destruction (Abaddon) are never full; so the eyes of man are never satisfied. (KJV, 1611) Second Temple era texts The text of the Thanksgiving Hymns—which was found in the Dead Sea Scrolls—tells of "the Sheol of Abaddon" and of the "torrents of Belial [that] burst into Abaddon". The Biblical Antiquities (misattributed to
of the compartments of Gehenna. By extension, it can mean an underworld abode of lost souls, or Gehenna. Rabbinical literature In some legends, Abaddon is identified as a realm where the damned lie in fire and snow, one of the places in Gehenna that Moses visited. Christianity New Testament The New Testament contains the first known depiction of Abaddon as an individual entity instead of a place. In Revelation 9:11, Abaddon is described as "Destroyer", the angel of the Abyss, and as the king of a plague of locusts resembling horses with crowned human faces, women's hair, lions' teeth, wings, iron breast-plates, and a tail with a scorpion's stinger that torments for five months anyone who does not have the seal of God on their foreheads. The symbolism of Revelation 9:11 leaves the identity of Abaddon open to interpretation. Protestant commentator Matthew Henry (1708) believed Abaddon to be the Antichrist, whereas the Jamieson-Fausset-Brown Bible Commentary (1871) and Henry Hampton Halley (1922) identified the angel as Satan. In contrast, the Methodist publication The Interpreter's Bible states, "Abaddon, however, is an angel not of Satan but of God, performing his work of destruction at God's bidding", citing the context at Revelation chapter 20, verses 1 through 3. Jehovah's Witnesses also cite Revelation 20:1-3 where the angel having "the key of the abyss" is actually shown to be a representative of God, concluding that "Abaddon" is another name for Jesus after his resurrection. Apocryphal texts In the gnostic 3rd century Acts of Thomas, Abaddon is the name of a demon, or the devil himself. Abaddon is given particularly important roles in two sources, a homily entitled "The Enthronement of Abaddon" by pseudo-Timothy of Alexandria, and the Book of the Resurrection of Jesus Christ, by Bartholomew the Apostle. In the homily by Timothy, Abaddon was first named Muriel, and had been given the task by God of collecting the earth that would be used in the creation of
the neighboring city, Eqlid. Road 78 makes connections from Abadeh to Abarkuh, Yazd Eqlid and Yasuj. It has a junction with Abadeh Shiraz Expressway 24 km south of the city. A road starts from Abadeh Ring Road to Soqad and Semirom, Road 55. The railroad from Isfahan to Shiraz passes Abadeh and there are train services at Abadeh Railway Station to Shiraz, Esfahan, Tehran and Mashad. Abadeh Airport (OISA) was planned to be built in the mid 1990s. Sport Abadeh's main sport is Football, like the rest of the country. The main stadium is Takhti Stadium located in Mo'allem Square. The main team in Abadeh is Behineh Rahbar Abadeh F.C. which is currently playing in Iran Football's 3rd Division after finishing first in Fars Provincial League (FPL) last year. It played in Hazfi Cup 2010-11 reaching the fourth round. Air Defense Base In 2012 Iran announced it had started the construction an air defense site in city of Abadeh, the site is planned to be the largest in the country and will house 6,000 personnel for a variety duties including educational ones. Geography Climate Abadeh features a continental semi-arid climate (Köppen climate classification BSk) with heat and dryness over summer, and cold (extreme at times) and wet winter, with huge variations between daytime and nighttime throughout the year. The area can experience severely cold weather due to
that the warp is invariably cotton. The rugs are almost always exclusively medium in size and the KPSI of an average Abadeh is around 90. As always in the rug-world you get what you pay for however in general Abadeh are well made and fairly popular items, particularly in modern interiors or those with a Mediterranean or North African style. Transportation Expressway 65 passes through Abadeh. This situation helps Abadeh to improve its capabilities compared to the neighboring city, Eqlid. Road 78 makes connections from Abadeh to Abarkuh, Yazd Eqlid and Yasuj. It has a junction with Abadeh Shiraz Expressway 24 km south of the city. A road starts from Abadeh Ring Road to Soqad and Semirom, Road 55. The railroad from Isfahan to Shiraz passes Abadeh and there are train services at Abadeh Railway Station to Shiraz, Esfahan, Tehran and Mashad. Abadeh Airport (OISA) was planned to be built in the mid 1990s. Sport Abadeh's main sport is Football, like the rest of the country. The main stadium is Takhti Stadium located in Mo'allem Square. The main team in Abadeh is Behineh Rahbar Abadeh F.C. which is currently playing in Iran Football's 3rd Division after finishing first in Fars Provincial League (FPL) last year. It played in Hazfi Cup 2010-11 reaching the fourth round. Air Defense Base In 2012 Iran announced it had started the construction an air defense site in city of Abadeh, the site is planned to be the largest in the country and will house 6,000 personnel for a variety duties including educational ones. Geography Climate Abadeh features a continental semi-arid
in modern times. The results confirm an archaeological existence dating from the Bronze Age, as is suggested by the lore. History Before the Persian invasion the temple was richly adorned with treasuries and votive offerings. It was twice destroyed by fire; the first time by the Persians in the invasion of Xerxes in their march through Phocis (480 BCE), and a second time by the Boeotians in the Sacred or Phocian War in 346 BCE. It was rebuilt by Hadrian. Hadrian caused a smaller temple to be built near the ruins of the former one. In the new temple there were three ancient statues in brass of Apollo, Leto, and Artemis, which had been dedicated by the Abaei, and had perhaps been saved from the former temple. The ancient agora and the ancient theatre still existed in the town in the time of Pausanias. According to the statement of Aristotle, as preserved by Strabo, Thracians from the Phocian town of Abae emigrated to Euboea, and gave to the inhabitants the name of Abantes. Oracle Despite destruction of the town, the oracle was still consulted, e.g. by the Thebans before the Battle of Leuctra in 371 BCE. The temple, along with the village of the same name, may have escaped destruction during the Third Sacred War (355–346 BCE), due to the respect given to the inhabitants; however it was in a very dilapidated state when seen by Pausanias in the 2nd century CE, though some restoration, as well
was in constant use for cult practices from early Mycenaean times to the Roman period. It is thus the first site where the archaeology confirms the continuity of Mycenaean and Classical Greek religion, which has been inferred from the presence of the names of Classical Greek divinities on Linear B texts from Pylos and Knossos. The fortified site described below, originally identified as Abae by Colonel William Leake in the 19th century, is much more likely to be that of the Sanctuary of Artemis at Hyampolis. The polygonal walls of the acropolis may still be seen in a fair state of preservation on a circular hill standing about above the little plain of Exarcho; one gateway remains, and there are also traces of town walls below. The temple site was on a low spur of the hill, below the town. An early terrace wall supports a precinct in which are a stoa and some remains of temples; these were excavated by the British School at Athens in 1894, but little was found. Attribution Notes
with the status equal to that of the districts As a municipal division, the City of Abakan is incorporated as Abakan Urban Okrug. Economy The city has a industry enterprises, Katanov State University of Khakasia, and three theatres. Furthermore, it has a commercial center that produces footwear, foodstuffs, and metal products. Transportation Abakan (together with Tayshet) was a terminal of the major Abakan-Taishet Railway. Now it is an important railway junction. The city is served by the Abakan International Airport. Military The 100th Air Assault Brigade of the Russian Airborne Troops was based in the city until circa 1996. Sites Abakan's sites of interest include: Holy Transfiguration Cathedral (Russian: Спасо-Преображенский кафедральный собор (Spaso-Preobrazhenskiy kafedral’nyy sobor)) "Good Angel of Peace" sculpture (Russian: Скульптура «Добрый ангел мира» (Skul’ptura «Dobryy angel mira»)) Park of Topiary Art (Russian: Парк топиарного искусства (Park Topiarnogo Iskusstva)) Khakas National local history museum named after Leonid Kyzlasov (Russian: Хакасский краеведческий музей имени Л.Р. Кызласова (Khakasskiy Natsional'nyy Krayevedcheskiy Muzey Im. L.R. Kyzlasova)) Sports Bandy, similar to hockey, is one of the most popular sports in the city. Sayany-Khakassia was playing in the top-tier Super League in the 2012–13 season but was relegated for the 2013–14 season and has been playing in
theatres. Furthermore, it has a commercial center that produces footwear, foodstuffs, and metal products. Transportation Abakan (together with Tayshet) was a terminal of the major Abakan-Taishet Railway. Now it is an important railway junction. The city is served by the Abakan International Airport. Military The 100th Air Assault Brigade of the Russian Airborne Troops was based in the city until circa 1996. Sites Abakan's sites of interest include: Holy Transfiguration Cathedral (Russian: Спасо-Преображенский кафедральный собор (Spaso-Preobrazhenskiy kafedral’nyy sobor)) "Good Angel of Peace" sculpture (Russian: Скульптура «Добрый ангел мира» (Skul’ptura «Dobryy angel mira»)) Park of Topiary Art (Russian: Парк топиарного искусства (Park Topiarnogo Iskusstva)) Khakas National local history museum named after Leonid Kyzlasov (Russian: Хакасский краеведческий музей имени Л.Р. Кызласова (Khakasskiy Natsional'nyy Krayevedcheskiy Muzey Im. L.R. Kyzlasova)) Sports Bandy, similar to hockey, is one of the most popular sports in the city. Sayany-Khakassia was playing in the top-tier Super League in the 2012–13 season but was relegated for the 2013–14 season and has been playing in the Russian Bandy Supreme League ever since. Russian Government Cup was played here in 1988 and in 2012. Geography Climate Abakan has a borderline humid continental (Köppen climate classification Dwb)/cold semi-arid climate (Köppen BSk). Temperature differences between seasons are extreme, which is typical for Siberia. Precipitation is concentrated in the summer and is less common because of
that took place in the period between the departure of Napoleon from Elba to his final defeat at Waterloo are not included. For four years from 1882 to 1886, a monumental sculpture by Alexandre Falguière topped the arch. Titled Le triomphe de la Révolution ("The Triumph of the Revolution"), it depicted a chariot drawn by horses preparing "to crush Anarchy and Despotism". It remained there only four years before falling in ruins. Inside the monument, a permanent exhibition conceived by the artist Maurice Benayoun and the architect Christophe Girault opened in February 2007. The steel and new media installation interrogates the symbolism of the national monument, questioning the balance of its symbolic message during the last two centuries, oscillating between war and peace. Tomb of the Unknown Soldier Beneath the Arc is the Tomb of the Unknown Soldier from World War I. Interred on Armistice Day 1920, it has the first eternal flame lit in Western and Eastern Europe since the Vestal Virgins' fire was extinguished in the fourth century. It burns in memory of the dead who were never identified (now in both world wars). A ceremony is held at the Tomb of the Unknown Soldier every 11 November on the anniversary of the Armistice of 11 November 1918 signed by the Entente Powers and Germany in 1918. It was originally decided on 12 November 1919 to bury the unknown soldier's remains in the Panthéon, but a public letter-writing campaign led to the decision to bury him beneath the Arc de Triomphe. The coffin was put in the chapel on the first floor of the Arc on 10 November 1920, and put in its final resting place on 28 January 1921. The slab on top bears the inscription ICI REPOSE UN SOLDAT FRANÇAIS MORT POUR LA PATRIE 1914–1918 ("Here lies a French soldier who died for the fatherland 1914–1918"). In 1961, U.S. President John F. Kennedy and First Lady Jacqueline Kennedy paid their respects at the Tomb of the Unknown Soldier, accompanied by President Charles de Gaulle. After the 1963 assassination of President Kennedy, Mrs Kennedy remembered the eternal flame at the Arc de Triomphe and requested that an eternal flame be placed next to her husband's grave at Arlington National Cemetery in Virginia. President Charles de Gaulle went to Washington to attend the state funeral, and witnessed Jacqueline Kennedy lighting the eternal flame that had been inspired by her visit to France. Details The four main sculptural groups on each of the Arc's pillars are: Le Départ de 1792 (or La Marseillaise), by François Rude. The sculptural group celebrates the cause of the French First Republic during the 10 August uprising. Above the volunteers is the winged personification of Liberty. This group served as a recruitment tool in the early months of World War I and encouraged the French to invest in war loans in 1915–1916. Le Triomphe de 1810, by Jean-Pierre Cortot celebrates the Treaty of Schönbrunn. This group features Napoleon, crowned by the goddess of Victory. La Résistance de 1814, by Antoine Étex commemorates the French Resistance to the Allied Armies during the War of the Sixth Coalition. La Paix de 1815, by Antoine Étex commemorates the Treaty of Paris, concluded in that year. Six reliefs sculpted on the façades of the Arch, representing important moments of the French Revolution and of the Napoleonic era include: Les funérailles du général Marceau (General Marceau's burial), by Henri Lemaire (Southern façade, right). La bataille d'Aboukir (The Battle of Aboukir), by Bernard Seurre (Southern façade, left). La bataille de Jemappes (The Battle of Jemappes), by Carlo Marochetti (Eastern façade). Le passage du pont d'Arcole (The Battle of Arcole), by Jean-Jacques Feuchère (Northern façade, right). La prise d'Alexandrie, (The Fall of Alexandria), by John-Étienne Chaponnière (Northern façade, left). La bataille d'Austerlitz (The Battle of Austerlitz), by Théodore Gechter (Western façade). The names of great battles of the French Revolutionary and Napoleonic Wars are engraved on the attic, including: A list of French victories is engraved under the great arches on the inner façades of the monument: The names of military leaders of the French Revolution and Empire are engraved on the inner façades of the small arches. The names of those who died on the battlefield are underlined: The great arcades are decorated with allegorical figures representing characters in Roman mythology (by J. Pradier): The ceiling with 21 sculpted roses: Interior of the Arc de Triomphe: There are several plaques at the foot of the monument: Access The Arc de Triomphe is accessible by the RER and Métro, with exit at the
permanent exhibition conceived by the artist Maurice Benayoun and the architect Christophe Girault opened in February 2007. The steel and new media installation interrogates the symbolism of the national monument, questioning the balance of its symbolic message during the last two centuries, oscillating between war and peace. Tomb of the Unknown Soldier Beneath the Arc is the Tomb of the Unknown Soldier from World War I. Interred on Armistice Day 1920, it has the first eternal flame lit in Western and Eastern Europe since the Vestal Virgins' fire was extinguished in the fourth century. It burns in memory of the dead who were never identified (now in both world wars). A ceremony is held at the Tomb of the Unknown Soldier every 11 November on the anniversary of the Armistice of 11 November 1918 signed by the Entente Powers and Germany in 1918. It was originally decided on 12 November 1919 to bury the unknown soldier's remains in the Panthéon, but a public letter-writing campaign led to the decision to bury him beneath the Arc de Triomphe. The coffin was put in the chapel on the first floor of the Arc on 10 November 1920, and put in its final resting place on 28 January 1921. The slab on top bears the inscription ICI REPOSE UN SOLDAT FRANÇAIS MORT POUR LA PATRIE 1914–1918 ("Here lies a French soldier who died for the fatherland 1914–1918"). In 1961, U.S. President John F. Kennedy and First Lady Jacqueline Kennedy paid their respects at the Tomb of the Unknown Soldier, accompanied by President Charles de Gaulle. After the 1963 assassination of President Kennedy, Mrs Kennedy remembered the eternal flame at the Arc de Triomphe and requested that an eternal flame be placed next to her husband's grave at Arlington National Cemetery in Virginia. President Charles de Gaulle went to Washington to attend the state funeral, and witnessed Jacqueline Kennedy lighting the eternal flame that had been inspired by her visit to France. Details The four main sculptural groups on each of the Arc's pillars are: Le Départ de 1792 (or La Marseillaise), by François Rude. The sculptural group celebrates the cause of the French First Republic during the 10 August uprising. Above the volunteers is the winged personification of Liberty. This group served as a recruitment tool in the early months of World War I and encouraged the French to invest in war loans in 1915–1916. Le Triomphe de 1810, by Jean-Pierre Cortot celebrates the Treaty of Schönbrunn. This group features Napoleon, crowned by the goddess of Victory. La Résistance de 1814, by Antoine Étex commemorates the French Resistance to the Allied Armies during the War of the Sixth Coalition. La Paix de 1815, by Antoine Étex commemorates the Treaty of Paris, concluded in that year. Six reliefs sculpted on the façades of the Arch, representing important moments of the French Revolution and of the Napoleonic era include: Les funérailles du général Marceau (General Marceau's burial), by Henri Lemaire (Southern façade, right). La bataille d'Aboukir (The Battle of Aboukir), by Bernard Seurre (Southern façade, left). La bataille de Jemappes (The Battle of Jemappes), by Carlo Marochetti (Eastern façade). Le passage du pont d'Arcole (The Battle of Arcole), by Jean-Jacques Feuchère (Northern façade, right). La prise d'Alexandrie, (The Fall of Alexandria), by John-Étienne Chaponnière (Northern façade, left). La bataille d'Austerlitz (The Battle of Austerlitz), by Théodore Gechter (Western façade). The names of great battles of the French Revolutionary and Napoleonic Wars are engraved on the attic, including: A list of French victories is engraved under the great arches on the inner façades of the monument: The names of military leaders of the French Revolution and Empire are engraved on the inner façades of the small arches. The names of those who died on the battlefield are underlined: The great arcades are decorated with allegorical figures representing characters in Roman mythology (by J. Pradier): The ceiling with 21 sculpted roses: Interior of the Arc de Triomphe: There are several plaques at the foot of the monument: Access The Arc de Triomphe is accessible by the RER and Métro, with exit at the Charles de Gaulle—Étoile station. Because of heavy traffic on the roundabout of which the Arc is the centre, it is recommended that pedestrians use one of two underpasses located at the Champs Élysées and the Avenue de la Grande Armée. A lift will take visitors almost to the top – to the attic, where there is a small museum which contains large models of the Arc and tells its story from the time of its construction. Another 40 steps remain to climb in order to reach the top, the terrasse, from where one can enjoy a panoramic view of Paris. The location of the arc, as well as the Place de l'Étoile, is shared between three arrondissements, 16th (south and west),
The Tamil Tigers are blamed for a car bomb that detonates in the Sri Lankan capital city of Colombo, killing 106 people. 1989 – Tiananmen Square protests of 1989: In Beijing, around 100,000 students gather in Tiananmen Square to commemorate Chinese reform leader Hu Yaobang. 1993 – The Supreme Court in La Paz, Bolivia, sentences former dictator Luis García Meza to 30 years in jail without parole for murder, theft, fraud and violating the constitution. 2004 – Five suicide car bombers target police stations in and around Basra, killing 74 people and wounding 160. 2010 – The controversial Kharkiv Pact (Russian Ukrainian Naval Base for Gas Treaty) is signed in Kharkiv, Ukraine, by Ukrainian President Viktor Yanukovych and Russian President Dmitry Medvedev; it was unilaterally terminated by Russia on March 31, 2014. 2012 – Two trains are involved in a head-on collision near Sloterdijk, Amsterdam, in the Netherlands, injuring 116 people. 2014 – The American city of Flint, Michigan switches its water source to the Flint River, beginning the ongoing Flint water crisis which has caused lead poisoning in up to 12,000 people, and 15 deaths from Legionnaires disease, ultimately leading to criminal indictments against 15 people, five of whom have been charged with involuntary manslaughter. 2019 – Eight bombs explode at churches, hotels, and other locations in Sri Lanka on Easter Sunday; more than 250 people are killed. 2021 – Indonesian Navy submarine KRI Nanggala (402) sinks in the Bali Sea during a military drill, killing all 53 on board. Births Pre-1600 1132 – Sancho VI, king of Navarre (d. 1194) 1488 – Ulrich von Hutten, German religious reformer (d. 1523) 1523 – Marco Antonio Bragadin, Venetian lawyer and military officer (d. 1571) 1555 – Ludovico Carracci, Italian painter and etcher (d. 1619) 1601–1800 1619 – Jan van Riebeeck, Dutch founder of Cape Town (d. 1677) 1630 – Pieter Gerritsz van Roestraten, Dutch-English painter (d. 1700) 1631 – Francesco Maidalchini, Catholic cardinal (d. 1700) 1642 – Simon de la Loubère, French mathematician, poet, and diplomat (d. 1729) 1651 – Joseph Vaz, Sri Lankan priest, missionary, and saint (d. 1711) 1652 – Michel Rolle, French mathematician and academic (d. 1719) 1671 – John Law, Scottish economist (d. 1729) 1673 – Wilhelmine Amalia of Brunswick-Lüneburg (d. 1742) 1713 – Louis de Noailles, French general (d. 1793) 1730 – Antonín Kammel, Czech violinist and composer (d. 1788) 1752 – Pierre-Alexandre-Laurent Forfait, French engineer, hydrographer, and politician, French Minister of Marine and the Colonies (d. 1807) 1752 – Humphry Repton, English gardener and author (d. 1818) 1774 – Jean-Baptiste Biot, French physicist, astronomer, and mathematician (d. 1862) 1775 – Alexander Anderson, Scottish-American illustrator and engraver (d. 1870) 1790 – Manuel Blanco Encalada, Spanish-Chilean admiral and politician, 1st President of Chile (d. 1876) 1801–present 1810 – John Putnam Chapin, American politician, 10th Mayor of Chicago (d. 1864) 1811 – Alson Sherman, American merchant and politician, 8th Mayor of Chicago (d. 1903) 1814 – Angela Burdett-Coutts, 1st Baroness Burdett-Coutts, English art collector and philanthropist (d. 1906) 1816 – Charlotte Brontë, English novelist and poet (d. 1855) 1837 – Fredrik Bajer, Danish lieutenant and politician, Nobel Prize laureate (d. 1922) 1838 – John Muir, Scottish-American environmentalist and author (d. 1914) 1854 – William Stang, German-American bishop (d. 1907) 1864 – Max Weber, German economist and sociologist (d. 1920) 1868 – Alfred Henry Maurer, American painter (d. 1932) 1868 – Mary Rogers Miller, American author and educator (d. 1971) 1870 – Edwin Stanton Porter, American director, producer, and screenwriter (d. 1941) 1874 – Vincent Scotto, French composer and actor (d. 1952) 1882 – Percy Williams Bridgman, American physicist and academic, Nobel Prize laureate (d. 1961) 1885 – Tatu Kolehmainen, Finnish runner (d. 1967) 1887 – Joe McCarthy, American baseball manager (d. 1978) 1889 – Marcel Boussac, French businessman (d. 1980) 1889 – Paul Karrer, Russian-Swiss chemist and academic, Nobel Prize laureate (d. 1971) 1889 – Efrem Zimbalist, Sr., Russian-American violinist, composer, and conductor (d. 1985) 1892 – Freddie Dixon, English motorcycle racer and racing driver (d. 1956) 1893 – Romeo Bertini, Italian runner (d. 1973) 1898 – Maurice Wilson, English soldier, pilot, and mountaineer (d. 1934) 1899 – Randall Thompson, American composer and academic (d. 1984) 1903 – Luis Saslavsky, Argentinian director, producer, and screenwriter (d. 1995) 1904 – Jean Hélion, French painter (d. 1987) 1904 – Odilo Globocnik, Italian-Austrian SS officer (d. 1945) 1905 – Pat Brown, American lawyer and politician, 32nd Governor of California (d. 1996) 1911 – Ivan Combe, American businessman, developed Clearasil (d. 2000) 1911 – Kemal Satır, Turkish physician and politician (d. 1991) 1912 – Eve Arnold, Russian-American photojournalist (d. 2012) 1912 – Marcel Camus, French director and screenwriter (d. 1982) 1913 – Norman Parkinson, English photographer (d. 1990) 1914 – Angelo Savoldi, Italian-American wrestler and promoter, co-founded International World Class Championship Wrestling (d. 2013) 1915 – Garrett Hardin, American ecologist, author, and academic (d. 2003) 1915 – Anthony Quinn, Mexican-American actor (d. 2001) 1916 – Estella B. Diggs, American businesswoman and politician (d. 2013) 1918 – Eddy Christiani, Dutch singer-songwriter and guitarist (d. 2016) 1919 – Don Cornell, American singer (d. 2004) 1919 – Roger Doucet, Canadian tenor (d. 1981) 1919 – Licio Gelli, Italian financer (d. 2015) 1922 – Alistair MacLean, Scottish novelist and screenwriter (d. 1987) 1922 – Allan Watkins, Welsh-English cricketer (d. 2011) 1923 – John Mortimer, English lawyer and author (d. 2009) 1924 – Ira Louvin, American singer-songwriter and mandolin player (d. 1965) 1925 – Anthony Mason, Australian soldier and judge, 9th Chief Justice of Australia 1925 – John Swinton of Kimmerghame, English general and politician, Lord Lieutenant of Berwickshire (d. 2018) 1926 – Elizabeth II, Queen of the United Kingdom and her other realms 1926 – Arthur Rowley, English footballer, manager and cricketer (d. 2002) 1927 – Ahmed Arif, Turkish poet and author (d. 1991) 1928 – Jack Evans, Welsh-Canadian ice hockey player and coach (d. 1996) 1930 – Hilda Hilst, Brazilian author, poet, and playwright (d. 2004) 1930 – Silvana Mangano, Italian actress (d. 1989) 1930 – Dieter Roth, German-Swiss illustrator and sculptor (d. 1998) 1930 – Jack Taylor, English footballer and referee (d. 2012) 1931 – Morgan Wootten, American high school basketball coach (d. 2020) 1932 – Slide Hampton, African-American trombonist and composer 1932 – Elaine May, American actress, comedian, director, and screenwriter 1932 – Angela Mortimer, English tennis player 1933 – Edelmiro Amante, Filipino lawyer and politician (d. 2013) 1933 – Easley Blackwood, Jr., American pianist, composer, and educator 1933 – Ignatius Zakka I Iwas, Iraqi patriarch (d. 2014) 1935 – Charles Grodin, American actor and talk show host (d. 2021) 1935 – Thomas Kean, American academic and politician, 48th Governor of New Jersey 1936 – James Dobson, American evangelist, psychologist, and author, founded Focus on the Family 1936 – Reg Fleming, Canadian-American ice hockey player (d. 2009) 1937 – Gary Peters, American baseball player 1937 – Ben Zinn, Israeli-born American academic and former international soccer player 1939 – John McCabe, English pianist and composer (d. 2015) 1939 – Sister Helen Prejean, American nun, activist, and author 1939 – Reni Santoni, American actor (d. 2020) 1940 – Jacques Caron, Canadian ice hockey player and coach 1940 – Souleymane Cissé, Malian director, producer, and screenwriter 1941 – David L. Boren, American lawyer and politician, 21st Governor of Oklahoma 1942 – Geoffrey Palmer, New Zealand politician, 33rd Prime Minister of New Zealand 1945 – Srinivasaraghavan Venkataraghavan, Indian cricketer and umpire 1945 – Mark Wainberg, Canadian researcher and HIV/AIDS activist (d. 2017) 1945 – Diana Darvey, English actress, singer and dancer (d. 2000) 1947 – Al Bumbry, American baseball player 1947 – Iggy Pop, American singer-songwriter, producer, and actor 1947 – John Weider, English bass player 1948 – Gary Condit, American businessman and politician 1948 – Paul Davis, American singer-songwriter and musician (d. 2008) 1948 – Josef Flammer, Swiss ophthalmologist 1948 – Dieter Fromm, German runner 1949 – Patti LuPone, American actress and singer 1950 – Shivaji Satam, Indian actor 1951 – Tony Danza, American actor and producer 1951 – Michael Freedman, American mathematician and academic 1951 – Bob Varsha, American sportscaster 1951 – Steve Vickers, Canadian ice hockey player 1952 – Gerald Early, American author and academic 1952 – Cheryl Gillan, British businesswoman and politician, Secretary of State for Wales (d. 2021) 1953 – John Brumby, Australian politician, 45th Premier of Victoria 1954 – Ebiet G. Ade, Indonesian singer-songwriter and guitarist 1954 – James Morrison, American actor, director, producer, and screenwriter 1955 – Murathan Mungan, Turkish author, poet, and playwright 1956 – Peter Kosminsky, English director, producer, and screenwriter 1956 – Phillip Longman, German-American demographer and journalist 1957 – Hervé Le Tellier, French linguist and author 1957 – Herbert Wetterauer, German painter, sculptor, and author 1958 – Andie MacDowell, American model, actress, and producer 1958 – Yoshito Usui, Japanese illustrator (d. 2009) 1958 – Michael Zarnock, American author 1959 – Tim Jacobus, American illustrator and painter 1959 – Robert Smith, English singer-songwriter and guitarist 1961 – David Servan-Schreiber, French physician, neuroscientist, and author (d. 2011) 1965 – Fiona Kelleghan, American academic, critic and librarian 1969 – Toby Stephens, English actor 1971 – Michael Turner, American author and illustrator (d. 2008) 1973 – Steve Backshall, English
is published in the Daily Mail (in 1999, it is revealed to be a hoax). 1945 – World War II: Soviet forces south of Berlin at Zossen attack the German High Command headquarters. 1948 – United Nations Security Council Resolution 47 relating to Kashmir conflict is adopted. 1952 – Secretary's Day (now Administrative Professionals' Day) is first celebrated. 1958 – United Airlines Flight 736 collides with a United States Air Force fighter jet near Arden, Nevada in what is now Enterprise, Nevada. 1960 – Brasília, Brazil's capital, is officially inaugurated. At 09:30, the Three Powers of the Republic are simultaneously transferred from the old capital, Rio de Janeiro. 1962 – The Seattle World's Fair (Century 21 Exposition) opens. It is the first World's Fair in the United States since World War II. 1963 – The first election of the Universal House of Justice is held, marking its establishment as the supreme governing institution of the Baháʼí Faith. 1964 – A Transit-5bn satellite fails to reach orbit after launch; as it re-enters the atmosphere, of radioactive plutonium in its SNAP RTG power source is widely dispersed. 1965 – The 1964–1965 New York World's Fair opens for its second and final season. 1966 – Rastafari movement: Haile Selassie of Ethiopia visits Jamaica, an event now celebrated as Grounation Day. 1967 – A few days before the general election in Greece, Colonel George Papadopoulos leads a coup d'état, establishing a military regime that lasts for seven years. 1972 – Astronauts John Young and Charles Duke fly Apollo 16's Apollo Lunar Module to the Moon's surface, the fifth NASA Apollo Program crewed lunar landing. 1975 – Vietnam War: President of South Vietnam Nguyễn Văn Thiệu flees Saigon, as Xuân Lộc, the last South Vietnamese outpost blocking a direct North Vietnamese assault on Saigon, falls. 1977 – Annie opens on Broadway. 1982 – Baseball: Rollie Fingers of the Milwaukee Brewers becomes the first pitcher to record 300 saves. 1985 – The compound of the militant group The Covenant, The Sword, and the Arm of the Lord surrenders to federal authorities in Arkansas after a two-day government siege. 1987 – The Tamil Tigers are blamed for a car bomb that detonates in the Sri Lankan capital city of Colombo, killing 106 people. 1989 – Tiananmen Square protests of 1989: In Beijing, around 100,000 students gather in Tiananmen Square to commemorate Chinese reform leader Hu Yaobang. 1993 – The Supreme Court in La Paz, Bolivia, sentences former dictator Luis García Meza to 30 years in jail without parole for murder, theft, fraud and violating the constitution. 2004 – Five suicide car bombers target police stations in and around Basra, killing 74 people and wounding 160. 2010 – The controversial Kharkiv Pact (Russian Ukrainian Naval Base for Gas Treaty) is signed in Kharkiv, Ukraine, by Ukrainian President Viktor Yanukovych and Russian President Dmitry Medvedev; it was unilaterally terminated by Russia on March 31, 2014. 2012 – Two trains are involved in a head-on collision near Sloterdijk, Amsterdam, in the Netherlands, injuring 116 people. 2014 – The American city of Flint, Michigan switches its water source to the Flint River, beginning the ongoing Flint water crisis which has caused lead poisoning in up to 12,000 people, and 15 deaths from Legionnaires disease, ultimately leading to criminal indictments against 15 people, five of whom have been charged with involuntary manslaughter. 2019 – Eight bombs explode at churches, hotels, and other locations in Sri Lanka on Easter Sunday; more than 250 people are killed. 2021 – Indonesian Navy submarine KRI Nanggala (402) sinks in the Bali Sea during a military drill, killing all 53 on board. Births Pre-1600 1132 – Sancho VI, king of Navarre (d. 1194) 1488 – Ulrich von Hutten, German religious reformer (d. 1523) 1523 – Marco Antonio Bragadin, Venetian lawyer and military officer (d. 1571) 1555 – Ludovico Carracci, Italian painter and etcher (d. 1619) 1601–1800 1619 – Jan van Riebeeck, Dutch founder of Cape Town (d. 1677) 1630 – Pieter Gerritsz van Roestraten, Dutch-English painter (d. 1700) 1631 – Francesco Maidalchini, Catholic cardinal (d. 1700) 1642 – Simon de la Loubère, French mathematician, poet, and diplomat (d. 1729) 1651 – Joseph Vaz, Sri Lankan priest, missionary, and saint (d. 1711) 1652 – Michel Rolle, French mathematician and academic (d. 1719) 1671 – John Law, Scottish economist (d. 1729) 1673 – Wilhelmine Amalia of Brunswick-Lüneburg (d. 1742) 1713 – Louis de Noailles, French general (d. 1793) 1730 – Antonín Kammel, Czech violinist and composer (d. 1788) 1752 – Pierre-Alexandre-Laurent Forfait, French engineer, hydrographer, and politician, French Minister of Marine and the Colonies (d. 1807) 1752 – Humphry Repton, English gardener and author (d. 1818) 1774 – Jean-Baptiste Biot, French physicist, astronomer, and mathematician (d. 1862) 1775 – Alexander Anderson, Scottish-American illustrator and engraver (d. 1870) 1790 – Manuel Blanco Encalada, Spanish-Chilean admiral and politician, 1st President of Chile (d. 1876) 1801–present 1810 – John Putnam Chapin, American politician, 10th Mayor of Chicago (d. 1864) 1811 – Alson Sherman, American merchant and politician, 8th Mayor of Chicago (d. 1903) 1814 – Angela Burdett-Coutts, 1st Baroness Burdett-Coutts, English art collector and philanthropist (d. 1906) 1816 – Charlotte Brontë, English novelist and poet (d. 1855) 1837 – Fredrik Bajer, Danish lieutenant and politician, Nobel Prize laureate (d. 1922) 1838 – John Muir, Scottish-American environmentalist and author (d. 1914) 1854 – William Stang, German-American bishop (d. 1907) 1864 – Max Weber, German economist and sociologist (d. 1920) 1868 – Alfred Henry Maurer, American painter (d. 1932) 1868 – Mary Rogers Miller, American author and educator (d. 1971) 1870 – Edwin Stanton Porter, American director, producer, and screenwriter (d. 1941) 1874 – Vincent Scotto, French composer and actor (d. 1952) 1882 – Percy Williams Bridgman, American physicist and academic, Nobel Prize laureate (d. 1961) 1885 – Tatu Kolehmainen, Finnish runner (d. 1967) 1887 – Joe McCarthy, American baseball manager (d. 1978) 1889 – Marcel Boussac, French businessman (d. 1980) 1889 – Paul Karrer, Russian-Swiss chemist and academic, Nobel Prize laureate (d. 1971) 1889 – Efrem Zimbalist, Sr., Russian-American violinist, composer, and conductor (d. 1985) 1892 – Freddie Dixon, English motorcycle racer and racing driver (d. 1956) 1893 – Romeo Bertini, Italian runner (d. 1973) 1898 – Maurice Wilson, English soldier, pilot, and mountaineer (d. 1934) 1899 – Randall Thompson, American composer and academic (d. 1984) 1903 – Luis Saslavsky, Argentinian director, producer, and screenwriter (d. 1995) 1904 – Jean Hélion, French painter (d. 1987) 1904 – Odilo Globocnik, Italian-Austrian SS officer (d. 1945) 1905 – Pat Brown, American lawyer and politician, 32nd Governor of California (d. 1996) 1911 – Ivan Combe, American businessman, developed Clearasil (d. 2000) 1911 – Kemal Satır, Turkish physician and politician (d. 1991) 1912 – Eve Arnold, Russian-American photojournalist (d. 2012) 1912 – Marcel Camus, French director and screenwriter (d. 1982) 1913 – Norman Parkinson, English photographer (d. 1990) 1914 – Angelo Savoldi, Italian-American wrestler and promoter, co-founded International World Class Championship Wrestling (d. 2013) 1915 – Garrett Hardin, American ecologist, author, and academic (d. 2003) 1915 – Anthony Quinn, Mexican-American actor (d. 2001) 1916 – Estella B. Diggs, American businesswoman and politician (d. 2013) 1918 – Eddy Christiani, Dutch singer-songwriter and guitarist (d. 2016) 1919 – Don Cornell, American singer (d. 2004) 1919 – Roger Doucet, Canadian tenor (d. 1981) 1919 – Licio Gelli, Italian financer (d. 2015) 1922 – Alistair MacLean, Scottish novelist and screenwriter (d. 1987) 1922 – Allan Watkins, Welsh-English cricketer (d. 2011) 1923 – John Mortimer, English lawyer and author (d. 2009) 1924 – Ira Louvin, American singer-songwriter and mandolin player (d. 1965) 1925 – Anthony Mason, Australian soldier and judge, 9th Chief Justice of Australia 1925 – John Swinton of Kimmerghame, English general and politician, Lord Lieutenant of Berwickshire (d. 2018) 1926 – Elizabeth II, Queen of the United Kingdom and her other realms 1926 – Arthur Rowley, English footballer, manager and cricketer (d. 2002) 1927 – Ahmed Arif, Turkish poet and author (d. 1991) 1928 – Jack Evans, Welsh-Canadian ice hockey player and coach (d. 1996) 1930 – Hilda Hilst, Brazilian author, poet, and playwright (d. 2004) 1930 – Silvana Mangano, Italian actress (d. 1989) 1930 – Dieter Roth, German-Swiss illustrator and sculptor (d. 1998) 1930 – Jack Taylor, English footballer and referee (d. 2012) 1931 – Morgan Wootten, American high school basketball coach (d. 2020) 1932 – Slide Hampton, African-American trombonist and composer 1932
developed in Moscow in 1991 Adobe Type Manager, a computer program for managing fonts Accelerated Turing machine, or Zeno machine, a model of computation used in theoretical computer science Alternating Turing machine, a model of computation used in theoretical computer science Asynchronous Transfer Mode, a telecommunications protocol used in networking ATM adaptation layer ATM Adaptation Layer 5 Media Amateur Telescope Making, a series of books by Albert Graham Ingalls ATM (2012 film), an American film ATM (2015 film), a Malayalam film ATM: Er Rak Error, a 2012 Thai film Azhagiya Tamil Magan, a 2007 Indian film "ATM" (song), a 2018 song by J. Cole from KOD People and organizations Abiding Truth Ministries, in Springfield, Massachusetts, US Association of Teachers of Mathematics, UK Acrylic Tank Manufacturing, US aquarium manufacturer, televised in Tanked ATM FA, a football club in Malaysia A. T. M. Wilson (1906–1978), British psychiatrist African Transformation Movement, South African political party founded in 2018 The a2 Milk Company (NZX ticker symbol ATM) Science Apollo Telescope Mount, a solar observatory ATM serine/threonine kinase, a
also refer to: Computing ATM (computer), a ZX Spectrum clone developed in Moscow in 1991 Adobe Type Manager, a computer program for managing fonts Accelerated Turing machine, or Zeno machine, a model of computation used in theoretical computer science Alternating Turing machine, a model of computation used in theoretical computer science Asynchronous Transfer Mode, a telecommunications protocol used in networking ATM adaptation layer ATM Adaptation Layer 5 Media Amateur Telescope Making, a series of books by Albert Graham Ingalls ATM (2012 film), an American film ATM (2015 film), a Malayalam film ATM: Er Rak Error, a 2012 Thai film Azhagiya Tamil Magan, a 2007 Indian film "ATM" (song), a 2018 song by J. Cole from KOD People and organizations Abiding Truth Ministries, in Springfield, Massachusetts, US Association of Teachers of Mathematics, UK Acrylic Tank Manufacturing, US aquarium manufacturer, televised in Tanked ATM FA, a football club in Malaysia A. T. M. Wilson (1906–1978), British psychiatrist African Transformation Movement, South African political party founded in 2018 The a2 Milk Company (NZX ticker symbol ATM) Science Apollo Telescope Mount, a solar observatory ATM serine/threonine kinase, a serine/threonine kinase activated by DNA damage The Airborne Topographic Mapper, a laser altimeter among
it was obtained almost exclusively from the area of Miass in the Ilmensky Mountains, 50 miles southwest of Chelyabinsk, Russia, where it occurs in granitic rocks. Amazonite is now known to occur in various places around the globe. Those places are, among others, as follows: China: Baishitouquan granite intrusion, Hami Prefecture, Xinjiang: found in granite Libya: Jabal Eghei, Tibesti Mountains: found in granitic rocks Mongolia: Avdar Massif, Töv Province: found in alkali granite South Africa: Mogalakwena, Limpopo Province Khâi-Ma, Northern Cape Kakamas, Northern Cape Ceres Valley, Western Cape United States: Colorado: Deer Trail, Arapahoe County:233 Custer County:234 Devils Head, Douglas County:234 Pine Creek, Douglas County:234 Crystal Park, El Paso County:234 Pikes Peak, El Paso County: found in coarse granites or pegmatite St. Peter's Dome, El Paso County:234 Tarryall Mountains, Park County:235 Crystal Peak, Teller County:235 Virginia: Morefield Mine, Amelia County: found in pegmatite Rutherford Mine, Amelia County Pennsylvania: Media, Delaware County:244 Middletown, Delaware County:244 Color For many years, the source of amazonite's color was a mystery. Some people assumed the color was due to copper because copper compounds often have blue and green colors. A 1985 study suggest that the blue-green color results from quantities of lead and water in the feldspar. Subsequent 1998 theoretical studies by A. Julg expand on the potential role of aliovalent lead in the color of microcline. Other studies suggest the colors are associated with the increasing content
rocks Mongolia: Avdar Massif, Töv Province: found in alkali granite South Africa: Mogalakwena, Limpopo Province Khâi-Ma, Northern Cape Kakamas, Northern Cape Ceres Valley, Western Cape United States: Colorado: Deer Trail, Arapahoe County:233 Custer County:234 Devils Head, Douglas County:234 Pine Creek, Douglas County:234 Crystal Park, El Paso County:234 Pikes Peak, El Paso County: found in coarse granites or pegmatite St. Peter's Dome, El Paso County:234 Tarryall Mountains, Park County:235 Crystal Peak, Teller County:235 Virginia: Morefield Mine, Amelia County: found in pegmatite Rutherford Mine, Amelia County Pennsylvania: Media, Delaware County:244 Middletown, Delaware County:244 Color For many years, the source of amazonite's color was a mystery. Some people assumed the color was due to copper because copper compounds often have blue and green colors. A 1985 study suggest that the blue-green color results from quantities of lead and water in the feldspar. Subsequent 1998 theoretical studies by A. Julg expand on the potential role of aliovalent lead in the color of microcline. Other studies suggest the colors are associated with the increasing content of lead, rubidium, and thallium ranging in amounts between 0.00X and 0.0X in the feldspars, with even extremely high contents of PbO, lead monoxide, (1% or more) known from the literature. A recent 2010 study also implicated the role of divalent iron in the green coloration. These studies and associated hypotheses indicate the complex nature of the color in amazonite, in other words the aggregate effect of several mutually inclusive and necessary factors. Health A 2021 study by the German Institut für Edelsteinprüfung (EPI)
in Amsterdam (1614), Bergen op Zoom (1615–1616), Utrecht (1616–1619), and Breda (1619). In 1619 when he moved to Utrecht, his brother-in-law van der Ast entered the Utrecht Guild of St. Luke, where the renowned painter Abraham Bloemaert had just become dean. The painter Roelandt Savery (1576–1639) entered the St. Luke's guild in Utrecht at about the same time. Savery had considerable influence on the Bosschaert dynasty. After Bosschaert died in The Hague while on commission there for a flower piece, Balthasar van der Ast took over his workshop and pupils in Middelburg. Style His bouquets were painted symmetrically and with scientific accuracy in small dimensions and normally on copper. They sometimes included symbolic and religious meanings. At the time of his death, Bosschaert was working on an important commission in the Hague. That piece is now in the collection in Stockholm. Bosschaert was one of the first artists to specialize in flower still life painting as a stand-alone subject. He started a tradition of painting detailed flower bouquets, which typically included tulips and roses, and inspired the genre of Dutch flower painting. Thanks to the booming seventeenth-century Dutch art market,
in the fashionable floral painting genre. He had three sons who all became flower painters: Ambrosius II, Johannes and Abraham. His brother-in-law Balthasar van der Ast also lived and worked in his workshop and accompanied him on his travels. Bosschaert later worked in Amsterdam (1614), Bergen op Zoom (1615–1616), Utrecht (1616–1619), and Breda (1619). In 1619 when he moved to Utrecht, his brother-in-law van der Ast entered the Utrecht Guild of St. Luke, where the renowned painter Abraham Bloemaert had just become dean. The painter Roelandt Savery (1576–1639) entered the St. Luke's guild in Utrecht at about the same time. Savery had considerable influence on the Bosschaert dynasty. After Bosschaert died in The Hague while on commission there for a flower piece, Balthasar van der Ast took over his workshop and pupils in Middelburg. Style His bouquets were painted symmetrically and with
president of Georgia, Zviad Gamsakhurdia. Albert Schweitzer was a friend of Steiner's and was supportive of his ideals for cultural renewal. The historian of religion Olav Hammer has termed anthroposophy "the most important esoteric society in European history". A natural scientist who has researched the scientific works of Johann Wolfgang von Goethe as well as Steiner's anthroposophy is Wolfgang Schad. However, many scientists and physicians, including Michael Shermer, Michael Ruse, Edzard Ernst, David Gorski, and Simon Singh have criticized anthroposophy's application in the areas of medicine, biology, agriculture, and education to be dangerous and pseudoscientific. Some of Steiner's ideas deviate from modern science, including: "racial" evolution, clairvoyance (Steiner claimed that he was clairvoyant), and the myth of Atlantis. History The early work of the founder of anthroposophy, Rudolf Steiner, culminated in his Philosophy of Freedom (also translated as The Philosophy of Spiritual Activity and Intuitive Thinking as a Spiritual Path). Here, Steiner developed a concept of free will based on inner experiences, especially those that occur in the creative activity of independent thought. By the beginning of the twentieth century, Steiner's interests turned almost exclusively to spirituality. His work began to interest others interested in spiritual ideas; among these was the Theosophical Society. From 1900 on, thanks to the positive reception his ideas received from Theosophists, Steiner focused increasingly on his work with the Theosophical Society, becoming the secretary of its section in Germany in 1902. During his leadership, membership increased dramatically, from just a few individuals to sixty-nine lodges. By 1907, a split between Steiner and the Theosophical Society became apparent. While the Society was oriented toward an Eastern and especially Indian approach, Steiner was trying to develop a path that embraced Christianity and natural science. The split became irrevocable when Annie Besant, then president of the Theosophical Society, presented the child Jiddu Krishnamurti as the reincarnated Christ. Steiner strongly objected and considered any comparison between Krishnamurti and Christ to be nonsense; many years later, Krishnamurti also repudiated the assertion. Steiner's continuing differences with Besant led him to separate from the Theosophical Society Adyar. He was subsequently followed by the great majority of the Theosophical Society's German members, as well as many members of other national sections. By this time, Steiner had reached considerable stature as a spiritual teacher and expert in the occult. He spoke about what he considered to be his direct experience of the Akashic Records (sometimes called the "Akasha Chronicle"), thought to be a spiritual chronicle of the history, pre-history, and future of the world and mankind. In a number of works, Steiner described a path of inner development he felt would let anyone attain comparable spiritual experiences. In Steiner's view, sound vision could be developed, in part, by practicing rigorous forms of ethical and cognitive self-discipline, concentration, and meditation. In particular, Steiner believed a person's spiritual development could occur only after a period of moral development. In 1912, Steiner broke away from the Theosophical Society to found an independent group, which he named the Anthroposophical Society. After World War I, members of the young society began applying Steiner's ideas to create cultural movements in areas such as traditional and special education, farming, and medicine. By 1923, a schism had formed between older members, focused on inner development, and younger members eager to become active in contemporary social transformations. In response, Steiner attempted to bridge the gap by establishing an overall School for Spiritual Science. As a spiritual basis for the reborn movement, Steiner wrote a "Foundation Stone Meditation" which remains a central touchstone of anthroposophical ideas. Steiner died just over a year later, in 1925. The Second World War temporarily hindered the anthroposophical movement in most of Continental Europe, as the Anthroposophical Society and most of its practical counter-cultural applications were banned by the Nazi government. Though at least one prominent member of the Nazi Party, Rudolf Hess, was a strong supporter of anthroposophy, very few anthroposophists belonged to the National Socialist Party. By 2007, national branches of the Anthroposophical Society had been established in fifty countries and about 10,000 institutions around the world were working on the basis of anthroposophical ideas. Etymology and earlier uses of the word Anthroposophy is an amalgam of the Greek terms (anthropos = "human") and (sophia = "wisdom"). An early English usage is recorded by Nathan Bailey (1742) as meaning "the knowledge of the nature of man." The first known use of the term anthroposophy occurs within Arbatel de magia veterum, summum sapientiae studium, a book published anonymously in 1575 and attributed to Heinrich Cornelius Agrippa. The work describes anthroposophy (as well as theosophy) variously as an understanding of goodness, nature, or human affairs. In 1648, the Welsh philosopher Thomas Vaughan published his Anthroposophia Theomagica, or a discourse of the nature of man and his state after death. The term began to appear with some frequency in philosophical works of the mid- and late-nineteenth century. In the early part of that century, Ignaz Troxler used the term "anthroposophy" to refer to philosophy deepened to self-knowledge, which he suggested allows deeper knowledge of nature as well. He spoke of human nature as a mystical unity of God and world. Immanuel Hermann Fichte used the term anthroposophy to refer to "rigorous human self-knowledge," achievable through thorough comprehension of the human spirit and of the working of God in this spirit, in his 1856 work Anthropology: The Study of the Human Soul. In 1872, the philosopher of religion Gideon Spicker used the term anthroposophy to refer to self-knowledge that would unite God and world: "the true study of the human being is the human being, and philosophy's highest aim is self-knowledge, or Anthroposophy." In 1882, the philosopher Robert Zimmermann published the treatise, "An Outline of Anthroposophy: Proposal for a System of Idealism on a Realistic Basis," proposing that idealistic philosophy should employ logical thinking to extend empirical experience. Steiner attended lectures by Zimmermann at the University of Vienna in the early 1880s, thus at the time of this book's publication. In the early 1900s, Steiner began using the term anthroposophy (i.e. human wisdom) as an alternative to the term theosophy (i.e. divine wisdom). Central ideas Spiritual knowledge and freedom Anthroposophical proponents aim to extend the clarity of the scientific method to phenomena of human soul-life and spiritual experiences. Steiner believed this required developing new faculties of objective spiritual perception, which he maintained was still possible for contemporary humans. The steps of this process of inner development he identified as consciously achieved imagination, inspiration, and intuition. Steiner believed results of this form of spiritual research should be expressed in a way that can be understood and evaluated on the same basis as the results of natural science. Steiner hoped to form a spiritual movement that would free the individual from any external authority. For Steiner, the human capacity for rational thought would allow individuals to comprehend spiritual research on their own and bypass the danger of dependency on an authority such as himself. Steiner contrasted the anthroposophical approach with both conventional mysticism, which he considered lacking the clarity necessary for exact knowledge, and natural science, which he considered arbitrarily limited to what can be seen, heard, or felt with the outward senses. Nature of the human being In Theosophy, Steiner suggested that human beings unite a physical body of substances gathered from and returning to the inorganic world; a life body (also called the etheric body), in common with all living creatures (including plants); a bearer of sentience or consciousness (also called the astral body), in common with all animals; and the ego, which anchors the faculty of self-awareness unique to human beings. Anthroposophy describes a broad evolution of human consciousness. Early stages of human evolution possess an intuitive perception of reality, including a clairvoyant perception of spiritual realities. Humanity has progressively evolved an increasing reliance on intellectual faculties and a corresponding loss of intuitive or clairvoyant experiences, which have become atavistic. The increasing intellectualization of consciousness, initially a progressive direction of evolution, has led to an excessive reliance on abstraction and a loss of contact with both natural and spiritual realities. However, to go further requires new capacities that combine the clarity of intellectual thought with the imagination and with consciously achieved inspiration and intuitive insights. Anthroposophy speaks of the reincarnation of the human spirit: that the human being passes between stages of existence, incarnating into an earthly body, living on earth, leaving the body behind, and entering into the spiritual worlds before returning to be born again into a new life on earth. After the death of the physical body, the human spirit recapitulates the past life, perceiving its events as they were experienced by the objects of its actions. A complex transformation takes place between the review of the past life and the preparation for the next life. The individual's karmic condition eventually leads to a choice of parents, physical body, disposition, and capacities that provide the challenges and opportunities that further development requires, which includes karmically chosen tasks for the future life. Steiner described some conditions that determine the interdependence of a person's lives, or karma. Evolution The anthroposophical view of evolution considers all animals to have evolved from an early, unspecialized form. As the least specialized animal, human beings have maintained the closest connection to the archetypal form; contrary to the Darwinian conception of human evolution, all other animals devolve from this archetype. The spiritual archetype originally created by spiritual beings was devoid of physical substance; only later did this descend into material existence on Earth. In this view, human evolution has accompanied the Earth's evolution throughout the existence of the Earth. Anthroposophy adapted Theosophy's complex system of cycles of world development and human evolution. The evolution of the world is said to have occurred in cycles. The first phase of the world consisted only of heat. In the second phase, a more active condition, light, and a more condensed, gaseous state separate out from the heat. In the third phase, a fluid state arose, as well as a sounding, forming energy. In the fourth (current) phase, solid physical matter first exists. This process is said to have been accompanied by an evolution of consciousness which led up to present human culture. Ethics The anthroposophical view is that good is found in the balance between two polar influences on world and human evolution. These are often described through their mythological embodiments as spiritual adversaries which endeavour to tempt and corrupt humanity, Lucifer and his counterpart Ahriman. These have both positive and negative aspects. Lucifer is the light spirit, which "plays on human pride and offers the delusion of divinity", but also motivates creativity and spirituality; Ahriman is the dark spirit that tempts human beings to "...deny [their] link with divinity and to live entirely on the material plane", but that also stimulates intellectuality and technology. Both figures exert a negative effect on humanity when their influence becomes misplaced or one-sided, yet their influences are necessary for human freedom to unfold. Each human being has the task to find a balance between these opposing influences, and each is helped in this task by the mediation of the Representative of Humanity, also known as the Christ being, a spiritual entity who stands between and harmonizes the two extremes. Practical applications Steiner/Waldorf education This is a pedagogical movement with over 1000 Steiner or Waldorf schools (the latter name stems from the first such school, founded in Stuttgart in 1919) located in some 60 countries; the great majority of these are independent (private) schools. Sixteen of the schools have been affiliated with the United Nations' UNESCO Associated Schools Project Network, which sponsors education projects that foster improved quality of education throughout the world. Waldorf schools receive full or partial governmental funding in some European nations, Australia and in parts of the United States (as Waldorf method public or charter schools) and Canada. The schools have been founded in a variety of communities: for example in the favelas of São Paulo to wealthy suburbs of major cities; in India, Egypt, Australia, the Netherlands, Mexico and South Africa. Though most of the early Waldorf schools were teacher-founded, the schools today are usually initiated and later supported by a parent community. Waldorf schools are among the most visible anthroposophical institutions. Biodynamic agriculture Biodynamic agriculture, the first intentional form of organic farming, began in 1924, when Rudolf Steiner gave a series of lectures published in English as The Agriculture Course. Steiner is considered one of the founders of the modern organic farming movement. Anthroposophical medicine Anthroposophical medicine is a form of alternative medicine based on pseudoscientific and occult notions. One of the most studied applications has been the use of mistletoe extracts in cancer therapy, but research has found no evidence of benefit. Special needs education and services In 1922, Ita Wegman founded an anthroposophical center for special needs education, the Sonnenhof, in Switzerland. In 1940, Karl König founded the Camphill Movement in Scotland. The latter in particular has spread widely, and there are now over a hundred Camphill communities and other anthroposophical homes for children and adults in need of special care in about 22 countries around the world. Both Karl König, Thomas Weihs and others have written extensively on these ideas underlying Special education. Architecture Steiner designed around thirteen buildings in an organic—expressionist architectural style. Foremost among these are his designs for the two Goetheanum buildings in Dornach, Switzerland. Thousands of further buildings have been built by later generations of anthroposophic architects. Architects who have been strongly influenced by the anthroposophic style include Imre Makovecz in Hungary, Hans Scharoun and Joachim Eble in Germany, Erik Asmussen in Sweden, Kenji Imai in Japan, Thomas Rau, Anton Alberts and Max van Huut in the Netherlands, Christopher Day and Camphill Architects in the UK, Thompson and Rose in America, Denis Bowman in Canada, and Walter Burley Griffin and Gregory Burgess in Australia.<ref>Raab, Klingborg and Fånt, Eloquent Concrete, London: 1979.</ref>Sokolina, Anna, "The Goetheanum Culture in Modern Architecture." In: Science, Education and Experimental Design (Nauka, obrazovaniie i eksperimental'noie proiektirovaniie. Trudy MARKHI) (In Russian), edited by D.O. Shvidkovsky, G.V. Yesaulov, et al., 157-159. Moscow: MARKHI, 2014. 536p. ING House in Amsterdam is a contemporary building by an anthroposophical architect which has received awards for its ecological design and approach to a self-sustaining ecology as an autonomous building and example of sustainable architecture. Eurythmy Together with Marie von Sivers, Steiner developed eurythmy, a performance art combining dance, speech, and music.Earl j. Ogletree, Eurythmy: A therapeutic art of movement Journal of Special Education Fall 1976 vol. 10 no. 3 305-319 Social finance and entrepreneurship Around the world today are a number of banks, companies, charities, and schools for developing co-operative forms of business using Steiner's ideas about economic associations, aiming at harmonious and socially responsible roles in the world economy. The first anthroposophic bank was the Gemeinschaftsbank für Leihen und Schenken in Bochum, Germany, founded in 1974. Socially responsible banks founded out of anthroposophy include Triodos Bank, founded in the Netherlands in 1980 and also active in the UK, Germany, Belgium, Spain and France. Other examples include Cultura Sparebank which dates from 1982 when a group of Norwegian anthroposophists began an initiative for ethical banking but only began to operate as a savings bank in Norway in the late 90s, La Nef in France and RSF Social Financein San Francisco. Harvard Business School historian Geoffrey Jones traced the considerable impact both Steiner and later anthroposophical entrepreneurs had on the creation of many businesses in organic food, ecological architecture and sustainable finance. Organizational development, counselling and biography work Bernard Lievegoed, a psychiatrist, founded a new method of individual and institutional development oriented towards humanizing organizations and linked with Steiner's ideas of the threefold social order. This work is represented by the NPI Institute for Organizational Development in the Netherlands and sister organizations in many other countries. Various forms of biographic and counselling work have been developed on the basis of anthroposophy. Speech and drama There are also anthroposophical movements to renew speech and drama, the most important of which are based in the work of Marie Steiner-von Sivers (speech formation, also known as Creative Speech) and the Chekhov Method originated by Michael Chekhov (nephew of
Philosophy of Freedom. In his early works, Steiner sought to overcome what he perceived as the dualism of Cartesian idealism and Kantian subjectivism by developing Goethe's conception of the human being as a natural-supernatural entity, that is: natural in that humanity is a product of nature, supernatural in that through our conceptual powers we extend nature's realm, allowing it to achieve a reflective capacity in us as philosophy, art and science. Steiner was one of the first European philosophers to overcome the subject-object split in Western thought. Though not well known among philosophers, his philosophical work was taken up by Owen Barfield (and through him influenced the Inklings, an Oxford group of Christian writers that included J. R. R. Tolkien and C. S. Lewis). Christian and Jewish mystical thought have also influenced the development of anthroposophy.Paddock, F. and Spiegler, M., Judaism and Anthroposophy, 2003 Union of science and spirit Steiner believed in the possibility of applying the clarity of scientific thinking to spiritual experience, which he saw as deriving from an objectively existing spiritual world. Steiner identified mathematics, which attains certainty through thinking itself, thus through inner experience rather than empirical observation, as the basis of his epistemology of spiritual experience. Relationship to religion Christ as the center of earthly evolution Steiner's writing, though appreciative of all religions and cultural developments, emphasizes Western tradition as having evolved to meet contemporary needs. He describes Christ and his mission on earth of bringing individuated consciousness as having a particularly important place in human evolution, whereby: Christianity has evolved out of previous religions; The being which manifests in Christianity also manifests in all faiths and religions, and each religion is valid and true for the time and cultural context in which it was born; All historical forms of Christianity need to be transformed considerably to meet the continuing evolution of humanity. Thus, anthroposophy considers there to be a being who unifies all religions, and who is not represented by any particular religious faith. This being is, according to Steiner, not only the Redeemer of the Fall from Paradise, but also the unique pivot and meaning of earth's evolutionary processes and of human history. To describe this being, Steiner periodically used terms such as the "Representative of Humanity" or the "good spirit" rather than any denominational term. Divergence from conventional Christian thought Steiner's views of Christianity diverge from conventional Christian thought in key places, and include gnostic elements: One central point of divergence is Steiner's views on reincarnation and karma. Steiner differentiated three contemporary paths by which he believed it possible to arrive at Christ: Through heart-felt experiences of the Gospels; Steiner described this as the historically dominant path, but becoming less important in the future. Through inner experiences of a spiritual reality; this Steiner regarded as increasingly the path of spiritual or religious seekers today. Through initiatory experiences whereby the reality of Christ's death and resurrection are experienced; Steiner believed this is the path people will increasingly take. Steiner also believed that there were two different Jesus children involved in the Incarnation of the Christ: one child descended from Solomon, as described in the Gospel of Matthew, the other child from Nathan, as described in the Gospel of Luke. (The genealogies given in the two gospels diverge some thirty generations before Jesus' birth, and 'Jesus' was a common name in biblical times.) His view of the second coming of Christ is also unusual; he suggested that this would not be a physical reappearance, but that the Christ being would become manifest in non-physical form, visible to spiritual vision and apparent in community life for increasing numbers of people beginning around the year 1933. He emphasized his belief that in the future humanity would need to be able to recognize the Spirit of Love in all its genuine forms, regardless of what name would be used to describe this being. He also warned that the traditional name of the Christ might be misused, and the true essence of this being of love ignored. Judaism Rudolf Steiner wrote and lectured on Judaism and Jewish issues over much of his adult life. He was a fierce opponent of popular antisemitism, but asserted that there was no justification for the existence of Judaism and Jewish culture in the modern world, a radical assimilationist perspective which saw the Jews completely integrating into the larger society.Peter Staudenmeier, "Rudolf Steiner and the Jewish Question" , Leo Baeck Institute Yearbook, Vol. 50, No. 1 (2005): 127-147. He also supported Émile Zola's position in the Dreyfus affair. Steiner emphasized Judaism's central importance to the constitution of the modern era in the West but suggested that to appreciate the spirituality of the future it would need to overcome its tendency toward abstraction. In his later life, Steiner was accused by the Nazis of being a Jew, and Adolf Hitler called anthroposophy "Jewish methods". The anthroposophical institutions in Germany were banned during Nazi rule and several anthroposophists sent to concentration camps.Lorenzo Ravagli, Unter Hammer und Hakenkreuz: Der völkisch-nationalsozialistische Kampf gegen die Anthroposophie, Verlag Freies Geistesleben, Important early anthroposophists who were Jewish included two central members on the executive boards of the precursors to the modern Anthroposophical Society, and Karl König, the founder of the Camphill movement, who had converted to Christianity. Martin Buber and Hugo Bergmann, who viewed Steiner's social ideas as a solution to the Arab–Jewish conflict, were also influenced by anthroposophy. There are numerous anthroposophical organisations in Israel, including the anthroposophical kibbutz Harduf, founded by Jesaiah Ben-Aharon, forty Waldorf kindergartens and seventeen Waldorf schools (stand as of 2018). A number of these organizations are striving to foster positive relationships between the Arab and Jewish populations: The Harduf Waldorf school includes both Jewish and Arab faculty and students, and has extensive contact with the surrounding Arab communities, while the first joint Arab-Jewish kindergarten was a Waldorf program in Hilf near Haifa. Christian Community Towards the end of Steiner's life, a group of theology students (primarily Lutheran, with some Roman Catholic members) approached Steiner for help in reviving Christianity, in particular "to bridge the widening gulf between modern science and the world of spirit". They approached a notable Lutheran pastor, Friedrich Rittelmeyer, who was already working with Steiner's ideas, to join their efforts. Out of their co-operative endeavor, the Movement for Religious Renewal, now generally known as The Christian Community, was born. Steiner emphasized that he considered this movement, and his role in creating it, to be independent of his anthroposophical work, as he wished anthroposophy to be independent of any particular religion or religious denomination. Reception Anthroposophy's supporters include Pulitzer Prize-winning and Nobel Laureate Saul Bellow, Nobel prize winner Selma Lagerlöf, Andrei Bely, Joseph Beuys, Owen Barfield, architect Walter Burley Griffin, Wassily Kandinsky, Andrei Tarkovsky, Bruno Walter, Right Livelihood Award winners Sir George Trevelyan, and Ibrahim Abouleish, and child psychiatrist Eva Frommer.Fiona Subotsky, Eva Frommer (Obituary) , 29 April 2005. Albert Schweitzer was a friend of Steiner's and was supportive of his ideals for cultural renewal. The historian of religion Olav Hammer has termed anthroposophy "the most important esoteric society in European history." However authors, scientists, and physicians including Michael Shermer, Michael Ruse, Edzard Ernst, David Gorski, and Simon Singh have criticized anthroposophy's application in the areas of medicine, biology, agriculture, and education to be dangerous and pseudoscientific. Others including former Waldorf pupil Dan Dugan and historian Geoffrey Ahern have criticized anthroposophy itself as a dangerous quasi-religious movement that is fundamentally anti-rational and anti-scientific. Scientific basis Though Rudolf Steiner studied natural science at the Vienna Technical University at the undergraduate level, his doctorate was in epistemology and very little of his work is directly concerned with the empirical sciences. In his mature work, when he did refer to science it was often to present phenomenological or Goethean science as an alternative to what he considered the materialistic science of his contemporaries. Steiner's primary interest was in applying the methodology of science to realms of inner experience and the spiritual worlds (his appreciation that the essence of science is its method of inquiry is unusual among esotericists), and Steiner called anthroposophy Geisteswissenschaft'' (science of the mind, cultural/spiritual science), a term generally used in German to refer to the humanities and social sciences. Whether this is a sufficient basis for anthroposophy to be considered a spiritual science has been a matter of controversy. As Freda Easton explained in her study of Waldorf schools, "Whether one accepts anthroposophy as a science depends upon whether one accepts Steiner's interpretation of a science that extends the consciousness and capacity of human beings to experience their inner spiritual world." Sven Ove Hansson has disputed anthroposophy's claim to a scientific basis, stating that its ideas are not empirically derived and neither reproducible nor testable. Carlo Willmann points out that as, on its own terms, anthroposophical methodology offers no possibility of being falsified except through its own procedures of spiritual investigation, no intersubjective validation is possible by conventional scientific methods; it thus cannot stand up to empiricist critics. Peter Schneider describes such objections as untenable, asserting that if a non-sensory, non-physical realm exists, then according to Steiner the experiences of pure thinking possible within the normal realm of consciousness would already be experiences of that, and it would be impossible to exclude the possibility of empirically grounded experiences of other supersensory content. Olav Hammer suggests that anthroposophy carries scientism "to lengths unparalleled in any other Esoteric position" due to its dependence upon claims of clairvoyant experience, its subsuming natural science under "spiritual science." Hammer also asserts that the development of what she calls "fringe" sciences such as anthroposophic medicine and biodynamic agriculture are justified partly on the basis of the ethical and ecological values they promote, rather than purely on a scientific basis. Though Steiner saw that spiritual vision itself is difficult for others to achieve, he recommended open-mindedly exploring and rationally testing the results of such research; he also urged others to follow a spiritual training that would allow them directly to apply his methods to achieve comparable results. Anthony Storr stated about Rudolf Steiner's Anthroposophy: "His belief system is so eccentric, so unsupported by evidence, so manifestly bizarre, that rational skeptics are bound to consider it delusional... But, whereas Einstein's way of perceiving the world by thought became confirmed by experiment and mathematical proof, Steiner's remained intensely subjective and insusceptible of objective confirmation." Religious nature As an explicitly spiritual movement, anthroposophy has sometimes been called a religious philosophy. In 1998 People for Legal and Non-Sectarian Schools (PLANS) started a lawsuit alleging that anthroposophy is a religion for Establishment Clause purposes and therefore several California school districts should not be chartering Waldorf schools; the lawsuit was dismissed in 2012 for failure to show anthroposophy was a religion. In 2000, a French court ruled that a government minister's description of anthroposophy as a cult was defamatory. Statements on race Anthroposophical ideas have been criticized from both sides in the race debate: From the mid-1930s on, National Socialist ideologues attacked the anthroposophical world-view as being opposed to Nazi racist and nationalistic principles; anthroposophy considered "Blood,
humans gradually increased leading to a successive decline of the aurochs. Extinction In southern Sweden, the aurochs was present during the Holocene climatic optimum until at least 7,800 years BP. In Denmark, the first known local extinction of the aurochs occurred after the sea level rise on the newly formed Danish islands about 8,000–7,500 years BP, and the last documented aurochs lived in southern Jutland around 3,000 years BP. The latest known aurochs fossil in Britain dates to 3,245 years BP, and it was probably extinct by 3,000 years ago. The African aurochs may have survived until at least to the Roman period as indicated by fossils found in Buto and Faiyum in the Nile Delta. It was still widespread in Europe during the time of the Roman Empire, when it was widely popular as a battle beast in Roman amphitheatres. Excessive hunting began and continued until it was nearly extinct. By the 13th century, the aurochs existed only in small numbers in Eastern Europe, and hunting it became a privilege of nobles and later royals. Fossils found in West Bengal indicate that the Indian aurochs may have survived until the early 12th century. The gradual extinction of the aurochs in Central Europe was concurrent with the clearcutting of large forest tracts between the 9th and 12th centuries. The population in Hungary declined since at least the 9th century and was extinct in the 13th century. Subfossil data indicate that it survived in northwestern Transylvania (in Romania) until the 14th to 16th century, in western Moldavia (also in Romania) until probably the early 17th century, and in northeastern Bulgaria and around Sofia until the 17th century at most. An aurochs horn found at a medieval site in Sofia indicates that it survived in western Bulgaria until the second half of the 17th to the first half of the 18th century. The last known aurochs herd lived in a marshy woodland in Poland's Jaktorów Forest. It decreased from around 50 individuals in the mid 16th century to four individuals by 1601. The last aurochs cow died in 1627 from natural causes. Behaviour and ecology Aurochs formed small herds mainly in winter, but lived singly or in smaller groups during the summer. If aurochs had social behaviour similar to their descendants, social status was gained through displays and fights, in which both cows and bulls engaged. With its hypsodont jaw, the aurochs was probably a grazer, with a food selection very similar to domesticated cattle feeding on grass, twigs and acorns. Mating season was in September, and calves were born in spring. The bulls had severe fights, and evidence from the Jaktorów forest shows these could lead to death. In autumn, aurochs fed up for the winter, and got fatter and shinier than during the rest of the year. Calves stayed with their mother until they were strong enough to join and keep up with the herd on the feeding grounds. They were vulnerable to predation by grey wolf (Canis lupus), brown bear (Ursus arctos), while healthy adult aurochs probably did not have to fear predators. The lion (Panthera leo), tiger (Panthera tigris) and hyena (Crocuta crocuta) were likely predators in prehistoric times. According to historical descriptions, the aurochs was swift and could be very aggressive, but not afraid of humans. Cultural significance In Asia Acheulean layers in Hunasagi on India's southern Deccan Plateau yielded aurochs bones with cut marks. An aurochs bone with cut marks induced with flint was found in a Middle Paleolithic layer at the Nesher Ramla Homo site in Israel; it was dated to Marine Isotope Stage 5 about 120,000 years ago. An archaeological excavation in Israel found traces of a feast held by the Natufian culture around 12,000 years BP, in which three aurochs were eaten. This appears to be an uncommon occurrence in the culture and was held in conjunction with the burial of an older woman, presumably of some social status. Petroglyphs depicting aurochs in Gobustan Rock Art in Azerbaijan date to the Upper Paleolithic to Neolithic periods. Aurochs bones and skulls found at the settlements of Mureybet, Hallan Çemi and Çayönü indicate that people stored and shared food in the Pre-Pottery Neolithic B culture. Remains of an aurochs were also found in a necropolis in Sidon, Lebanon, dating to around 3,700 years BP; the aurochs was buried together with numerous animals, a few human bones and foods. Seals dating to the Indus Valley Civilisation found in Harappa and Mohenjo-daro show an animal with curved horns like an aurochs. Aurochs figurines were made by the Maykop culture in the Western Caucasus. The aurochs is denoted in the Akkadian words rīmu and rēmu, both used in the context of hunts by rulers such as Naram-Sin of Akkad, Tiglath-Pileser I and Shalmaneser III; in Mesopotamia, it symbolised power and sexual potency, was an epithet of the gods Enlil and Shamash, denoted prowess as an epithet of the king Sennacherib and the hero Gilgamesh. Wild bulls are frequently referred to in Ugaritic texts as hunted by and sacrificed to the god Baal. An aurochs is depicted on Babylon's Ishtar Gate, constructed in the 6th century BC. In Africa Petroglyphs depicting aurochs found in the upper Nile valley were dated to the Late Pleistocene about 16–15,000 years BP using luminescence dating and are the oldest engravings found to date in Africa. Aurochs are part of hunting scenes in reliefs in a tomb at Thebes, Egypt dating to the 20th century BC, and in the mortuary temple of Ramesses III at Medinet Habu dating to around 1175 BC. The latter is the youngest depiction of aurochs in Ancient Egyptian art to date. In Europe The aurochs is widely represented in Paleolithic cave paintings in the Chauvet and Lascaux caves in southern France dating to 36,000 and 21,000 years BP, respectively. Two Paleolithic rock engravings in the Calabrian Romito Cave depict an aurochs. Palaeolithic engravings showing aurochs were also found in the Grotta del Genovese on the Italian island of Levanzo. Upper Paleolithic rock engravings and paintings depicting the aurochs were also found in caves on the Iberian Peninsula dating from the Gravettian to the Magdalenian cultures. Aurochs bones with chop and cut marks were found at various Mesolithic hunting and butchering sites in France, Luxemburg, Germany, the Netherlands, England and Denmark. Aurochs bones were also found in Mesolithic settlements by the Narva and Emajõgi rivers in Estonia. Aurochs and human bones were uncovered from pits and burnt mounds at several Neolithic sites in England. A cup found in the Greek site of Vaphio shows a hunting scene, in which people try to capture an aurochs. One of the bulls throws one hunter on the ground while attacking the second with its horns. The cup seems to date to Mycenaean Greece. Greeks and Paeonians hunted aurochs and used their huge horns as trophies, cups for wine, and offerings to the gods and heroes. The ox mentioned by Samus, Philippus of Thessalonica and Antipater as killed by Philip V of Macedon on the foothills of mountain Orvilos, was actually an aurochs; Philip offered the horns, which were long and the skin to a temple of Hercules. The aurochs was described in Julius Caesar's Commentarii de Bello Gallico. Aurochs were occasionally captured and exhibited in venatio shows in Roman amphitheatres such as the Colosseum. Aurochs horns were often used by Romans as hunting horns. In the Nibelungenlied, Sigurd kills four aurochs. During the Middle Ages, aurochs horns were used as drinking horns including the horn of the last bull; many aurochs horn sheaths are preserved today. The aurochs drinking horn at Corpus Christi College, Cambridge was engraved with the college's coat of arms in the 17th century. An aurochs head with a star between its horns and Christian iconographic elements represents the official coat of arms of Moldavia perpetuated for centuries. Aurochs were hunted with arrows, nets and hunting dogs, and its hair on the forehead was cut from the living animal; belts were made out of this hair and believed to increase the fertility of women. When the aurochs was slaughtered, the os cordis was extracted from the heart; this bone contributed to the mystique and magical powers that were attributed to it. In eastern Europe, the aurochs has left traces in expressions like "behaving like an aurochs" for a drunken person behaving badly, and "a bloke like an aurochs" for big and strong people. Domestication The earliest known domestication of the aurochs dates to the Neolithic Revolution in the Fertile Crescent, where cattle hunted and kept by Neolithic farmers gradually decreased in size between 9800 and 7500 BC. Aurochs bones found at Mureybet and Göbekli Tepe are larger in size than cattle bones from later Neolithic settlements in northern Syria like Dja'de el-Mughara and Tell Halula. In Late Neolithic sites of northern Iraq and western Iran dating to the sixth millennium BC, cattle remains are also smaller but more frequent, indicating that domesticated cattle were imported during the Halaf culture from the central Fertile Crescent region. Results of genetic research indicate that the modern taurine cattle (Bos taurus) arose from 80 aurochs tamed in southeastern Anatolia
They were vulnerable to predation by grey wolf (Canis lupus), brown bear (Ursus arctos), while healthy adult aurochs probably did not have to fear predators. The lion (Panthera leo), tiger (Panthera tigris) and hyena (Crocuta crocuta) were likely predators in prehistoric times. According to historical descriptions, the aurochs was swift and could be very aggressive, but not afraid of humans. Cultural significance In Asia Acheulean layers in Hunasagi on India's southern Deccan Plateau yielded aurochs bones with cut marks. An aurochs bone with cut marks induced with flint was found in a Middle Paleolithic layer at the Nesher Ramla Homo site in Israel; it was dated to Marine Isotope Stage 5 about 120,000 years ago. An archaeological excavation in Israel found traces of a feast held by the Natufian culture around 12,000 years BP, in which three aurochs were eaten. This appears to be an uncommon occurrence in the culture and was held in conjunction with the burial of an older woman, presumably of some social status. Petroglyphs depicting aurochs in Gobustan Rock Art in Azerbaijan date to the Upper Paleolithic to Neolithic periods. Aurochs bones and skulls found at the settlements of Mureybet, Hallan Çemi and Çayönü indicate that people stored and shared food in the Pre-Pottery Neolithic B culture. Remains of an aurochs were also found in a necropolis in Sidon, Lebanon, dating to around 3,700 years BP; the aurochs was buried together with numerous animals, a few human bones and foods. Seals dating to the Indus Valley Civilisation found in Harappa and Mohenjo-daro show an animal with curved horns like an aurochs. Aurochs figurines were made by the Maykop culture in the Western Caucasus. The aurochs is denoted in the Akkadian words rīmu and rēmu, both used in the context of hunts by rulers such as Naram-Sin of Akkad, Tiglath-Pileser I and Shalmaneser III; in Mesopotamia, it symbolised power and sexual potency, was an epithet of the gods Enlil and Shamash, denoted prowess as an epithet of the king Sennacherib and the hero Gilgamesh. Wild bulls are frequently referred to in Ugaritic texts as hunted by and sacrificed to the god Baal. An aurochs is depicted on Babylon's Ishtar Gate, constructed in the 6th century BC. In Africa Petroglyphs depicting aurochs found in the upper Nile valley were dated to the Late Pleistocene about 16–15,000 years BP using luminescence dating and are the oldest engravings found to date in Africa. Aurochs are part of hunting scenes in reliefs in a tomb at Thebes, Egypt dating to the 20th century BC, and in the mortuary temple of Ramesses III at Medinet Habu dating to around 1175 BC. The latter is the youngest depiction of aurochs in Ancient Egyptian art to date. In Europe The aurochs is widely represented in Paleolithic cave paintings in the Chauvet and Lascaux caves in southern France dating to 36,000 and 21,000 years BP, respectively. Two Paleolithic rock engravings in the Calabrian Romito Cave depict an aurochs. Palaeolithic engravings showing aurochs were also found in the Grotta del Genovese on the Italian island of Levanzo. Upper Paleolithic rock engravings and paintings depicting the aurochs were also found in caves on the Iberian Peninsula dating from the Gravettian to the Magdalenian cultures. Aurochs bones with chop and cut marks were found at various Mesolithic hunting and butchering sites in France, Luxemburg, Germany, the Netherlands, England and Denmark. Aurochs bones were also found in Mesolithic settlements by the Narva and Emajõgi rivers in Estonia. Aurochs and human bones were uncovered from pits and burnt mounds at several Neolithic sites in England. A cup found in the Greek site of Vaphio shows a hunting scene, in which people try to capture an aurochs. One of the bulls throws one hunter on the ground while attacking the second with its horns. The cup seems to date to Mycenaean Greece. Greeks and Paeonians hunted aurochs and used their huge horns as trophies, cups for wine, and offerings to the gods and heroes. The ox mentioned by Samus, Philippus of Thessalonica and Antipater as killed by Philip V of Macedon on the foothills of mountain Orvilos, was actually an aurochs; Philip offered the horns, which were long and the skin to a temple of Hercules. The aurochs was described in Julius Caesar's Commentarii de Bello Gallico. Aurochs were occasionally captured and exhibited in venatio shows in Roman amphitheatres such as the Colosseum. Aurochs horns were often used by Romans as hunting horns. In the Nibelungenlied, Sigurd kills four aurochs. During the Middle Ages, aurochs horns were used as drinking horns including the horn of the last bull; many aurochs horn sheaths are preserved today. The aurochs drinking horn at Corpus Christi College, Cambridge was engraved with the college's coat of arms in the 17th century. An aurochs head with a star between its horns and Christian iconographic elements represents the official coat of arms of Moldavia perpetuated for centuries. Aurochs were hunted with arrows, nets and hunting dogs, and its hair on the forehead was cut from the living animal; belts were made out of this hair and believed to increase the fertility of women. When the aurochs was slaughtered, the os cordis was extracted from the heart; this bone contributed to the mystique and magical powers that were attributed to it. In eastern Europe, the aurochs has left traces in expressions like "behaving like an aurochs" for a drunken person behaving badly, and "a bloke like an aurochs" for big and strong people. Domestication The earliest known domestication of the aurochs dates to the Neolithic Revolution in the Fertile Crescent, where cattle hunted and kept by Neolithic farmers gradually decreased in size between 9800 and 7500 BC. Aurochs bones found at Mureybet and Göbekli Tepe are larger in size than cattle bones from later Neolithic settlements in northern Syria like Dja'de el-Mughara and Tell Halula. In Late Neolithic sites of northern Iraq and western Iran dating to the sixth millennium BC, cattle remains are also smaller but more frequent, indicating that domesticated cattle were imported during the Halaf culture from the central Fertile Crescent region. Results of genetic research indicate that the modern taurine cattle (Bos taurus) arose from 80 aurochs tamed in southeastern Anatolia and northern Syria about 10,500 years ago. Taurine cattle spread into the Balkans and northern Italy along the Danube River and the coast of the Mediterranean Sea. Hybridisation between male aurochs and early domestic cattle occurred in central Europe between 9500 and 1000 BC. Analyses of mitochondrial DNA sequences of Italian aurochs specimens dated to 17–7,000 years ago and 51 modern cattle breeds revealed some degree of introgression of aurochs genes into south European cattle, indicating that female aurochs had contact with free-ranging domestic cattle. Cattle bones of various sizes found at a Chalcolithic settlement in the Kutná Hora District provide further evidence for hybridisation of aurochs and domestic cattle between 3000 and 2800 BC in the Bohemian region. Whole genome sequencing of a 6,750-year-old aurochs bone found in England was compared with genome sequence data of 81 cattle and single-nucleotide polymorphism data of 1,225 cattle. Results revealed that British and Irish cattle breeds share some genetic variants with the aurochs specimen; early herders in Britain might have
endpoints on a per-virtual-connection basis. Following the initial design of ATM, networks have become much faster. A 1500 byte (12000-bit) full-size Ethernet frame takes only 1.2 µs to transmit on a 10 Gbit/s network, reducing the need for small cells to reduce jitter due to contention. The increased link speeds by themselves do not alleviate jitter due to queuing. Additionally, the hardware for implementing the service adaptation for IP packets is expensive at very high speeds. ATM provides a useful ability to carry multiple logical circuits on a single physical or virtual medium, although other techniques exist, such as Multi-link PPP, Ethernet VLANs, and multi-protocol support over SONET. Virtual circuits A network must establish a connection before two parties can send cells to each other. In ATM this is called a virtual circuit (VC). It can be a permanent virtual circuit (PVC), which is created administratively on the end points, or a switched virtual circuit (SVC), which is created as needed by the communicating parties. SVC creation is managed by signaling, in which the requesting party indicates the address of the receiving party, the type of service requested, and whatever traffic parameters may be applicable to the selected service. "Call admission" is then performed by the network to confirm that the requested resources are available and that a route exists for the connection. Motivation ATM operates as a channel-based transport layer, using VCs. This is encompassed in the concept of the virtual paths (VP) and virtual channels. Every ATM cell has an 8- or 12-bit virtual path identifier (VPI) and 16-bit virtual channel identifier (VCI) pair defined in its header. The VCI, together with the VPI, is used to identify the next destination of a cell as it passes through a series of ATM switches on its way to its destination. The length of the VPI varies according to whether the cell is sent on the user-network interface (on the edge of the network), or if it is sent on the network-network interface (inside the network). As these cells traverse an ATM network, switching takes place by changing the VPI/VCI values (label swapping). Although the VPI/VCI values are not necessarily consistent from one end of the connection to the other, the concept of a circuit is consistent (unlike IP, where any given packet could get to its destination by a different route than the others). ATM switches use the VPI/VCI fields to identify the virtual channel link (VCL) of the next network that a cell needs to transit on its way to its final destination. The function of the VCI is similar to that of the data link connection identifier (DLCI) in frame relay and the logical channel number and logical channel group number in X.25. Another advantage of the use of virtual circuits comes with the ability to use them as a multiplexing layer, allowing different services (such as voice, frame relay, n* 64 channels, IP). The VPI is useful for reducing the switching table of some virtual circuits which have common paths. Types ATM can build virtual circuits and virtual paths either statically or dynamically. Static circuits (permanent virtual circuits or PVCs) or paths (permanent virtual paths or PVPs) require that the circuit is composed of a series of segments, one for each pair of interfaces through which it passes. PVPs and PVCs, though conceptually simple, require significant effort in large networks. They also do not support the re-routing of service in the event of a failure. Dynamically built PVPs (soft PVPs or SPVPs) and PVCs (soft PVCs or SPVCs), in contrast, are built by specifying the characteristics of the circuit (the service "contract") and the two endpoints. ATM networks create and remove switched virtual circuits (SVCs) on demand when requested by an end piece of equipment. One application for SVCs is to carry individual telephone calls when a network of telephone switches are inter-connected using ATM. SVCs were also used in attempts to replace local area networks with ATM. Routing Most ATM networks supporting SPVPs, SPVCs, and SVCs use the Private Network Node Interface or the Private Network-to-Network Interface (PNNI) protocol to share topology information between switches and select a route through a network. PNNI is a link-state routing protocol like OSPF and IS-IS. PNNI also includes a very powerful route summarization mechanism to allow construction of very large networks, as well as a call admission control (CAC) algorithm which determines the availability of sufficient bandwidth on a proposed route through a network in order to satisfy the service requirements of a VC or VP. Traffic engineering Another key ATM concept involves the traffic contract. When an ATM circuit is set up each switch on the circuit is informed of the traffic class of the connection. ATM traffic contracts form part of the mechanism by which "quality of service" (QoS) is ensured. There are four basic types (and several variants) which each have a set of parameters describing the connection. CBR - Constant bit rate: a Peak Cell Rate (PCR) is specified, which is constant. VBR - Variable bit rate: an average or Sustainable Cell Rate (SCR) is specified, which can peak at a certain level, a PCR, for a maximum interval before being problematic. ABR - Available bit rate: a minimum guaranteed rate is specified. UBR - Unspecified bit rate: traffic is allocated to all remaining transmission capacity. VBR has real-time and non-real-time variants, and serves for "bursty" traffic. Non-real-time is sometimes abbreviated to vbr-nrt. Most traffic classes also introduce the concept of Cell-delay variation tolerance (CDVT), which defines the "clumping" of cells in time. Traffic policing To maintain network performance, networks may apply traffic policing to virtual circuits to limit them to their traffic contracts at the entry points to the network, i.e. the user–network interfaces (UNIs) and network-to-network interfaces (NNIs): usage/network parameter control (UPC and NPC). The reference model given by the ITU-T and ATM Forum for UPC and NPC is the generic cell rate algorithm (GCRA), which is a version of the leaky bucket algorithm. CBR traffic will normally be policed to a PCR and CDVt alone, whereas VBR traffic will normally be policed using a dual leaky bucket controller to a PCR and CDVt and an SCR and Maximum Burst Size (MBS). The MBS will normally be the packet (SAR-SDU) size for the VBR VC in cells. If the traffic on a virtual circuit is exceeding its traffic contract, as determined by the GCRA, the network can either drop the cells or mark the Cell Loss Priority (CLP) bit (to identify a cell as potentially redundant). Basic policing works on a cell by cell basis, but this is sub-optimal for encapsulated packet traffic (as discarding a single cell will invalidate the whole packet). As a result, schemes such as partial packet discard (PPD) and early packet discard (EPD) have been created that will discard a whole series of cells until the next packet starts. This reduces the number of useless cells in the network, saving bandwidth for full packets. EPD and PPD work with AAL5 connections as they use the end of packet marker: the ATM user-to-ATM user (AUU) indication bit in the payload-type field of the header, which is set in the last cell of a SAR-SDU. Traffic shaping Traffic shaping usually takes place in the network interface card (NIC) in user equipment, and attempts to ensure that the cell flow on a VC will meet its traffic contract, i.e. cells will not be dropped or reduced in priority at the UNI. Since the reference model given for traffic policing in the network is the GCRA, this algorithm is normally used for shaping as well, and single and dual leaky bucket implementations may be used as appropriate. Reference model The ATM network reference model approximately maps to the three lowest layers of the OSI reference model. It specifies the following layers: At the physical network level, ATM specifies a layer that is equivalent to the OSI physical layer. The ATM layer 2 roughly corresponds to the OSI data link layer. The OSI network layer is implemented as the ATM adaptation layer (AAL). Deployment ATM became popular with telephone companies and many computer makers in the 1990s. However, even by the end of the decade, the better price/performance of Internet Protocol-based products was competing with ATM technology for integrating real-time and bursty network traffic. Companies such as FORE Systems focused on ATM products, while other large vendors such as Cisco Systems provided ATM as an option. After the burst of the dot-com bubble, some still predicted that "ATM is going to dominate". However, in 2005 the ATM Forum, which had been the trade organization promoting the technology, merged with groups promoting other technologies, and eventually became the Broadband Forum. Wireless or mobile ATM Wireless ATM, or mobile ATM, consists of an ATM core network with a wireless access network. ATM cells are transmitted from base stations to mobile terminals. Mobility functions are performed at an ATM switch in the core network, known as "crossover switch", which is similar to the MSC (mobile switching center) of GSM networks. The advantage of wireless ATM is its high bandwidth and high speed handoffs done at layer 2. In the early 1990s, Bell Labs and NEC research labs worked actively in this field. Andy Hopper from Cambridge University Computer Laboratory also worked in this area. There was a wireless ATM forum formed to standardize the technology behind wireless ATM networks. The forum was supported by several telecommunication companies, including NEC, Fujitsu and AT&T. Mobile ATM aimed to provide high speed multimedia communications technology, capable of delivering broadband mobile communications beyond that of GSM and WLANs. Versions One version of ATM is ATM25, where data is transferred
1, this is a management cell, and the other two bits indicate the type. (Network management segment, network management end-to-end, resource management, and reserved for future use.) Several ATM link protocols use the HEC field to drive a CRC-based framing algorithm, which allows locating the ATM cells with no overhead beyond what is otherwise needed for header protection. The 8-bit CRC is used to correct single-bit header errors and detect multi-bit header errors. When multi-bit header errors are detected, the current and subsequent cells are dropped until a cell with no header errors is found. A UNI cell reserves the GFC field for a local flow control/submultiplexing system between users. This was intended to allow several terminals to share a single network connection, in the same way that two Integrated Services Digital Network (ISDN) phones can share a single basic rate ISDN connection. All four GFC bits must be zero by default. The NNI cell format replicates the UNI format almost exactly, except that the 4-bit GFC field is re-allocated to the VPI field, extending the VPI to 12 bits. Thus, a single NNI ATM interconnection is capable of addressing almost 212 VPs of up to almost 216 VCs each (in practice some of the VP and VC numbers are reserved). Service types ATM supports different types of services via AALs. Standardized AALs include AAL1, AAL2, and AAL5, and the rarely used AAL3 and AAL4. AAL1 is used for constant bit rate (CBR) services and circuit emulation. Synchronization is also maintained at AAL1. AAL2 through AAL4 are used for variable bitrate (VBR) services, and AAL5 for data. Which AAL is in use for a given cell is not encoded in the cell. Instead, it is negotiated by or configured at the endpoints on a per-virtual-connection basis. Following the initial design of ATM, networks have become much faster. A 1500 byte (12000-bit) full-size Ethernet frame takes only 1.2 µs to transmit on a 10 Gbit/s network, reducing the need for small cells to reduce jitter due to contention. The increased link speeds by themselves do not alleviate jitter due to queuing. Additionally, the hardware for implementing the service adaptation for IP packets is expensive at very high speeds. ATM provides a useful ability to carry multiple logical circuits on a single physical or virtual medium, although other techniques exist, such as Multi-link PPP, Ethernet VLANs, and multi-protocol support over SONET. Virtual circuits A network must establish a connection before two parties can send cells to each other. In ATM this is called a virtual circuit (VC). It can be a permanent virtual circuit (PVC), which is created administratively on the end points, or a switched virtual circuit (SVC), which is created as needed by the communicating parties. SVC creation is managed by signaling, in which the requesting party indicates the address of the receiving party, the type of service requested, and whatever traffic parameters may be applicable to the selected service. "Call admission" is then performed by the network to confirm that the requested resources are available and that a route exists for the connection. Motivation ATM operates as a channel-based transport layer, using VCs. This is encompassed in the concept of the virtual paths (VP) and virtual channels. Every ATM cell has an 8- or 12-bit virtual path identifier (VPI) and 16-bit virtual channel identifier (VCI) pair defined in its header. The VCI, together with the VPI, is used to identify the next destination of a cell as it passes through a series of ATM switches on its way to its destination. The length of the VPI varies according to whether the cell is sent on the user-network interface (on the edge of the network), or if it is sent on the network-network interface (inside the network). As these cells traverse an ATM network, switching takes place by changing the VPI/VCI values (label swapping). Although the VPI/VCI values are not necessarily consistent from one end of the connection to the other, the concept of a circuit is consistent (unlike IP, where any given packet could get to its destination by a different route than the others). ATM switches use the VPI/VCI fields to identify the virtual channel link (VCL) of the next network that a cell needs to transit on its way to its final destination. The function of the VCI is similar to that of the data link connection identifier (DLCI) in frame relay and the logical channel number and logical channel group number in X.25. Another advantage of the use of virtual circuits comes with the ability to use them as a multiplexing layer, allowing different services (such as voice, frame relay, n* 64 channels, IP). The VPI is useful for reducing the switching table of some virtual circuits which have common paths. Types ATM can build virtual circuits and virtual paths either statically or dynamically. Static circuits (permanent virtual circuits or PVCs) or paths (permanent virtual paths or PVPs) require that the circuit is composed of a series of segments, one for each pair of interfaces through which it passes. PVPs and PVCs, though conceptually simple, require significant effort in large networks. They also do not support the re-routing of service in the event of a failure. Dynamically built PVPs (soft PVPs or SPVPs) and PVCs (soft PVCs or SPVCs), in contrast, are built by specifying the characteristics of the circuit (the service "contract") and the two endpoints. ATM networks create and remove switched virtual circuits (SVCs) on demand when requested by an end piece of equipment. One application for SVCs is to carry individual telephone calls when a network of telephone switches are inter-connected using ATM. SVCs were also used in attempts to replace local area networks with ATM. Routing Most ATM networks supporting SPVPs, SPVCs, and SVCs use the Private Network Node Interface or the Private Network-to-Network Interface (PNNI) protocol to share topology information between switches and select a route through a network. PNNI is a link-state routing protocol like OSPF and IS-IS. PNNI also includes a very powerful route summarization mechanism to allow construction of very large networks, as well as a call admission control (CAC) algorithm which determines the availability of sufficient bandwidth on a proposed route through a network in order to satisfy the service requirements of a VC or VP. Traffic engineering Another key ATM concept involves the traffic contract. When an ATM circuit is set up each switch on the circuit is informed of the traffic class of the connection. ATM traffic contracts form part of the mechanism by which "quality of service" (QoS) is ensured. There are four basic types (and several variants) which each have a set of parameters describing the connection. CBR - Constant bit rate: a Peak Cell Rate (PCR) is specified, which is constant. VBR - Variable bit rate: an average or Sustainable Cell Rate (SCR) is specified, which can peak at a certain level, a PCR, for a maximum interval before being problematic. ABR - Available bit rate: a minimum guaranteed rate is specified. UBR - Unspecified bit rate: traffic is allocated to all remaining transmission capacity. VBR has real-time and non-real-time variants, and serves for "bursty" traffic. Non-real-time is sometimes abbreviated to vbr-nrt. Most traffic classes also introduce the concept of Cell-delay variation tolerance (CDVT), which defines the "clumping" of cells in time. Traffic policing To maintain network performance, networks may apply traffic policing to virtual circuits to limit them to their traffic contracts at the entry points to the network, i.e. the user–network interfaces (UNIs) and network-to-network interfaces (NNIs): usage/network parameter control (UPC and NPC). The reference model given by the ITU-T and ATM Forum for UPC and NPC is the generic cell rate algorithm (GCRA), which is a version of the leaky bucket algorithm. CBR traffic will normally be policed to a PCR and CDVt alone, whereas VBR traffic will normally be policed using a dual leaky bucket controller to a PCR and CDVt and an SCR and Maximum Burst Size (MBS). The MBS will normally be the packet (SAR-SDU) size for the VBR VC in cells. If the traffic on a virtual circuit is exceeding its traffic contract, as determined by the GCRA, the network can either drop the cells or mark the Cell Loss Priority (CLP) bit (to identify a cell as potentially redundant). Basic policing works on a cell by cell basis, but this is sub-optimal for encapsulated packet traffic (as discarding a single cell will invalidate the whole packet). As a result, schemes such as partial packet discard (PPD) and early packet discard (EPD) have been created that will discard a whole series of cells until the next packet starts. This reduces the number of useless cells in the network, saving bandwidth for full packets. EPD and PPD work with AAL5 connections as they use the end of packet marker: the ATM user-to-ATM user (AUU) indication bit in the payload-type field of the header, which is set in the last cell of a SAR-SDU. Traffic shaping Traffic shaping usually takes place in the network interface card (NIC) in user equipment, and attempts to ensure that the cell flow on a VC will meet its traffic contract, i.e. cells will not be dropped or reduced in priority at the UNI. Since the reference model given for traffic policing in the network is
side, the blastopore, which deepens to become the archenteron, the first phase in the growth of the gut. In deuterostomes, the original dent becomes the anus while the gut eventually tunnels through to make another opening, which forms the mouth. The protostomes were so named because it was thought that in their embryos the dent formed the mouth first (proto– meaning "first") and the anus was formed later at the opening made by the other end of the gut. Research from 2001 shows the edges of the dent close up in the middles of protosomes, leaving openings at the ends which become the mouths and anuses. See also References External
therapsids. Marsupials have a single orifice for excreting both solids and liquids and, in females, a separate vagina for reproduction. Female placental mammals have completely separate orifices for defecation, urination, and reproduction; males have one opening for defecation and another for both urination and reproduction, although the channels flowing to that orifice are almost completely separate. The development of the anus was an important stage in the evolution of multicellular animals. It appears to have happened at least twice, following different paths in protostomes and deuterostomes. This accompanied or facilitated other important evolutionary developments: the bilaterian body plan, the coelom, and metamerism, in which the body was built of repeated "modules" which could later specialize, such as the heads of most arthropods, which are composed of fused, specialized segments. Development In animals at least as complex as an earthworm, the embryo forms a dent on
to where related material can be found in a document Anatomy Appendix (anatomy), a part of the human digestive system Appendix of the epididymis, a detached efferent duct of the epididymis Appendix testis, a vestigial remnant of the Müllerian duct Epiploic appendix, one of several small pouches of fat on the peritoneum along the colon and rectum Appendix of the laryngeal ventricle, a sac that extends from the laryngeal
with pointers to where related material can be found in a document Anatomy Appendix (anatomy), a part of the human digestive system Appendix of the epididymis, a detached efferent duct of the epididymis Appendix testis, a vestigial remnant of the Müllerian duct Epiploic appendix, one of several
the algal symbionts are maintained in the endoplasm. The ectoplasm consists of cytoplasmic extensions used for prey capture and also contains food vacuoles for prey digestion. The ectoplasm is surrounded by a periplasmic cortex, also made up of microfibrils, but arranged into twenty plates, each with a hole through which one spicule projects. The cortex is linked to the spines by contractile myonemes, which assist in buoyancy control by allowing the ectoplasm to expand and contract, increasing and decreasing the total volume of the cell. Taxonomy The way that the spines are joined at the center of the cell varies and is one of the primary characteristics by which acantharians are classified. The skeletons are made up of either ten diametric or twenty radial spicules. Diametric spicules cross the center of the cell, whereas radial spicules terminate at the center of the cell where they either form a tight or flexible junction depending on species. Acantharians with diametric spicules or loosely attached radial spicules are able to rearrange or shed spicules and form cysts. Holacanthida – 10 diametric spicules, simply crossed, no central junction, capable of encystment Chaunacanthida – 20 radial spicules, loosely attached, capable of encystment Symphiacanthida – 20 radial spicules, tight central junction Arthracanthida – 20 radial spines, tight central junction The morphological classification system roughly agrees with phylogenetic trees based on the alignment of ribosomal RNA genes, although the groups are mostly polyphyletic. Holacanthida seems to have evolved first and includes molecular clades A, B, and D. Chaunacanthida evolved second and includes only one molecular clade, clade C. Arthracanthida and Symphacanthida, which have the most complex skeletons, evolved most recently and constitute molecular clades E and F. Symbiosis Many acantharians, including some in clade B (Holacanthida) and all in clades E & F (Symphiacanthida and Arthracanthida), host single-celled algae within their inner cytoplasm (endoplasm). By participating in this photosymbiosis, acantharians are essentially mixotrophs: they acquire energy through both heterotrophy and autotrophy. The relationship may make it possible for acantharians to be abundant in low-nutrient regions of the oceans and
cytoplasm (endoplasm). By participating in this photosymbiosis, acantharians are essentially mixotrophs: they acquire energy through both heterotrophy and autotrophy. The relationship may make it possible for acantharians to be abundant in low-nutrient regions of the oceans and may also provide extra energy necessary to maintain their elaborate strontium sulfate skeletons. It is hypothesized that the acantharians provide the algae with nutrients (N & P) that they acquire by capturing and digesting prey in return for sugar that the algae produces during photosynthesis. It is not known, however, whether the algal symbionts benefit from the relationship or if they are simply being exploited and then digested by the acantharians. Symbiotic Holacanthida acantharians host diverse symbiont assemblages, including several genera of dinoflagellates (Pelagodinium, Heterocapsa, Scrippsiella, Azadinium) and a haptophyte (Chrysochromulina). Clade E & F acantharians have a more specific symbiosis and primarily host symbionts from the haptophyte genus Phaeocystis, although they sometimes also host Chrysochromulina symbionts. Clade F acantharians simultaneously host multiple species and strains of Phaeocystis and their internal symbiont community does not necessarily match the relative availability of potential symbionts in the surrounding environment. The mismatch between internal and external symbiont communities suggests that acantharians can be selective in choosing symbionts and probably do not continuously digest and recruit new symbionts, and maintain symbionts for extended periods of time instead. Life cycle Adults are usually multinucleated. Earlier diverging clades are able to shed their spines and form cysts, which are often referred to as reproductive cysts. Reproduction is thought to take place by formation of swarmer cells (formerly referred to as "spores"), which may be flagellate, and cysts have been observed to release these swarmers. Non-encysted cells have also been seen releasing swarmers in laboratory conditions. Not all life cycle stages have been observed, however, and no one has witnessed the fusion of swarmers to produce a new acantharian. Cysts are often found in sediment traps and it is therefore believed that the cysts help acantharians sink into deep water. Genetic data and some imaging suggests that non-cyst-forming acantharians may also sink to deep water to release swarmers. Releasing swarmer cells in deeper water may improve the survival chances of juveniles. Study
judge whether conflict resolution was possible. Discussions and negotiations took place leading to the eventual unbanning of the ANC and other opposing political parties by then President de Klerk on 2 February 1990. The next official step towards rebuilding South Africa was the Groote Schuur Minute where the government and the ANC agreed on a common commitment towards resolving the existing climate of violence and intimidation and a commitment to stability and to a peaceful process of negotiations. The ANC negotiated the release of political prisoners and the indemnity from prosecution for returning exiles and moreover channels of communication were established between the Government and the ANC. Later the Pretoria Minute represented another step towards resolution where agreements at Groote Schuur were reconsolidated and steps towards setting up an interim government and drafting a new constitution were established as well as suspension of the military wing of the ANC – the Umkhonto we Sizwe. This step helped end much of the violence within South Africa. Another agreement that came out of the Pretoria Minute was that both parties would try and raise awareness that a new way of governance was being created for South Africa, and that further violence would only hinder this process. However, violence still continued in Kwazulu-Natal, which violated the trust between Mandela and de Klerk. Moreover, internal disputes in the ANC prolonged the war as consensus on peace was not reached. The next significant steps towards resolution were the Repeal of the Population Registration Act, the repeal of the Group Areas and the Native Land Acts and a catch-all Abolition of Racially Based Land Measures Act was passed. These measures ensured no one could claim, or be deprived of, any land rights on the basis of race. In December 1991 the Convention for a Democratic South Africa (CODESA) was held with the aim of establishing an interim government. However, a few months later in June 1992 the Boipatong massacre occurred and all negotiations crumbled as the ANC pulled out. After this negotiations proceeded between two agents, Cyril Ramaphosa of the ANC, and Roelf Meyer of the National Party. In over 40 sessions the two men discussed and negotiated over many issues including the nature of the future political system, the fate of over 40,000 government employees and if/how the country would be divided. The result of these negotiations was an interim constitution that meant the transition from apartheid to democracy was a constitutional continuation and that the rule of law and state sovereignty remained intact during the transition, which was vital for stability within the country. A date was set for the first democratic elections on 27 April 1994. The ANC won 62.5% of the votes and has been in power ever since. Criticism and controversy Corruption controversies The most prominent corruption case involving the ANC relates to a series of bribes paid to companies involved in the ongoing R55 billion Arms Deal saga, which resulted in a long term jail sentence to then Deputy President Jacob Zuma's legal adviser Schabir Shaik. Zuma, the former South African President, was charged with fraud, bribery and corruption in the Arms Deal, but the charges were subsequently withdrawn by the National Prosecuting Authority of South Africa due to their delay in prosecution. The ANC has also been criticised for its subsequent abolition of the Scorpions, the multidisciplinary agency that investigated and prosecuted organised crime and corruption, and was heavily involved in the investigation into Zuma and Shaik. Tony Yengeni, in his position as chief whip of the ANC and head of the Parliaments defence committee has recently been named as being involved in bribing the German company ThyssenKrupp over the purchase of four corvettes for the SANDF. Other recent corruption issues include the sexual misconduct and criminal charges of Beaufort West municipal manager Truman Prince, and the Oilgate scandal, in which millions of Rand in funds from a state-owned company were funnelled into ANC coffers. The ANC has also been accused of using government and civil society to fight its political battles against opposition parties such as the Democratic Alliance. The result has been a number of complaints and allegations that none of the political parties truly represent the interests of the poor. This has resulted in the "No Land! No House! No Vote!" Campaign which became very prominent during elections. In 2018, the New York Times reported on the killings of ANC corruption whistleblowers. During an address on 28 October 2021, former president Thabo Mbeki commented on the history of corruption within the ANC. He reflected that Mandela had already warned in 1997 that the ANC was attracting individuals who viewed the party as "a route to power and self-enrichment." He added that the ANC leadership "did not know how to deal with this problem." During a lecture on 10 December, Mbeki reiterated concerns about "careerists" within the party, and stressed the need to "purge itself of such members". Condemnation over Secrecy Bill In late 2011 the ANC was heavily criticised over the passage of the Protection of State Information Bill, which opponents claimed would improperly restrict
outlawed, the ANC formed the Umkhonto we Sizwe (Spear of the Nation) to fight against apartheid utilising guerrilla warfare and sabotage. After thirty years in exile, during which many ANC members had been imprisoned or forced to flee abroad, the country began its move towards full non-racial democracy. On 3 February 1990, State President F. W. de Klerk repealed the ban on the ANC and released Nelson Mandela from Victor Verster Prison on 11 February 1990. On 17 March 1992, a referendum on the continuation of apartheid was held; but only White South Africans could vote. The majority of the electorate voted to abolish apartheid and the ANC were allowed to stand at the 1994 general election which, for the first time, allowed all South Africans regardless of race the right to vote. Since 1994, the ANC has polled better than 55% at all general elections, including the most recent 2019 general election; where the ANC received their worst electoral result to date. However, the party has been embroiled in a number of controversies since 2011 and has been steadily losing ground to smaller parties. History The founding of the SANNC was in direct response to injustice against black South Africans at the hands of the government then in power. It can be said that the SANNC had its origins in a pronouncement by Pixley ka Isaka Seme who said in 1911, "Forget all the past differences among Africans and unite in one national organisation." The SANNC was founded the following year on 8 January 1912. The government of the newly formed Union of South Africa began a systematic oppression of black people in South Africa. The Land Act was promulgated in 1913 forcing many black South Africans from their farms into the cities and towns to work, and to restrict their movement within South Africa. By 1919, the SANNC was leading a campaign against passes (an ID which black South Africans had to possess). However, it then became dormant in the mid-1920s. During that time, black people were also represented by the ICU and the previously white-only Communist party. In 1923, the organisation became the African National Congress, and in 1929 the ANC supported a militant mineworkers' strike. By 1927, J.T. Gumede (president of the ANC) proposed co-operation with the Communists in a bid to revitalise the organisation, but he was voted out of power in the 1930s. This led to the ANC becoming largely ineffectual and inactive, until the mid-1940s when the ANC was remodelled as a mass movement. The ANC responded to attacks on the rights of black South Africans, as well as calling for strikes, boycotts, and defiance. This led to a later Defiance Campaign in the 1950s, a mass movement of resistance to apartheid. The government tried to stop the ANC by banning party leaders and enacting new laws to stop the ANC, however these measures ultimately proved to be ineffective. In 1955, the Congress of the People officially adopted the Freedom Charter, stating the core principles of the South African Congress Alliance, which consisted of the African National Congress and its allies the South African Communist Party (SACP), the South African Indian Congress, the South African Congress of Democrats (COD) and the Coloured People's Congress. The government claimed that this was a communist document, and consequently leaders of the ANC and Congress were arrested. 1960 saw the Sharpeville massacre, in which 69 people were killed when police opened fire on anti-apartheid protesters. uMkhonto we Sizwe uMkhonto we Sizwe or MK, translated "The Spear of the Nation", was the military wing of the ANC. Partly in response to the Sharpeville massacre of 1960, individual members of the ANC found it necessary to consider violence to combat what passive protests had failed to quell. In co-operation with the South African Communist Party, MK was founded in 1961. MK commenced the military struggle against apartheid with acts of sabotage aimed at the installations of the state, and in the early stages was reluctant to target civilian targets. MK was responsible for the deaths of both civilians and members of the military. Acts committed by MK include the Church Street bombing, the Magoo's Bar bombing and bombing a branch of the Standard Bank in Roodepoort. It was integrated into the South African National Defence Force by 1994. The ANC and its members were officially removed from the US terrorism watch list in 2008. Ideology The ANC deems itself a force of national liberation in the post-apartheid era; it officially defines its agenda as the National Democratic Revolution. The ANC is a member of the Socialist International. It also sets forth the redressing of socio-economic differences stemming from colonial- and apartheid-era policies as a central focus of ANC policy. The National Democratic Revolution (NDR) is described as a process through which the National Democratic Society (NDS) is achieved; a society in which people are intellectually, socially, economically and politically empowered. The drivers of the NDR are also called the motive forces and are defined as the elements within society that gain from the success of the NDR. Using contour plots or concentric circles the centre represents the elements in society that gain the most out of the success of the NDR. Moving away from the centre results in the reduction of the gains that those elements derive. It is generally believed that the force that occupies the centre of those concentric circles in countries with low unemployment is the working class while in countries with higher levels of unemployment it is the unemployed. Some of the many theoreticians that have written about the NDR include Joe Slovo, Joel Netshitenzhe and Tshilidzi Marwala. In 2004, the ANC declared itself to be a social democratic party. The 53rd National Conference of the ANC, held in 2015, stated in its "Discussion Document" that "China economic development trajectory remains a leading example of the triumph of humanity over adversity. The exemplary role of the collective leadership of the Communist Party of China in this regard should be a guiding lodestar of our own struggle." It went on to state that "The collapse of the Berlin Wall and socialism in the Soviet Union and Eastern European States influenced our transition towards the negotiated political settlement in our country. The cause of events in the world changed tremendously in favour of the US led imperialism." Tripartite Alliance The ANC holds a historic alliance with the South African Communist Party (SACP) and Congress of South African Trade Unions (COSATU), known as the Tripartite Alliance. The SACP and COSATU have not contested any election in South Africa, but field candidates through the ANC, hold senior positions in the ANC, and influence party policy and dialogue. During Mbeki's presidency, the government took a more pro-capitalist stance, often running counter to the demands of the SACP and COSATU. 2008 schism Following Zuma's accession to the ANC leadership in 2007 and Mbeki's resignation as president in 2008, a number of former ANC leaders led by Mosiuoa Lekota split away from the ANC to form the Congress of the People. 2013 NUMSA split from Cosatu On 20 December 2013, a special congress of the National Union of Metalworkers of South Africa (NUMSA), the country's biggest trade union with 338,000 members, voted to withdraw support from the ANC and SACP, and form a socialist party to protect the interests of the working class. NUMSA secretary general Irvin Jim condemned the ANC and SACP's support for big business and stated: "It is clear that the working class cannot any longer see the ANC or the SACP as its class allies in any meaningful sense." Neoliberal turn Since the 1990s, academics have argued that the ANC has increasingly adopted neoliberal socio-economic policies. The economist Asghar Adelzadeh found that the shift from the Reconstruction and Development Programme, formulated in 1994, to the Growth Employment and Redistribution policy, implemented in 1996, constituted a move towards a neoliberal economic framework. Similarly, the social geographer Sagie Narsiah considers this shift as one from a socialist to a neoliberal development framework. Moreover, he considers the increasing reliance on privatisation as symptomatic of this shift. The social and
during childhood is continuously effective for controlling ADHD symptoms and reduces the risk of developing a substance use disorder as an adult. Current models of ADHD suggest that it is associated with functional impairments in some of the brain's neurotransmitter systems; these functional impairments involve impaired dopamine neurotransmission in the mesocorticolimbic projection and norepinephrine neurotransmission in the noradrenergic projections from the locus coeruleus to the prefrontal cortex. Psychostimulants like methylphenidate and amphetamine are effective in treating ADHD because they increase neurotransmitter activity in these systems. Approximately 80% of those who use these stimulants see improvements in ADHD symptoms. Children with ADHD who use stimulant medications generally have better relationships with peers and family members, perform better in school, are less distractible and impulsive, and have longer attention spans. The Cochrane reviews on the treatment of ADHD in children, adolescents, and adults with pharmaceutical amphetamines stated that short-term studies have demonstrated that these drugs decrease the severity of symptoms, but they have higher discontinuation rates than non-stimulant medications due to their adverse side effects. A Cochrane review on the treatment of ADHD in children with tic disorders such as Tourette syndrome indicated that stimulants in general do not make tics worse, but high doses of dextroamphetamine could exacerbate tics in some individuals. Enhancing performance Cognitive performance In 2015, a systematic review and a meta-analysis of high quality clinical trials found that, when used at low (therapeutic) doses, amphetamine produces modest yet unambiguous improvements in cognition, including working memory, long-term episodic memory, inhibitory control, and some aspects of attention, in normal healthy adults; these cognition-enhancing effects of amphetamine are known to be partially mediated through the indirect activation of both dopamine receptor D1 and adrenoceptor α2 in the prefrontal cortex. A systematic review from 2014 found that low doses of amphetamine also improve memory consolidation, in turn leading to improved recall of information. Therapeutic doses of amphetamine also enhance cortical network efficiency, an effect which mediates improvements in working memory in all individuals. Amphetamine and other ADHD stimulants also improve task saliency (motivation to perform a task) and increase arousal (wakefulness), in turn promoting goal-directed behavior. Stimulants such as amphetamine can improve performance on difficult and boring tasks and are used by some students as a study and test-taking aid. Based upon studies of self-reported illicit stimulant use, of college students use diverted ADHD stimulants, which are primarily used for enhancement of academic performance rather than as recreational drugs. However, high amphetamine doses that are above the therapeutic range can interfere with working memory and other aspects of cognitive control. Physical performance Amphetamine is used by some athletes for its psychological and athletic performance-enhancing effects, such as increased endurance and alertness; however, non-medical amphetamine use is prohibited at sporting events that are regulated by collegiate, national, and international anti-doping agencies. In healthy people at oral therapeutic doses, amphetamine has been shown to increase muscle strength, acceleration, athletic performance in anaerobic conditions, and endurance (i.e., it delays the onset of fatigue), while improving reaction time. Amphetamine improves endurance and reaction time primarily through reuptake inhibition and release of dopamine in the central nervous system. Amphetamine and other dopaminergic drugs also increase power output at fixed levels of perceived exertion by overriding a "safety switch", allowing the core temperature limit to increase in order to access a reserve capacity that is normally off-limits. At therapeutic doses, the adverse effects of amphetamine do not impede athletic performance; however, at much higher doses, amphetamine can induce effects that severely impair performance, such as rapid muscle breakdown and elevated body temperature. Contraindications According to the International Programme on Chemical Safety (IPCS) and the United States Food and Drug Administration (USFDA), amphetamine is contraindicated in people with a history of drug abuse, cardiovascular disease, severe agitation, or severe anxiety. It is also contraindicated in individuals with advanced arteriosclerosis (hardening of the arteries), glaucoma (increased eye pressure), hyperthyroidism (excessive production of thyroid hormone), or moderate to severe hypertension. These agencies indicate that people who have experienced allergic reactions to other stimulants or who are taking monoamine oxidase inhibitors (MAOIs) should not take amphetamine, although safe concurrent use of amphetamine and monoamine oxidase inhibitors has been documented. These agencies also state that anyone with anorexia nervosa, bipolar disorder, depression, hypertension, liver or kidney problems, mania, psychosis, Raynaud's phenomenon, seizures, thyroid problems, tics, or Tourette syndrome should monitor their symptoms while taking amphetamine. Evidence from human studies indicates that therapeutic amphetamine use does not cause developmental abnormalities in the fetus or newborns (i.e., it is not a human teratogen), but amphetamine abuse does pose risks to the fetus. Amphetamine has also been shown to pass into breast milk, so the IPCS and the USFDA advise mothers to avoid breastfeeding when using it. Due to the potential for reversible growth impairments, the USFDA advises monitoring the height and weight of children and adolescents prescribed an amphetamine pharmaceutical. Adverse effects The adverse side effects of amphetamine are many and varied, and the amount of amphetamine used is the primary factor in determining the likelihood and severity of adverse effects. Amphetamine products such as Adderall, Dexedrine, and their generic equivalents are currently approved by the USFDA for long-term therapeutic use. Recreational use of amphetamine generally involves much larger doses, which have a greater risk of serious adverse drug effects than dosages used for therapeutic purposes. Physical Cardiovascular side effects can include hypertension or hypotension from a vasovagal response, Raynaud's phenomenon (reduced blood flow to the hands and feet), and tachycardia (increased heart rate). Sexual side effects in males may include erectile dysfunction, frequent erections, or prolonged erections. Gastrointestinal side effects may include abdominal pain, constipation, diarrhea, and nausea. Other potential physical side effects include appetite loss, blurred vision, dry mouth, excessive grinding of the teeth, nosebleed, profuse sweating, rhinitis medicamentosa (drug-induced nasal congestion), reduced seizure threshold, tics (a type of movement disorder), and weight loss. Dangerous physical side effects are rare at typical pharmaceutical doses. Amphetamine stimulates the medullary respiratory centers, producing faster and deeper breaths. In a normal person at therapeutic doses, this effect is usually not noticeable, but when respiration is already compromised, it may be evident. Amphetamine also induces contraction in the urinary bladder sphincter, the muscle which controls urination, which can result in difficulty urinating. This effect can be useful in treating bed wetting and loss of bladder control. The effects of amphetamine on the gastrointestinal tract are unpredictable. If intestinal activity is high, amphetamine may reduce gastrointestinal motility (the rate at which content moves through the digestive system); however, amphetamine may increase motility when the smooth muscle of the tract is relaxed. Amphetamine also has a slight analgesic effect and can enhance the pain relieving effects of opioids. USFDA-commissioned studies from 2011 indicate that in children, young adults, and adults there is no association between serious adverse cardiovascular events (sudden death, heart attack, and stroke) and the medical use of amphetamine or other ADHD stimulants. However, amphetamine pharmaceuticals are contraindicated in individuals with cardiovascular disease. Psychological At normal therapeutic doses, the most common psychological side effects of amphetamine include increased alertness, apprehension, concentration, initiative, self-confidence and sociability, mood swings (elated mood followed by mildly depressed mood), insomnia or wakefulness, and decreased sense of fatigue. Less common side effects include anxiety, change in libido, grandiosity, irritability, repetitive or obsessive behaviors, and restlessness; these effects depend on the user's personality and current mental state. Amphetamine psychosis (e.g., delusions and paranoia) can occur in heavy users. Although very rare, this psychosis can also occur at therapeutic doses during long-term therapy. According to the USFDA, "there is no systematic evidence" that stimulants produce aggressive behavior or hostility. Amphetamine has also been shown to produce a conditioned place preference in humans taking therapeutic doses, meaning that individuals acquire a preference for spending time in places where they have previously used amphetamine. Reinforcement disorders Addiction Addiction is a serious risk with heavy recreational amphetamine use, but is unlikely to occur from long-term medical use at therapeutic doses; in fact, lifetime stimulant therapy for ADHD that begins during childhood reduces the risk of developing substance use disorders as an adult. Pathological overactivation of the mesolimbic pathway, a dopamine pathway that connects the ventral tegmental area to the nucleus accumbens, plays a central role in amphetamine addiction. Individuals who frequently self-administer high doses of amphetamine have a high risk of developing an amphetamine addiction, since chronic use at high doses gradually increase the level of accumbal ΔFosB, a "molecular switch" and "master control protein" for addiction. Once nucleus accumbens ΔFosB is sufficiently overexpressed, it begins to increase the severity of addictive behavior (i.e., compulsive drug-seeking) with further increases in its expression. While there are currently no effective drugs for treating amphetamine addiction, regularly engaging in sustained aerobic exercise appears to reduce the risk of developing such an addiction. Sustained aerobic exercise on a regular basis also appears to be an effective treatment for amphetamine addiction; exercise therapy improves clinical treatment outcomes and may be used as an adjunct therapy with behavioral therapies for addiction. Biomolecular mechanisms Chronic use of amphetamine at excessive doses causes alterations in gene expression in the mesocorticolimbic projection, which arise through transcriptional and epigenetic mechanisms. The most important transcription factors that produce these alterations are Delta FBJ murine osteosarcoma viral oncogene homolog B (ΔFosB), cAMP response element binding protein (CREB), and nuclear factor-kappa B (NF-κB). ΔFosB is the most significant biomolecular mechanism in addiction because ΔFosB overexpression (i.e., an abnormally high level of gene expression which produces a pronounced gene-related phenotype) in the D1-type medium spiny neurons in the nucleus accumbens is necessary and sufficient for many of the neural adaptations and regulates multiple behavioral effects (e.g., reward sensitization and escalating drug self-administration) involved in addiction. Once ΔFosB is sufficiently overexpressed, it induces an addictive state that becomes increasingly more severe with further increases in ΔFosB expression. It has been implicated in addictions to alcohol, cannabinoids, cocaine, methylphenidate, nicotine, opioids, phencyclidine, propofol, and substituted amphetamines, among others. ΔJunD, a transcription factor, and G9a, a histone methyltransferase enzyme, both oppose the function of ΔFosB and inhibit increases in its expression. Sufficiently overexpressing ΔJunD in the nucleus accumbens with viral vectors can completely block many of the neural and behavioral alterations seen in chronic drug abuse (i.e., the alterations mediated by ΔFosB). Similarly, accumbal G9a hyperexpression results in markedly increased histone 3 lysine residue 9 dimethylation (H3K9me2) and blocks the induction of ΔFosB-mediated neural and behavioral plasticity by chronic drug use, which occurs via H3K9me2-mediated repression of transcription factors for ΔFosB and H3K9me2-mediated repression of various ΔFosB transcriptional targets (e.g., CDK5). ΔFosB also plays an important role in regulating behavioral responses to natural rewards, such as palatable food, sex, and exercise. Since both natural rewards and addictive drugs induce the expression of ΔFosB (i.e., they cause the brain to produce more of it), chronic acquisition of these rewards can result in a similar pathological state of addiction. Consequently, ΔFosB is the most significant factor involved in both amphetamine addiction and amphetamine-induced sexual addictions, which are compulsive sexual behaviors that result from excessive sexual activity and amphetamine use. These sexual addictions are associated with a dopamine dysregulation syndrome which occurs in some patients taking dopaminergic drugs. The effects of amphetamine on gene regulation are both dose- and route-dependent. Most of the research on gene regulation and addiction is based upon animal studies with intravenous amphetamine administration at very high doses. The few studies that have used equivalent (weight-adjusted) human therapeutic doses and oral administration show that these changes, if they occur, are relatively minor. This suggests that medical
indirect activation of both dopamine receptor D1 and adrenoceptor α2 in the prefrontal cortex. A systematic review from 2014 found that low doses of amphetamine also improve memory consolidation, in turn leading to improved recall of information. Therapeutic doses of amphetamine also enhance cortical network efficiency, an effect which mediates improvements in working memory in all individuals. Amphetamine and other ADHD stimulants also improve task saliency (motivation to perform a task) and increase arousal (wakefulness), in turn promoting goal-directed behavior. Stimulants such as amphetamine can improve performance on difficult and boring tasks and are used by some students as a study and test-taking aid. Based upon studies of self-reported illicit stimulant use, of college students use diverted ADHD stimulants, which are primarily used for enhancement of academic performance rather than as recreational drugs. However, high amphetamine doses that are above the therapeutic range can interfere with working memory and other aspects of cognitive control. Physical performance Amphetamine is used by some athletes for its psychological and athletic performance-enhancing effects, such as increased endurance and alertness; however, non-medical amphetamine use is prohibited at sporting events that are regulated by collegiate, national, and international anti-doping agencies. In healthy people at oral therapeutic doses, amphetamine has been shown to increase muscle strength, acceleration, athletic performance in anaerobic conditions, and endurance (i.e., it delays the onset of fatigue), while improving reaction time. Amphetamine improves endurance and reaction time primarily through reuptake inhibition and release of dopamine in the central nervous system. Amphetamine and other dopaminergic drugs also increase power output at fixed levels of perceived exertion by overriding a "safety switch", allowing the core temperature limit to increase in order to access a reserve capacity that is normally off-limits. At therapeutic doses, the adverse effects of amphetamine do not impede athletic performance; however, at much higher doses, amphetamine can induce effects that severely impair performance, such as rapid muscle breakdown and elevated body temperature. Contraindications According to the International Programme on Chemical Safety (IPCS) and the United States Food and Drug Administration (USFDA), amphetamine is contraindicated in people with a history of drug abuse, cardiovascular disease, severe agitation, or severe anxiety. It is also contraindicated in individuals with advanced arteriosclerosis (hardening of the arteries), glaucoma (increased eye pressure), hyperthyroidism (excessive production of thyroid hormone), or moderate to severe hypertension. These agencies indicate that people who have experienced allergic reactions to other stimulants or who are taking monoamine oxidase inhibitors (MAOIs) should not take amphetamine, although safe concurrent use of amphetamine and monoamine oxidase inhibitors has been documented. These agencies also state that anyone with anorexia nervosa, bipolar disorder, depression, hypertension, liver or kidney problems, mania, psychosis, Raynaud's phenomenon, seizures, thyroid problems, tics, or Tourette syndrome should monitor their symptoms while taking amphetamine. Evidence from human studies indicates that therapeutic amphetamine use does not cause developmental abnormalities in the fetus or newborns (i.e., it is not a human teratogen), but amphetamine abuse does pose risks to the fetus. Amphetamine has also been shown to pass into breast milk, so the IPCS and the USFDA advise mothers to avoid breastfeeding when using it. Due to the potential for reversible growth impairments, the USFDA advises monitoring the height and weight of children and adolescents prescribed an amphetamine pharmaceutical. Adverse effects The adverse side effects of amphetamine are many and varied, and the amount of amphetamine used is the primary factor in determining the likelihood and severity of adverse effects. Amphetamine products such as Adderall, Dexedrine, and their generic equivalents are currently approved by the USFDA for long-term therapeutic use. Recreational use of amphetamine generally involves much larger doses, which have a greater risk of serious adverse drug effects than dosages used for therapeutic purposes. Physical Cardiovascular side effects can include hypertension or hypotension from a vasovagal response, Raynaud's phenomenon (reduced blood flow to the hands and feet), and tachycardia (increased heart rate). Sexual side effects in males may include erectile dysfunction, frequent erections, or prolonged erections. Gastrointestinal side effects may include abdominal pain, constipation, diarrhea, and nausea. Other potential physical side effects include appetite loss, blurred vision, dry mouth, excessive grinding of the teeth, nosebleed, profuse sweating, rhinitis medicamentosa (drug-induced nasal congestion), reduced seizure threshold, tics (a type of movement disorder), and weight loss. Dangerous physical side effects are rare at typical pharmaceutical doses. Amphetamine stimulates the medullary respiratory centers, producing faster and deeper breaths. In a normal person at therapeutic doses, this effect is usually not noticeable, but when respiration is already compromised, it may be evident. Amphetamine also induces contraction in the urinary bladder sphincter, the muscle which controls urination, which can result in difficulty urinating. This effect can be useful in treating bed wetting and loss of bladder control. The effects of amphetamine on the gastrointestinal tract are unpredictable. If intestinal activity is high, amphetamine may reduce gastrointestinal motility (the rate at which content moves through the digestive system); however, amphetamine may increase motility when the smooth muscle of the tract is relaxed. Amphetamine also has a slight analgesic effect and can enhance the pain relieving effects of opioids. USFDA-commissioned studies from 2011 indicate that in children, young adults, and adults there is no association between serious adverse cardiovascular events (sudden death, heart attack, and stroke) and the medical use of amphetamine or other ADHD stimulants. However, amphetamine pharmaceuticals are contraindicated in individuals with cardiovascular disease. Psychological At normal therapeutic doses, the most common psychological side effects of amphetamine include increased alertness, apprehension, concentration, initiative, self-confidence and sociability, mood swings (elated mood followed by mildly depressed mood), insomnia or wakefulness, and decreased sense of fatigue. Less common side effects include anxiety, change in libido, grandiosity, irritability, repetitive or obsessive behaviors, and restlessness; these effects depend on the user's personality and current mental state. Amphetamine psychosis (e.g., delusions and paranoia) can occur in heavy users. Although very rare, this psychosis can also occur at therapeutic doses during long-term therapy. According to the USFDA, "there is no systematic evidence" that stimulants produce aggressive behavior or hostility. Amphetamine has also been shown to produce a conditioned place preference in humans taking therapeutic doses, meaning that individuals acquire a preference for spending time in places where they have previously used amphetamine. Reinforcement disorders Addiction Addiction is a serious risk with heavy recreational amphetamine use, but is unlikely to occur from long-term medical use at therapeutic doses; in fact, lifetime stimulant therapy for ADHD that begins during childhood reduces the risk of developing substance use disorders as an adult. Pathological overactivation of the mesolimbic pathway, a dopamine pathway that connects the ventral tegmental area to the nucleus accumbens, plays a central role in amphetamine addiction. Individuals who frequently self-administer high doses of amphetamine have a high risk of developing an amphetamine addiction, since chronic use at high doses gradually increase the level of accumbal ΔFosB, a "molecular switch" and "master control protein" for addiction. Once nucleus accumbens ΔFosB is sufficiently overexpressed, it begins to increase the severity of addictive behavior (i.e., compulsive drug-seeking) with further increases in its expression. While there are currently no effective drugs for treating amphetamine addiction, regularly engaging in sustained aerobic exercise appears to reduce the risk of developing such an addiction. Sustained aerobic exercise on a regular basis also appears to be an effective treatment for amphetamine addiction; exercise therapy improves clinical treatment outcomes and may be used as an adjunct therapy with behavioral therapies for addiction. Biomolecular mechanisms Chronic use of amphetamine at excessive doses causes alterations in gene expression in the mesocorticolimbic projection, which arise through transcriptional and epigenetic mechanisms. The most important transcription factors that produce these alterations are Delta FBJ murine osteosarcoma viral oncogene homolog B (ΔFosB), cAMP response element binding protein (CREB), and nuclear factor-kappa B (NF-κB). ΔFosB is the most significant biomolecular mechanism in addiction because ΔFosB overexpression (i.e., an abnormally high level of gene expression which produces a pronounced gene-related phenotype) in the D1-type medium spiny neurons in the nucleus accumbens is necessary and sufficient for many of the neural adaptations and regulates multiple behavioral effects (e.g., reward sensitization and escalating drug self-administration) involved in addiction. Once ΔFosB is sufficiently overexpressed, it induces an addictive state that becomes increasingly more severe with further increases in ΔFosB expression. It has been implicated in addictions to alcohol, cannabinoids, cocaine, methylphenidate, nicotine, opioids, phencyclidine, propofol, and substituted amphetamines, among others. ΔJunD, a transcription factor, and G9a, a histone methyltransferase enzyme, both oppose the function of ΔFosB and inhibit increases in its expression. Sufficiently overexpressing ΔJunD in the nucleus accumbens with viral vectors can completely block many of the neural and behavioral alterations seen in chronic drug abuse (i.e., the alterations mediated by ΔFosB). Similarly, accumbal G9a hyperexpression results in markedly increased histone 3 lysine residue 9 dimethylation (H3K9me2) and blocks the induction of ΔFosB-mediated neural and behavioral plasticity by chronic drug use, which occurs via H3K9me2-mediated repression of transcription factors for ΔFosB and H3K9me2-mediated repression of various ΔFosB transcriptional targets (e.g., CDK5). ΔFosB also plays an important role in regulating behavioral responses to natural rewards, such as palatable food, sex, and exercise. Since both natural rewards and addictive drugs induce the expression of ΔFosB (i.e., they cause the brain to produce more of it), chronic acquisition of these rewards can result in a similar pathological state of addiction. Consequently, ΔFosB is the most significant factor involved in both amphetamine addiction and amphetamine-induced sexual addictions, which are compulsive sexual behaviors that result from excessive sexual activity and amphetamine use. These sexual addictions are associated with a dopamine dysregulation syndrome which occurs in some patients taking dopaminergic drugs. The effects of amphetamine on gene regulation are both dose- and route-dependent. Most of the research on gene regulation and addiction is based upon animal studies with intravenous amphetamine administration at very high doses. The few studies that have used equivalent (weight-adjusted) human therapeutic doses and oral administration show that these changes, if they occur, are relatively minor. This suggests that medical use of amphetamine does not significantly affect gene regulation. Pharmacological treatments there is no effective pharmacotherapy for amphetamine addiction. Reviews from 2015 and 2016 indicated that TAAR1-selective agonists have significant therapeutic potential as a treatment for psychostimulant addictions; however, the only compounds which are known to function as TAAR1-selective agonists are experimental drugs. Amphetamine addiction is largely mediated through increased activation of dopamine receptors and NMDA receptors in the nucleus accumbens; magnesium ions inhibit NMDA receptors by blocking the receptor calcium channel. One review suggested that, based upon animal testing, pathological (addiction-inducing) psychostimulant use significantly reduces the level of intracellular magnesium throughout the brain. Supplemental magnesium treatment has been shown to reduce amphetamine self-administration (i.e., doses given to oneself) in humans, but it is not an effective monotherapy for amphetamine addiction. A systematic review and meta-analysis from 2019 assessed the efficacy of 17 different pharmacotherapies used in RCTs for amphetamine and methamphetamine addiction; it found only low-strength evidence that methylphenidate might reduce amphetamine or methamphetamine self-administration. There was low- to moderate-strength evidence of no benefit for most of the other medications used in RCTs, which included antidepressants (bupropion, mirtazapine, sertraline), antipsychotics (aripiprazole), anticonvulsants (topiramate, baclofen, gabapentin), naltrexone, varenicline, citicoline, ondansetron, prometa, riluzole, atomoxetine, dextroamphetamine, and modafinil. Behavioral treatments A 2018 systematic review and network meta-analysis of 50 trials involving 12 different psychosocial interventions for amphetamine, methamphetamine, or cocaine addiction found that combination therapy with both contingency management and community reinforcement approach had the highest efficacy (i.e., abstinence rate) and acceptability (i.e., lowest dropout rate). Other treatment modalities examined in the analysis included monotherapy with contingency management or community reinforcement approach, cognitive behavioral therapy, 12-step programs, non-contingent reward-based therapies, psychodynamic therapy, and other combination therapies involving these. Additionally, research on the neurobiological effects of physical exercise suggests that daily aerobic exercise, especially endurance exercise (e.g., marathon running), prevents the development of drug addiction and is an effective adjunct therapy (i.e., a supplemental treatment) for amphetamine addiction. Exercise leads to better treatment outcomes when used as an adjunct treatment, particularly for psychostimulant addictions. In particular, aerobic exercise decreases psychostimulant self-administration, reduces the reinstatement (i.e., relapse) of drug-seeking, and induces increased dopamine receptor D2 (DRD2) density in the striatum. This is the opposite of pathological stimulant use, which induces decreased striatal DRD2 density. One review noted that exercise may also prevent the development of a drug addiction by altering ΔFosB or immunoreactivity in the striatum or other parts of the reward system. Dependence and withdrawal Drug tolerance develops rapidly in amphetamine abuse (i.e., recreational amphetamine use), so periods of extended abuse require increasingly larger doses of the drug in order to achieve the same effect. According to a Cochrane review on withdrawal in individuals who compulsively use amphetamine and methamphetamine, "when chronic heavy users abruptly discontinue amphetamine use, many report a time-limited withdrawal syndrome that occurs within 24 hours of their last dose." This review noted that withdrawal symptoms in chronic, high-dose users are frequent, occurring in roughly 88% of cases, and persist for weeks with a marked "crash" phase occurring during the first week. Amphetamine withdrawal symptoms can include anxiety, drug craving, depressed mood, fatigue, increased appetite, increased movement or decreased movement, lack of motivation, sleeplessness or sleepiness, and lucid dreams. The review indicated that the severity of withdrawal symptoms is positively correlated with the age of the individual and the extent of their dependence. Mild withdrawal symptoms from the discontinuation of amphetamine treatment at therapeutic doses can be avoided by tapering the dose. Overdose An amphetamine overdose can lead to many different symptoms, but is rarely fatal with appropriate care. The severity of overdose symptoms increases with dosage and decreases with drug tolerance to amphetamine. Tolerant individuals have been known to take as much as 5 grams of amphetamine in a day, which is roughly 100 times the maximum daily therapeutic dose. Symptoms of a moderate and extremely large overdose are listed below; fatal amphetamine poisoning usually also involves convulsions and coma. In 2013, overdose on amphetamine, methamphetamine, and other compounds implicated in an "amphetamine use disorder" resulted in an estimated 3,788 deaths worldwide ( deaths, 95% confidence). Toxicity In rodents and primates, sufficiently high doses of amphetamine cause dopaminergic neurotoxicity, or damage to dopamine neurons, which is characterized by dopamine terminal degeneration and reduced transporter and receptor function. There is no evidence that amphetamine is directly neurotoxic in humans. However, large doses of amphetamine may indirectly cause dopaminergic neurotoxicity as a result of hyperpyrexia, the excessive formation of reactive oxygen species, and increased autoxidation of dopamine. Animal models of neurotoxicity from high-dose amphetamine exposure indicate that the occurrence of hyperpyrexia (i.e., core body temperature ≥ 40 °C) is necessary for the development of amphetamine-induced neurotoxicity. Prolonged elevations of brain temperature above 40 °C likely promote the development of amphetamine-induced neurotoxicity in laboratory animals by facilitating the production of reactive oxygen species, disrupting cellular protein function, and transiently increasing blood–brain barrier permeability. Psychosis An amphetamine overdose can result in a stimulant psychosis that may involve a variety of symptoms, such as delusions and paranoia. A Cochrane review on treatment for amphetamine, dextroamphetamine, and methamphetamine psychosis states that about of users fail to recover completely. According to the same review, there is at least one trial that shows antipsychotic medications effectively resolve the symptoms of acute amphetamine psychosis. Psychosis rarely arises from therapeutic use. Drug interactions Many types of substances are known to interact with amphetamine, resulting in altered drug action or metabolism of amphetamine, the interacting substance, or both. Inhibitors of enzymes that metabolize amphetamine (e.g., CYP2D6 and FMO3) will prolong its elimination half-life, meaning that its effects will last longer. Amphetamine also interacts with , particularly monoamine oxidase A inhibitors, since both MAOIs and amphetamine increase plasma catecholamines (i.e., norepinephrine and dopamine); therefore, concurrent use
An asynchronous communication service or application does not require a constant bit rate. Examples are file transfer, email and the World Wide Web. An example of the opposite, a synchronous communication service, is realtime streaming media, for example IP telephony, IP-TV and video conferencing. Electronically mediated communication Electronically mediated communication often happens asynchronously in that the participants do not communicate concurrently. Examples include email and bulletin-board systems, where participants send or post messages at different times. The term "asynchronous communication" acquired currency in the field of online learning, where teachers and students often exchange information asynchronously instead of synchronously (that is, simultaneously), as they would in face-to-face or in telephone conversations. See also Synchronization in telecommunications Asynchronous serial communication Asynchronous system Asynchronous transfer mode (ATM) Asynchronous circuit Asynchrony Anisochronous Baud rate Plesiochronous Plesiochronous Digital
variable bit rate, and that the transmitter and receiver clock generators do not have to be exactly synchronized all the time. In asynchronous transmission, data is sent one byte at a time and each byte is preceded by start bits and stop bits. Physical layer In asynchronous serial communication the physical protocol layer, the data blocks are code words of a certain word length, for example octets (bytes) or ASCII characters, delimited by start bits and stop bits. A variable length space can be inserted between the code words. No bit synchronization signal is required. This is sometimes called character oriented communication. Examples are and MNP2 and V.2 modems and older. Data link layer and higher Asynchronous communication at the data link layer or higher protocol layers is known as statistical multiplexing, for example asynchronous transfer mode (ATM). In this case the asynchronously transferred blocks are called data packets, for example ATM cells. The opposite is circuit switched communication, which provides constant bit rate, for example ISDN and SONET/SDH. The packets may be encapsulated in a data frame, with a frame synchronization bit sequence indicating the start of
since the 4th century, beeing mostly used as an anti personel weapon. However, in the 12th centry, the counterweight trebuchet was introduced, with the earliest mentioning of it being in 1187. The counterweight trebuchet was very powerfull and was used against fortifications, but was ultimatly replaced by gunpowder weapons in the 15th and 16th century. Invention of gunpowder Early Chinese artillery had vase-like shapes. This includes the "long range awe inspiring" cannon dated from 1350 and found in the 14th century Ming Dynasty treatise Huolongjing. With the development of better metallurgy techniques, later cannons abandoned the vase shape of early Chinese artillery. This change can be seen in the bronze "thousand ball thunder cannon", an early example of field artillery. These small, crude weapons diffused into the Middle East (the madfaa) and reached Europe in the 13th century, in a very limited manner. In Asia, Mongols adopted the Chinese artillery and used it effectively in the great conquest. By the late 14th century, Chinese rebels used organized artillery and cavalry to push Mongols out. The usage of cannons in the Mongol invasion of Java, led to deployment of cetbang cannons by Majapahit fleet in 1300s and subsequent near universal use of the swivel-gun and cannons in the Nusantara archipelago. As small smooth-bore tubes, these were initially cast in iron or bronze around a core, with the first drilled bore ordnance recorded in operation near Seville in 1247. They fired lead, iron, or stone balls, sometimes large arrows and on occasions simply handfuls of whatever scrap came to hand. During the Hundred Years' War, these weapons became more common, initially as the bombard and later the cannon. Cannon were always muzzle-loaders. While there were many early attempts at breech-loading designs, a lack of engineering knowledge rendered these even more dangerous to use than muzzle-loaders. Expansion of artillery use In 1415, the Portuguese invaded the Mediterranean port town of Ceuta. While it is difficult to confirm the use of firearms in the siege of the city, it is known the Portuguese defended it thereafter with firearms, namely bombardas, colebratas, and falconetes. In 1419, Sultan Abu Sa'id led an army to reconquer the fallen city, and Marinids brought cannons and used them in the assault on Ceuta. Finally, hand-held firearms and riflemen appear in Morocco, in 1437, in an expedition against the people of Tangiers. It is clear these weapons had developed into several different forms, from small guns to large artillery pieces. The artillery revolution in Europe caught on during the Hundred Years' War and changed the way that battles were fought. In the preceding decades, the English had even used a gunpowder-like weapon in military campaigns against the Scottish. However, at this time, the cannons used in battle were very small and not particularly powerful. Cannons were only useful for the defense of a castle, as demonstrated at Breteuil in 1356, when the besieged English used a cannon to destroy an attacking French assault tower. By the end of the 14th century, cannon were only powerful enough to knock in roofs, and could not penetrate castle walls. However, a major change occurred between 1420 and 1430, when artillery became much more powerful and could now batter strongholds and fortresses quite efficiently. The English, French, and Burgundians all advanced in military technology, and as a result the traditional advantage that went to the defense in a siege was lost. The cannon during this period were elongated, and the recipe for gunpowder was improved to make it three times as powerful as before. These changes led to the increased power in the artillery weapons of the time. Joan of Arc encountered gunpowder weaponry several times. When she led the French against the English at the Battle of Tourelles, in 1430, she faced heavy gunpowder fortifications, and yet her troops prevailed in that battle. In addition, she led assaults against the English-held towns of Jargeau, Meung, and Beaugency, all with the support of large artillery units. When she led the assault on Paris, Joan faced stiff artillery fire, especially from the suburb of St. Denis, which ultimately led to her defeat in this battle. In April 1430, she went to battle against the Burgundians, whose support was purchased by the English. At this time, the Burgundians had the strongest and largest gunpowder arsenal among the European powers, and yet the French, under Joan of Arc's leadership, were able to beat back the Burgundians and defend themselves. As a result, most of the battles of the Hundred Years' War that Joan of Arc participated in were fought with gunpowder artillery. The army of Mehmet the Conqueror, which conquered Constantinople in 1453, included both artillery and foot soldiers armed with gunpowder weapons. The Ottomans brought to the siege sixty-nine guns in fifteen separate batteries and trained them at the walls of the city. The barrage of Ottoman cannon fire lasted forty days, and they are estimated to have fired 19,320 times. Artillery also played a decisive role in the Battle of St. Jakob an der Birs of 1444. Early cannon were not always reliable; King James II of Scotland was killed by the accidental explosion of one of his own cannon, imported from Flanders, at the siege of Roxburgh Castle in 1460. The new Ming Dynasty established the "Divine Engine Battalion" (神机营), which specialized in various types of artillery. Light cannons and cannons with multiple volleys were developed. In a campaign to suppress a local minority rebellion near today's Burmese border, "the Ming army used a 3-line method of arquebuses/muskets to destroy an elephant formation." Ammunition One of the most important roles of logistics is the supply of munitions as a primary type of artillery consumable, their storage (ammunition dump, arsenal, magazine ) and the provision of fuzes, detonators and warheads at the point where artillery troops will assemble the charge, projectile, bomb or shell. A round of artillery ammunition comprises four components: Fuze Projectile Propellant Primer Fuzes Fuzes are the devices that initiate an artillery projectile, either to detonate its High Explosive (HE) filling or eject its cargo (illuminating flare or smoke canisters being examples). The official military spelling is "fuze". Broadly there are four main types: impact (including graze and delay) mechanical time including airburst proximity sensor including airburst programmable electronic detonation including airburst Most artillery fuzes are nose fuzes. However, base fuzes have been used with armour piercing shells and for squash head (High-Explosive Squash Head (HESH) or High Explosive, Plastic (HEP) anti-tank shells. At least one nuclear shell and its non-nuclear spotting version also used a multi-deck mechanical time fuze fitted into its base. Impact fuzes were, and in some armies remain, the standard fuze for HE projectiles. Their default action is normally 'superquick', some have had a 'graze' action which allows them to penetrate light cover and others have 'delay'. Delay fuzes allow the shell to penetrate the ground before exploding. Armor or Concrete-Piercing (AP or CP) fuzes are specially hardened. During World War I and later, ricochet fire with delay or graze fuzed HE shells, fired with a flat angle of descent, was used to achieve airburst. HE shells can be fitted with other fuzes. Airburst fuzes usually have a combined airburst and impact function. However, until the introduction of proximity fuzes, the airburst function was mostly used with cargo munitions—for example, shrapnel, illumination, and smoke. The larger calibers of anti-aircraft artillery are almost always used airburst. Airburst fuzes have to have the fuze length (running time) set on them. This is done just before firing using either a wrench or a fuze setter pre-set to the required fuze length. Early airburst fuzes used igniferous timers which lasted into the second half of the 20th century. Mechanical time fuzes appeared in the early part of the century. These required a means of powering them. The Thiel mechanism used a spring and escapement (i.e. 'clockwork'), Junghans used centrifugal force and gears, and Dixi used centrifugal force and balls. From about 1980, electronic time fuzes started replacing mechanical ones for use with cargo munitions. Proximity fuzes have been of two types: photo-electric or radar. The former was not very successful and seems only to have been used with British anti-aircraft artillery 'unrotated projectiles' (rockets) in World War II. Radar proximity fuzes were a big improvement over the mechanical (time) fuzes which they replaced. Mechanical time fuzes required an accurate calculation of their running time, which was affected by non-standard conditions. With HE (requiring a burst 20 to above the ground), if this was very slightly wrong the rounds would either hit the ground or burst too high. Accurate running time was less important with cargo munitions that burst much higher. The first radar proximity fuzes (perhaps originally codenamed 'VT' and later called Variable Time (VT)) were invented by the British and developed by the US and initially used against aircraft in World War II. Their ground use was delayed for fear of the enemy recovering 'blinds' (artillery shells which failed to detonate) and copying the fuze. The first proximity fuzes were designed to detonate about above the ground. These air-bursts are much more lethal against personnel than ground bursts because they deliver a greater proportion of useful fragments and deliver them into terrain where a prone soldier would be protected from ground bursts. However, proximity fuzes can suffer premature detonation because of the moisture in heavy rain clouds. This led to 'Controlled Variable Time' (CVT) after World War II. These fuzes have a mechanical timer that switched on the radar about 5 seconds before expected impact, they also detonated on impact. The proximity fuze emerged on the battlefields of Europe in late December 1944. They have become known as the U.S. Artillery's "Christmas present", and were much appreciated when they arrived during the Battle of the Bulge. They were also used to great effect in anti-aircraft projectiles in the Pacific against kamikaze as well as in Britain against V-1 flying bombs. Electronic multi-function fuzes started to appear around 1980. Using solid-state electronics they were relatively cheap and reliable, and became the standard fitted fuze in operational ammunition stocks in some western armies. The early versions were often limited to proximity airburst, albeit with height of burst options, and impact. Some offered a go/no-go functional test through the fuze setter. Later versions introduced induction fuze setting and testing instead of physically placing a fuze setter on the fuze. The latest, such as Junghan's DM84U provide options giving, superquick, delay, a choice of proximity heights of burst, time and a choice of foliage penetration depths. A new type of artillery fuze will appear soon. In addition to other functions these offer some course correction capability, not full precision but sufficient to significantly reduce the dispersion of the shells on the ground. Projectiles The projectile is the munition or "bullet" fired downrange. This may or may not be an explosive device. Traditionally, projectiles have been classified as "shot" or "shell", the former being solid and the latter having some form of "payload". Shells can also be divided into three configurations: bursting, base ejection or nose ejection. The latter is sometimes called the shrapnel configuration. The most modern is base ejection, which was introduced in World War I. Both base and nose ejection are almost always used with airburst fuzes. Bursting shells use various types of fuze depending on the nature of the payload and the tactical need at the time. Payloads have included: Bursting: high-explosive, White Phosphorus (WP) ("Willie Pete" or "Wilson Picket"), coloured marker, chemical, nuclear devices; High-Explosive Anti-Tank (HEAT) and canister may be considered special types of bursting shell. Nose Ejection: shrapnel, star, incendiary and flechette (a more modern version of shrapnel). Base Ejection: Dual-Purpose Improved Conventional Munition (DPICM)-bomblets, which arm themselves and function after a set number of rotations after having been ejected from the projectile (this produces unexploded sub-munitions, or "duds", which remain dangerous), scatterable mines, illuminating, coloured flare, smoke, incendiary, propaganda, chaff (foil to jam radars) and modern exotics such as electronic payloads and sensor-fuzed munitions. Stabilization Rifled Traditionally, artillery projectiles have been spin-stabilised, meaning that they spin in flight so that gyroscopic forces prevent them from tumbling. Spin is induced by gun barrels having rifling which engages a soft metal band around the projectile, called a "driving band" (UK) or "rotating band" (U.S.). The driving band is usually made of copper, but synthetic materials have also been used. Smoothbore/Fin-Stabilized In modern artillery, smoothbore tubes have been used mostly by mortars. These projectiles use fins in the airflow at their rear to maintain correct orientation. The primary benefits over rifled barrels is reduced barrel wear, longer ranges that can be achieved (due to the reduced loss of energy to friction and gas escaping around the projectile via the rifling) and larger explosive cores for a given caliber artillery due to less metal needing to be used to form the case of the projectile because of less force applied to the shell from the non-rifled sides of the barrel of smooth bore guns. Rifled/Fin-Stabilized A combination of the above can be used, where the barrel is rifled, but the projectile also has deployable fins for stabilization, guidance or gliding. Propellant Most forms of artillery require a propellant to propel the projectile at the target. Propellant is always a low explosive, this means it deflagrates instead of detonating, as with high explosives. The shell is accelerated to a high velocity in a very short time by the rapid generation of gas from the burning propellant. This high pressure is achieved by burning the propellant in a contained area, either the chamber of a gun barrel or the combustion chamber of a rocket motor. Until the late 19th century, the only available propellant was black powder. Black powder had many disadvantages as a propellant; it has relatively low power, requiring large amounts of powder to fire projectiles, and created thick clouds of white smoke that would obscure the targets, betray the positions of guns, and make aiming impossible. In 1846, nitrocellulose (also known as guncotton) was discovered, and the high explosive nitroglycerin was discovered at nearly the same time. Nitrocellulose was significantly more powerful than black powder, and was smokeless. Early guncotton was unstable, however, and burned very fast and hot, leading to greatly increased barrel wear. Widespread introduction of smokeless powder would wait until the advent of the double-base powders, which combine nitrocellulose and nitroglycerin to produce powerful, smokeless, stable propellant. Many other formulations were developed in the following decades, generally trying to find the optimum characteristics of a good artillery propellant; low temperature, high energy, non-corrosive, highly stable, cheap, and easy to manufacture in large quantities. Broadly, modern gun propellants are divided into three classes: single-base propellants which are mainly or entirely nitrocellulose based, double-base propellants composed of a combination of nitrocellulose and nitroglycerin, and triple base composed of a combination of nitrocellulose and nitroglycerin and Nitroguanidine. Artillery shells fired from a barrel can be assisted to greater range in three ways: Rocket-Assisted Projectiles (RAP) enhance and sustain the projectile's velocity by providing additional 'push' from a small rocket motor that is part of the projectile's base. Base bleed uses a small pyrotechnic charge at the base of the projectile to introduce sufficient combustion products into the low-pressure region behind the base of the projectile responsible for a large proportion of the drag. ramjet-assisted, similar to rocket-assisted, but using a ramjet instead of a rocket motor; it is anticipated that a ramjet-assisted 120-mm mortar shell could reach a range of . Propelling charges for tube artillery can be provided in one of two ways: either as cartridge bags or in metal cartridge cases. Generally, anti-aircraft artillery and smaller-caliber (up to 3" or 76.2 mm) guns use metal cartridge cases that include the round and propellant, similar to a modern rifle cartridge. This simplifies loading and is necessary for very high rates of fire. Bagged propellant allows the amount of powder to be raised or lowered, depending on the range to the target. It also makes handling of larger shells easier. Each requires a totally different type of breech to the other. A metal case holds an integral primer to initiate the propellant and provides the gas seal to prevent the gases leaking out of the breech; this is called obturation. With bagged charges, the breech itself provides obturation and holds the primer. In either case, the primer is usually percussion, but electrical is also used, and laser ignition is emerging. Modern 155 mm guns have a primer magazine fitted to their breech. Artillery ammunition has four classifications according to use: Service: ammunition used in live fire training or for wartime use in a combat zone. Also known as "warshot" ammunition. Practice: Ammunition with a non- or minimally-explosive projectile that mimics the characteristics (range, accuracy) of live rounds for use under training conditions. Practice artillery ammunition often utilizes a colored-smoke-generating bursting charge for marking purposes in place of the normal high-explosive charge. Dummy: Ammunition with an inert warhead, inert primer, and no propellant; used for training or display. Blank: Ammunition with live primer, greatly reduced propellant charge (typically black powder), and no projectile; used for training, demonstration or ceremonial use. Field artillery system Because modern field artillery mostly uses indirect fire the guns have to be part of a system that enables them to attack targets invisible to them in accordance with the combined arms plan. The main functions in the field artillery system are: Communications Command: authority to allocate resources; Target acquisition: detect, identify and deduce the location of targets; Control: authority to decide which targets to attack and allot fire units to the attack; Computation of firing data – to deliver fire from a fire unit onto its target; Fire units: guns, launchers or mortars grouped together; Specialist services: produce data to support the production of accurate firing data; Logistic services: to provide combat supplies, particularly ammunition, and equipment support. All these calculations to produce a quadrant elevation (or range) and azimuth were done manually using instruments, tabulated, data of the moment, and approximations until battlefield computers started appearing in the 1960s and 1970s. While some early calculators copied the manual method (typically substituting polynomials for tabulated data), computers use a different approach. They simulate a shell's trajectory by 'flying' it in short steps and applying data about the conditions affecting the trajectory at each step. This simulation is repeated until it produces a quadrant elevation and azimuth that lands the shell within the required 'closing' distance of the target coordinates. NATO has a standard ballistic model for computer calculations and has expanded the scope of this into the NATO Armaments Ballistic Kernel (NABK) within the SG2 Shareable (Fire Control) Software Suite (S4). Logistics Supply of artillery ammunition has always been a major component of military logistics. Up until World War I some armies made artillery responsible for all forward ammunition supply because the load of small arms ammunition was trivial compared to artillery. Different armies use different approaches to ammunition supply, which can vary with the nature of operations. Differences include where the logistic service transfers artillery ammunition to artillery, the amount of ammunition carried in units and extent to which stocks are held at unit or battery level. A key difference is whether supply is 'push' or 'pull'. In the former the 'pipeline' keeps pushing
destructive power. Modern coastal artillery (for example, Russia's "Bereg" system) is often self-propelled, (allowing it to avoid counter-battery fire) and fully integrated, meaning that each battery has all of the support systems that it requires (maintenance, targeting radar, etc.) organic to its unit. Aircraft artillery: Large-caliber guns mounted on attack aircraft, typically slow-flying gunships. Nuclear artillery: Artillery with nuclear weapons. Modern field artillery can also be split into two other subcategories: towed and self-propelled. As the name suggests, towed artillery has a prime mover, usually an artillery tractor or truck, to move the piece, crew, and ammunition around. Towed artillery is in some cases equipped with an APU for small displacements. Self-propelled artillery is permanently mounted on a carriage or vehicle with room for the crew and ammunition and is thus capable of moving quickly from one firing position to another, both to support the fluid nature of modern combat and to avoid counter-battery fire. It includes mortar carrier vehicles, many of which allow the mortar to be removed from the vehicle and be used dismounted, potentially in terrain in which the vehicle cannot navigate, or in order to avoid detection. Organizational types At the beginning of the modern artillery period, the late 19th century, many armies had three main types of artillery, in some case they were sub-branches within the artillery branch in others they were separate branches or corps. There were also other types excluding the armament fitted to warships: Horse artillery, first formed as regular units in the late 18th century, with the role of supporting cavalry, they were distinguished by the entire crew being mounted. Field or "foot" artillery, the main artillery arm of the field army, using either guns, howitzers, or mortars. In World War II this branch again started using rockets and later surface to surface missiles. Fortress or garrison artillery, operated a nation's fixed defences using guns, howitzers or mortars, either on land or coastal frontiers. Some had deployable elements to provide heavy artillery to the field army. In some nations coast defence artillery was a naval responsibility. Mountain artillery, a few nations treated mountain artillery as a separate branch, in others it was a speciality in another artillery branch. They used light guns or howitzers, usually designed for pack animal transport and easily broken down into small easily handled loads Naval artillery, some nations carried pack artillery on some warships, these were used and manhandled by naval (or marine) landing parties. At times, part of a ship's armament would be unshipped and mated to makeshift carriages and limbers for actions ashore, for example during the Second Boer War, during the First World War the guns from the stricken SMS Königsberg formed the main artillery strength of the German forces in East Africa. After World War I many nations merged these different artillery branches, in some cases keeping some as sub-branches. Naval artillery disappeared apart from that belonging to marines. However, two new branches of artillery emerged during that war and its aftermath, both used specialised guns (and a few rockets) and used direct not indirect fire, in the 1950s and 1960s both started to make extensive use of missiles: Anti-tank artillery, also under various organisational arrangements but typically either field artillery or a specialist branch and additional elements integral to infantry, etc., units. However, in most armies field and anti-aircraft artillery also had at least a secondary anti-tank role. After World War II anti-tank in Western armies became mostly the responsibility of infantry and armoured branches and ceased to be an artillery matter, with some exceptions. Anti-aircraft artillery, under various organisational arrangements including being part of artillery, a separate corps, even a separate service or being split between army for the field and airforce for home defence. In some cases infantry and the new armoured corps also operated their own integral light anti-aircraft artillery. Home defence anti-aircraft artillery often used fixed as well as mobile mountings. Some anti-aircraft guns could also be used as field or anti-tank artillery, providing they had suitable sights. However, the general switch by artillery to indirect fire before and during World War I led to a reaction in some armies. The result was accompanying or infantry guns. These were usually small, short range guns, that could be easily man-handled and used mostly for direct fire but some could use indirect fire. Some were operated by the artillery branch but under command of the supported unit. In World War II they were joined by self-propelled assault guns, although other armies adopted infantry or close support tanks in armoured branch units for the same purpose, subsequently tanks generally took on the accompanying role. Equipment types The three main types of artillery "gun" are guns, howitzers, and mortars. During the 20th century, guns and howitzers have steadily merged in artillery use, making a distinction between the terms somewhat meaningless. By the end of the 20th century, true guns with calibers larger than about 60 mm have become very rare in artillery use, the main users being tanks, ships, and a few residual anti-aircraft and coastal guns. The term "cannon" is a United States generic term that includes guns, howitzers, and mortars; it is not used in other English speaking armies. The traditional definitions differentiated between guns and howitzers in terms of maximum elevation (well less than 45° as opposed to close to or greater than 45°), number of charges (one or more than one charge), and having higher or lower muzzle velocity, sometimes indicated by barrel length. These three criteria give eight possible combinations, of which guns and howitzers are but two. However, modern "howitzers" have higher velocities and longer barrels than the equivalent "guns" of the first half of the 20th century. True guns are characterized by long range, having a maximum elevation significantly less than 45°, a high muzzle velocity and hence a relatively long barrel, smooth bore (no rifling) and a single charge. The latter often led to fixed ammunition where the projectile is locked to the cartridge case. There is no generally accepted minimum muzzle velocity or barrel length associated with a gun. Howitzers can fire at maximum elevations at least close to 45°; elevations up to about 70° are normal for modern howitzers. Howitzers also have a choice of charges, meaning that the same elevation angle of fire will achieve a different range depending on the charge used. They have rifled bores, lower muzzle velocities and shorter barrels than equivalent guns. All this means they can deliver fire with a steep angle of descent. Because of their multi-charge capability, their ammunition is mostly separate loading (the projectile and propellant are loaded separately). That leaves six combinations of the three criteria, some of which have been termed gun howitzers. A term first used in the 1930s when howitzers with a relatively high maximum muzzle velocities were introduced, it never became widely accepted, most armies electing to widen the definition of "gun" or "howitzer". By the 1960s, most equipments had maximum elevations up to about 70°, were multi-charge, had quite high maximum muzzle velocities and relatively long barrels. Mortars are simpler. The modern mortar originated in World War I and there were several patterns. After that war, most mortars settled on the Stokes pattern, characterized by a short barrel, smooth bore, low muzzle velocity, elevation angle of firing generally greater than 45°, and a very simple and light mounting using a "baseplate" on the ground. The projectile with its integral propelling charge was dropped down the barrel from the muzzle to hit a fixed firing pin. Since that time, a few mortars have become rifled and adopted breech loading. There are other recognized typifying characteristics for artillery. One such characteristic is the type of obturation used to seal the chamber and prevent gases escaping through the breech. This may use a metal cartridge case that also holds the propelling charge, a configuration called "QF" or "quickfiring" by some nations. The alternative does not use a metal cartridge case, the propellant being merely bagged or in combustible cases with the breech itself providing all the sealing. This is called "BL" or "breech loading" by some nations. A second characteristic is the form of propulsion. Modern equipment can either be towed or self-propelled (SP). A towed gun fires from the ground and any inherent protection is limited to a gun shield. Towing by horse teams lasted throughout World War II in some armies, but others were fully mechanized with wheeled or tracked gun towing vehicles by the outbreak of that war. The size of a towing vehicle depends on the weight of the equipment and the amount of ammunition it has to carry. A variation of towed is portee, where the vehicle carries the gun which is dismounted for firing. Mortars are often carried this way. A mortar is sometimes carried in an armored vehicle and can either fire from it or be dismounted to fire from the ground. Since the early 1960s it has been possible to carry lighter towed guns and most mortars by helicopter. Even before that, they were parachuted or landed by glider from the time of the first airborne trials in the USSR in the 1930s. In an SP equipment, the gun is an integral part of the vehicle that carries it. SPs first appeared during World War I, but did not really develop until World War II. They are mostly tracked vehicles, but wheeled SPs started to appear in the 1970s. Some SPs have no armor and carry few or no other weapons and ammunition. Armoured SPs usually carry a useful ammunition load. Early armoured SPs were mostly a "casemate" configuration, in essence an open top armored box offering only limited traverse. However, most modern armored SPs have a full enclosed armored turret, usually giving full traverse for the gun. Many SPs cannot fire without deploying stabilizers or spades, sometimes hydraulic. A few SPs are designed so that the recoil forces of the gun are transferred directly onto the ground through a baseplate. A few towed guns have been given limited self-propulsion by means of an auxiliary engine. Two other forms of tactical propulsion were used in the first half of the 20th century: Railways or transporting the equipment by road, as two or three separate loads, with disassembly and re-assembly at the beginning and end of the journey. Railway artillery took two forms, railway mountings for heavy and super-heavy guns and howitzers and armored trains as "fighting vehicles" armed with light artillery in a direct fire role. Disassembled transport was also used with heavy and super heavy weapons and lasted into the 1950s. Caliber categories A third form of artillery typing is to classify it as "light", "medium", "heavy" and various other terms. It appears to have been introduced in World War I, which spawned a very wide array of artillery in all sorts of sizes so a simple categorical system was needed. Some armies defined these categories by bands of calibers. Different bands were used for different types of weapons—field guns, mortars, anti-aircraft guns and coastal guns. Modern operations List of countries in order of amount of artillery: Russia – 26,121 North Korea – 17,900+ China – 17,700+ India – 11,258+ South Korea – 10,774+ United States – 8,137 Turkey – 7,450+ Israel – 5,432 Egypt – 4,480 Pakistan – 4,291+ Syria – 3,805+ Iran – 3,668+ Algeria – 3,465 Jordan – 2,339 Iraq – 2,300+ Finland – 1,398 Brazil – 900 Cameroon – 883 Morocco – 848 Hungary – 835 France – 758 Artillery is used in a variety of roles depending on its type and caliber. The general role of artillery is to provide fire support—"the application of fire, coordinated with the manoeuvre of forces to destroy, neutralize or suppress the enemy". This NATO definition makes artillery a supporting arm although not all NATO armies agree with this logic. The italicised terms are NATO's. Unlike rockets, guns (or howitzers as some armies still call them) and mortars are suitable for delivering close supporting fire. However, they are all suitable for providing deep supporting fire although the limited range of many mortars tends to exclude them from the role. Their control arrangements and limited range also mean that mortars are most suited to direct supporting fire. Guns are used either for this or general supporting fire while rockets are mostly used for the latter. However, lighter rockets may be used for direct fire support. These rules of thumb apply to NATO armies. Modern mortars, because of their lighter weight and simpler, more transportable design, are usually an integral part of infantry and, in some armies, armor units. This means they generally do not have to concentrate their fire so their shorter range is not a disadvantage. Some armies also consider infantry operated mortars to be more responsive than artillery, but this is a function of the control arrangements and not the case in all armies. However, mortars have always been used by artillery units and remain with them in many armies, including a few in NATO. In NATO armies artillery is usually assigned a tactical mission that establishes its relationship and responsibilities to the formation or units it is assigned to. It seems that not all NATO nations use the terms and outside NATO others are probably used. The standard terms are: direct support, general support, general support reinforcing and reinforcing. These tactical missions are in the context of the command authority: operational command, operational control, tactical command or tactical control. In NATO direct support generally means that the directly supporting artillery unit provides observers and liaison to the manoeuvre troops being supported, typically an artillery battalion or equivalent is assigned to a brigade and its batteries to the brigade's battalions. However, some armies achieve this by placing the assigned artillery units under command of the directly supported formation. Nevertheless, the batteries' fire can be concentrated onto a single target, as can the fire of units in range and with the other tactical missions. Application of fire There are several dimensions to this subject. The first is the notion that fire may be against an opportunity target or may be prearranged. If it is the latter it may be either on-call or scheduled. Prearranged targets may be part of a fire plan. Fire may be either observed or unobserved, if the former it may be adjusted, if the latter then it has to be predicted. Observation of adjusted fire may be directly by a forward observer or indirectly via some other target acquisition system. NATO also recognises several different types of fire support for tactical purposes: Counterbattery fire: delivered for the purpose of destroying or neutralizing the enemy's fire support system. Counterpreparation fire: intensive prearranged fire delivered when the imminence of the enemy attack is discovered. Covering fire: used to protect troops when they are within range of enemy small arms. Defensive fire: delivered by supporting units to assist and protect a unit engaged in a defensive action. Final Protective Fire: an immediately available prearranged barrier of fire designed to impede enemy movement across defensive lines or areas. Harassing fire: a random number of shells are fired at random intervals, without any pattern to it that the enemy can predict. This process is designed to hinder enemy forces' movement, and, by the constantly imposed stress, threat of losses and inability of enemy forces to relax or sleep, lowers their morale. Interdiction fire: placed on an area or point to prevent the enemy from using the area or point. Preparation fire: delivered before an attack to weaken the enemy position. These purposes have existed for most of the 20th century, although their definitions have evolved and will continue to do so, lack of suppression in counterbattery is an omission. Broadly they can be defined as either: Deep supporting fire: directed at objectives not in the immediate vicinity of own force, for neutralizing or destroying enemy reserves and weapons, and interfering with enemy command, supply, communications and observation; or Close supporting fire: placed on enemy troops, weapons or positions which, because of their proximity present the most immediate and serious threat to the supported unit. Two other NATO terms also need definition: Neutralization fire: delivered to render a target temporarily ineffective or unusable; and Suppression fire: that degrades the performance of a target below the level needed to fulfill its mission. Suppression is usually only effective for the duration of the fire. The tactical purposes also include various "mission verbs", a rapidly expanding subject with the modern concept of "effects based operations". Targeting is the process of selecting target and matching the appropriate response to them taking account of operational requirements and capabilities. It requires consideration of the type of fire support required and the extent of coordination with the supported arm. It involves decisions about: what effects are required, for example, neutralization or suppression; the proximity of and risks to own troops or non-combatants; what types of munitions, including their fuzing, are to be used and in what quantities; when the targets should be attacked and possibly for how long; what methods should be used, for example, converged or distributed, whether adjustment is permissible or surprise essential, the need for special procedures such as precision or danger close how many fire units are needed and which ones they should be from those that are available (in range, with the required munitions type and quantity, not allotted to another target, have the most suitable line of fire if there is a risk to own troops or non-combatants); The targeting process is the key aspect of tactical fire control. Depending on the circumstances and national procedures it may all be undertaken in one place or may be distributed. In armies practicing control from the front, most of the process may be undertaken by a forward observer or other target acquirer. This is particularly the case for a smaller target requiring only a few fire units. The extent to which the process is formal or informal and makes use of computer based systems, documented norms or experience and judgement also varies widely armies and other circumstances. Surprise may be essential or irrelevant. It depends on what effects are required and whether or not the target is likely to move or quickly improve its protective posture. During World War II UK researchers concluded that for impact fuzed munitions the relative risk were as follows: men standing – 1 men lying – 1/3 men firing from trenches – 1/15–1/50 men crouching in trenches – 1/25–1/100 Airburst munitions significantly increase the relative risk for lying men, etc. Historically most casualties occur in the first 10–15 seconds of fire, i.e. the time needed to react and improve protective posture, however, this is less relevant if airburst is used. There are several ways of making best use of this brief window of maximum vulnerability: ordering the guns to fire together, either by executive order or by a "fire at" time. The disadvantage is that if the fire is concentrated from many dispersed fire units then there will be different times of flight and the first rounds will be spread in time. To some extent a large concentration offsets the problem because it may mean that only one round is required from each gun and most of these could arrive in the 15 second window. burst fire, a rate of fire to deliver three rounds from each gun within 10 or 15 seconds, this reduces the number of guns and hence fire units needed, which means they may be less dispersed and have less variation in their times of flight. Smaller caliber guns, such as 105 mm, have always been able to deliver three rounds in 15 seconds, larger calibers firing fixed rounds could also do it but it wasn't until the 1970s that a multi-charge 155 mm howitzer, FH-70 first gained the capability. multiple round simultaneous impact (MRSI), where a single weapon or multiple individual weapons fire multiple rounds at differing trajectories so that all rounds arrive on target at the same time. time on target, fire units fire at the time less their time of flight, this works well with prearranged scheduled fire but is less satisfactory for opportunity targets because it means delaying the delivery of fire by selecting a 'safe' time that all or most fire units can achieve. It can be used with both the previous two methods. Counter-battery fire Modern counter-battery fire developed in World War I, with the objective of defeating the enemy's artillery. Typically such fire was used to suppress enemy batteries when they were or were
crowned his illegitimate son Zwentibold as the king of Lotharingia. Wars with Moravia As early as 880 Arnulf had designs on Great Moravia, and had the Frankish bishop Wiching of Nitra interfere with the missionary activities of the Eastern Orthodox priest Methodius, with the aim of preventing any potential for creating a unified Moravian state. Arnulf had formal relations with the ruler of the Moravian Kingdom, Svatopluk, using them to learn the latter's military and political secrets. Later, these tactics were used to occupy the territory of the Greater Moravian state. Arnulf failed to conquer the whole of Great Moravia in wars of 892, 893, and 899. Yet Arnulf did achieve some successes, in particular in 895, when the Duchy of Bohemia broke away from Great Moravia and became his vassal state. An accord was reached between him and Duke of Bohemia Borivoj I (reigned 870–95). Bohemia was thus freed from the dangers of Frankish invasion. In 893 or 894 Great Moravia probably lost a part of its territory — present-day Western Hungary — to him. As a reward, Wiching became Arnulf's chancellor in 892. In his attempts to conquer Moravia, in 899 Arnulf reached out to Magyars who had settled in Pannonia, and with their help he imposed a measure of control over Moravia. King of Italy and Holy Roman Emperor In Italy Guy III of Spoleto and Berengar of Friuli fought over the Iron Crown of Lombardy. Berengar had been crowned king in 887, but Guy was then crowned in 889. While Pope Stephen V supported Guy, even crowning him Roman Emperor in 891, Arnulf threw his support behind Berengar. In 893 the new Pope Formosus, not trusting the newly crowned co-emperors Guy III of Spoleto and his son Lambert II of Spoleto, sent an embassy to Omuntesberch, where Arnulf was meeting with Svatopluk I of Moravia, to request that Arnulf come and liberate Italy, where he would be crowned emperor in Rome. Arnulf met the Primores of the Kingdom of Italy, dismissed them with gifts and promised to assist the pope. Arnulf then sent his son Zwentibold with a Bavarian army to join Berengar of Friuli. They defeated Guy, but were bought off and left in autumn. When Pope Formosus again asked Arnulf to invade, the duke personally led an army across the Alps early in 894. In January 894 Bergamo fell, and Count Ambrose, Guy's representative in the city, was hung from a tree by the city's gates. Conquering all of the territory north of the Po River, Arnulf forced the surrender of Milan and then drove Guy out of Pavia, where he was crowned King of Italy. Arnulf went no further before Guy died suddenly in late autumn, and a fever incapacitated his troops. His march northward through the Alps was interrupted by Rudolph I of Burgundy, and it was only with great difficulty that Arnulf crossed the mountain range. In retaliation, Arnulf ordered his illegitimate son Zwentibold to ravage Rudolph's kingdom. In the meantime, Lambert and his mother Ageltrude travelled to Rome to receive papal confirmation of his imperial succession, but when Pope Formosus, still desiring to crown Arnulf, refused, he was imprisoned in Castel Sant'Angelo. In September 895 a new papal embassy arrived in Regensburg beseeching Arnulf's aid. In October Arnulf undertook his second campaign into Italy. He crossed the Alps quickly and again, took Pavia, but then he continued slowly, garnering support among the nobility of Tuscany. First Maginulf, Count of Milan, and then Walfred of Friuli, joined him. Eventually even Adalbert II of Tuscany abandoned Lambert. Finding Rome locked against him and held by Ageltrude, Arnulf had to take the city by force on 21 February, 896, freeing the pope. Arnulf was then greeted at the Ponte Milvio by the Roman Senate who escorted him into the Leonine City, where he was received by Pope Formosus on the steps of the Santi Apostoli. On 22 February 896 Formosus led the king into the church of St. Peter, anointed and crowned him as emperor, and saluted him as Augustus. Arnulf then proceeded to the Basilica of Saint Paul Outside the Walls, where he received the homage of the Roman people, who swore "never to hand over the city to Lambert or his mother Ageltrude". Arnulf then proceeded to exile to Bavaria two leading senators, Constantine and Stephen, who had helped Ageltrude to seize Rome. Leaving one of his vassals, Farold, to hold Rome, two weeks later Arnulf marched on Spoleto, where Ageltrude had fled to join Lambert, but now Arnulf suffered a stroke, forcing him to call off the campaign and return to Bavaria. Rumours of the time made Arnulf's condition to be a result of poisoning at the hand of Ageltrude. Arnulf retained power in Italy only as long as he was personally there. On his way north, he stopped at Pavia where he crowned his illegitimate son Ratold, as sub-King of Italy, after which he left Ratold in Milan in an attempt to preserve his hold on Italy. That same year Pope Formosus died, leaving Lambert once again in power, and both he and Berengar proceeded to kill any officials who had been appointed by Arnulf, forcing Ratold to flee from Milan to Bavaria. For the rest of his life Arnulf exercised very little control in Italy, and his agents in Rome did not prevent the accession of Pope Stephen VI in 896. The Pope initially gave his support to Arnulf, but eventually became a supporter of Lambert. Final years After 896 Arnulf's health – besides suffering a stroke he had morbus pediculosis, viz., infestation of pubic lice of the eyelid – prevented him
Duchy of Bavaria. Regional ruler After King Carloman was incapacitated by a stroke in 879, Louis the Younger inherited Bavaria, Charles the Fat was given the Kingdom of Italy and Arnulf was confirmed in Carinthia by an agreement with Carloman. However, Bavaria was more or less ruled by Arnulf. Arnulf already ruled Bavaria during the summer and autumn of 879 while his father arranged his succession and he himself was granted "Pannonia," in the words of the Annales Fuldenses, or "Carantanum," in the words of Regino of Prüm. The division of the realm was confirmed in 880 after Carloman's death. When Engelschalk II of Pannonia in 882 rebelled against Aribo, Margrave of Pannonia and ignited the Wilhelminer War, Arnulf supported him and accepted his and his brother's homage. This ruined Arnulf's relationship with his uncle the Emperor and put him at war with Svatopluk of Moravia. Pannonia was invaded, but Arnulf refused to give up the young Wilhelminers. Arnulf did not make peace with Svatopluk until late 885, by which time the Moravian ruler was loyal to the emperor. Some scholars see this war as destroying Arnulf's hopes of succeeding Charles the Fat. King of East Francia Arnulf took the leading role in the deposition of his uncle, Emperor Charles the Fat. With the support of the Frankish nobles, Arnulf called a Diet at Tribur and deposed Charles in November 887, under threat of military action. Charles peacefully agreed to this involuntary retirement, but not without first chastising his nephew for his treachery and asking for a few royal villas in Swabia, which Arnulf granted him, on which to live out his final months. Arnulf, having distinguished himself in the war against the Slavs, was then elected king by the nobles of East Francia (only the eastern realm, though Charles had ruled the whole of the Frankish Empire). West Francia, the Kingdom of Burgundy and the Kingdom of Italy at this point elected their own kings from the Carolingian family. Like all early Germanic rulers, he was heavily involved in ecclesiastical disputes. In 895, at the Diet of Tribur, he presided over a dispute between the Episcopal sees of Bremen, Hamburg and Cologne over jurisdictional authority, which saw Bremen and Hamburg remain a combined see, independent of the see of Cologne. Arnulf was a fighter, not a negotiator. In 890 he was successfully battling Slavs in Pannonia. In early/mid-891, Vikings invaded Lotharingia, and crushed an East Frankish army at Maastricht. Terms such as "Vikings", "Danes", "Northmen" and "Norwegians" have been used loosely and interchangeably to describe these invaders. At the subsequent Battle of Leuven (September 891), in Lotharingia, Arnulf repelled the Vikings, and essentially ended their attacks on that front. The Annales Fuldenses report that there were so many dead Northmen that their bodies blocked the run of the river. After this victory Arnulf built a new castle on an island in the Dijle river (Dutch: Dijle, English and French: Dyle). Intervention in West Francia Arnulf took advantage of the problems in West Francia after the death of Charles the Fat to secure the territory of Lotharingia, which he converted into a kingdom for his son Zwentibold. In 889 Arnulf supported the claim of Louis the Blind to the kingdom of Provence, after receiving a personal appeal from Louis' mother, Ermengard, who came to see Arnulf at Forchheim in May 889. Recognising the superiority of Arnulf's position, in 888 king Odo of France formally accepted the suzerainty of Arnulf. In 893 Arnulf switched his support from Odo to Charles the Simple after being persuaded by Fulk, Archbishop of Reims, that it was in his best interests. Arnulf then took advantage of the following fighting between Odo and Charles in 894, harrying some territories of West Francia. At one point, Charles the Simple was forced to flee to Arnulf and ask for his protection. His intervention soon forced Pope Formosus to get involved, as he was worried that a divided and war weary West Francia would be easy prey
the Berlin wall, socialist urban planning and architecture of the 1970s no longer corresponded to the current ideas of an inner-city square. Investors demanded planning security for their construction projects. After initial discussions with the public, the goal quickly arose to reinstate Alexanderplatz's tram network for better connections to surrounding city quarters. In 1993, an urban planning ideas competition for architects took place to redesign the square and its surrounding area. In the first phase, there were 16 submissions, five of which were selected for the second phase of the competition. These five architects had to adapt their plans to detailed requirements. For example, the return of the Alex's trams was planned, with the implementation to be made in several stages. The winner, who was determined on 17 September 1993, was the Berlin architect Hans Kollhoff. Kollhoff's plan was based on Behrens’ design, provided a horseshoe-shaped area of seven- to eight-storey buildings and 150-meter-high towers with 42 floors. The Alexanderhaus and the Berolinahaus – both listed buildings – would form the southwestern boundary. Second place went to the design by Daniel Libeskind and Bernd Faskel. The proposal of the architecture firm Kny & Weber, which was strongly based on the horseshoe shape of Wagner, finally won the third place. The design by Kollhoff was chosen on 7 June 1994 by the Berlin Senate as a basis for the further transformation of Alexanderplatz. In 1995, Landesbank Berlin completed the renovation of the Alexanderhaus. In 1998, the first tram returned to Alexanderplatz, and in 1999, the town planning contracts for the implementation of Kollhoff and Timmermann's plans were signed by the landowners and the investors. On 2 April 2000, the Senate finally fixed the development plan for Alexanderplatz. The purchase contracts between investors and the Senate Department for Urban Development were signed on 23 May 2002, thus laying the foundations for the development. Construction boom and redesign (since 2004) Renovation of the Centrum department store began in 2004, led by Berlin professor of architecture, Josef Paul Kleihues and his son Jan Kleihues. The building was enlarged by about 25 meters and has since operated under the name Galeria Kaufhof. Between 2005 and 2006, Berolinahaus was renovated and since became a branch of the clothing chain, C&A. In 2005, the BVG began work to extend the tram line from Prenzlauer Allee to Alexanderplatz (Alex II). This route was originally to be opened in 2000 but was postponed several times. After further delays caused by the 2006 Football World Cup, the route opened on 30 May 2007. The renovation of Alexanderplatz U-Bahnhof, the largest Berlin underground station, had been ongoing since the mid-1990s and was finally completed in October 2008. In February 2006, the redesign of the walk-in plaza began. The redevelopment plans were provided by the architecture firm Gerkan, Marg und Partner and the Hamburg-based company WES-Landschaftsarchitekten. The final plans emerged from a design competition launched by the state of Berlin in 2004. However, the paving work was temporarily interrupted a few months after the start of construction by the 2006 Football World Cup and all excavation pits had to be provisionally asphalted over. The construction work could only be completed at the end of 2007. The Platz was given a pavement of yellow granite, bordered by grey mosaic paving around the buildings. Wall AG modernized the 1920s-era underground toilets at a cost of 750,000 euros. The total redesign cost amounted to around 8.7 million euros. On 12 September 2007 the shopping centre Alexa opened. It is located in the immediate vicinity of the Platz, on the site of the old Berlin police headquarters. With a 56,200 m2 sales area, it is one of the largest shopping centres in Berlin. In May 2007, the Texas property development company Hines began building a six-story commercial building named "die mitte". The building was built on a plot of 3900 m2, which, according to the Kollhoff plans, closes the square to the east and thus reduces the area of the Platz. The building was opened on 25 March 2009. At the beginning of 2007, the construction company Wöhr + Bauer created an underground garage with three levels below the Alexanderstraße, located between the hotel tower and the Elektroindustrie building, which cost 25 million euros to build and provides space for around 700 cars. The opening took place on 26 November 2010. At the same time, the Senate narrowed Alexanderstraße from almost 100 meters wide to 58 meters wide, thus reducing it to three lanes in each direction. The cost of this amounted to 9.7 million euros. Behind the Alexanderplatz station, next to the Cubix cinema in the immediate vicinity of the TV tower, the 30-meter high residential and commercial building, Alea 101, was built between 2012 and 2014. The Alexanderplatz area is the largest area for crime in Berlin. As of October 2017, Alexanderplatz was classified a kriminalitätsbelasteter Ort (crime-contaminated location) by the Berlin Allgemeinen Sicherheits- und Ordnungsgesetz (General Safety and Planning Laws). The future of the Platz Long-term plans exist for the demolition of the 125-meter high former Interhotel Stadt Berlin (now the Hotel Park-Inn), with the site to be replaced by three skyscrapers. If and when this plan will be implemented is unclear, especially since the hotel tower received a new façade as recently as in 2005, and the occupancy rates of the hotel are very good. However, the plans could give way in the next few years to a suggested 35-meter-high new block conversion. The previous main tenant of the development, Saturn, moved into the die mitte building in March 2009. In 2014, Primark opened a branch inside the hotel building. The majority of the planned 150-meter-high skyscrapers will probably never be built. The state of Berlin has announced that it will not enforce the corresponding urban development contracts against the market. Of the 13 planned skyscrapers, 10 remain after modifications to the plans – eight of which have construction rights. Investors in the shopping centre Alexa have announced several times since 2007 that they would sell their respective shares in the plot to an investor interested in building a high-rise. Since 2010, there have been no indications of possible investors. The first concrete plans for the construction of a high-rise were made by Hines, the investor behind die mitte. In 2009, the construction of a 150-meter-high tower to be built behind die mitte was announced. On 12 September 2011, a slightly modified development plan was presented, which provided for a residential tower housing 400 apartments. In early 2013, the development plan was opened to the public. In autumn 2015, the Berlin Senate organized two forums in which interested citizens could express their opinions on the proposed changes to the Platz. Architects, city planners and Senate officials held open discussions. On that occasion, however, it was reiterated that the plans for high-rise developments were not up for debate. According to the master plan of the architect Hans Kollhoff, up to eleven huge buildings will continue to be built, which will house a mixture of shops and apartments. At the beginning of March 2018, it was announced that the Mitte district office had granted planning permission for the first residential high-rise in Alexanderplatz, the 150-metre high Alexander Tower. On 29 of the 35 floors, 377 apartments are to be built. It would be located next to the Alexa shopping centre, with a planned completion date of 2021. Structures See also : List of cultural monuments in Berlin-Mitte / Alexanderplatz World Clock → main article: World Clock Berolina → main article: Berolina Fountain of Friendship The Fountain of Friendship (Brunnen der Völkerfreundschaft) was erected
Karl-Marx-Allee / Frankfurter Tor – Frankfurter Allee (B 1 and B 5 to Berlin-Hellersdorf junction at Berliner Ring) History Early history to the 18th century A hospital stood at the location of present-day Alexanderplatz since the 13th century. Named Heiliger Georg (St. George), the hospital gave its name to the nearby Georgentor (George Gate) of the Berlin city wall. Outside the city walls, this area was largely undeveloped until around 1400, when the first settlers began building thatched cottages. As a gallows was located close by, the area earned the nickname the "Teufels Lustgarten" (the Devil's Pleasure Garden). The George Gate became the most important of Berlin's city gates during the 16th century, being the main entry point for goods arriving along the roads to the north and north-east of the city, for example from Oderberg, Prenzlau and Bernau, and the big Hanseatic cities on the Baltic Sea. After the Thirty Years' War, the city wall was strengthened. From 1658 to 1683, a citywide fortress was constructed to plans by the Linz master builder, Johann Gregor Memhardt. The new fortress contained 13 bastions connected by ramparts and was preceded by a moat measuring up to 50 meters wide. Within the new fortress, many of the historic city wall gates were closed. For example, the southeastern Stralauer Gate was closed but the Georgian Gate remained open, making the Georgian Gate an even more important entrance to the city. In 1681, the trade of cattle and pig fattening was banned within the city. Frederick William, the Great Elector, granted cheaper plots of land, waiving the basic interest rate, in the area in front of the Georgian Gate. Settlements grew rapidly and a weekly cattle market was established on the square in front of the Gate. The area developed into a suburb – the Georgenvorstadt – which continued to flourish into the late 17th century. Unlike the southwestern suburbs (Friedrichstadt, Dorotheenstadt) which were strictly and geometrically planned, the suburbs in the northeast (Georgenvorstadt, Spandauervorstadt and the Stralauer Vorstadt) proliferated without plan. Despite a building ban imposed in 1691, more than 600 houses existed in the area by 1700. At that time, the George Gate was a rectangular gatehouse with a tower. Next to the tower stood a remaining tower from the original medieval city walls. The upper floors of the gatehouse served as the city jail. A drawbridge spanned the moat and the gate was locked at nightfall by the garrison using heavy oak planks. A highway ran through the cattle market to the northeast towards Bernau. To the right stood the George chapel, an orphanage and a hospital that was donated by the Elector Sophie Dorothea in 1672. Next to the chapel stood a dilapidated medieval plague house which was demolished in 1716. Behind it was a rifleman's field and an inn, later named the Stelzenkrug. By the end of the 17th century, 600 to 700 families lived in this area. They included butchers, cattle herders, shepherds and dairy farmers. The George chapel was upgraded to the George church and received its own preacher. Königs Thor Platz (1701–1805) After his coronation in Königsberg on 6 May 1701 the Prussian King Frederick I entered Berlin through the George Gate. This led to the gate being renamed the King's Gate, and the surrounding area became known in official documents as Königs Thor Platz (King's Gate Square). The Georgenvorstadt suburb was renamed Königsvorstadt (or royal city for short). In 1734, the Berlin Customs Wall, which initially consisted of a ring of palisade fences, was reinforced and grew to encompass the old city and its suburbs, including Königsvorstadt. This resulted in the King's Gate losing importance as an entry point for goods into the city. The gate was finally demolished in 1746. By the end of the 18th century, the basic structure of the royal suburbs of the Königsvorstadt had been developed. It consisted of irregular-shaped blocks of buildings running along the historic highways which once carried goods in various directions out of the gate. At this time, the area contained large factories (silk and wool), such as the Kurprinz (one of Berlin's first cloth factories, located in a former barn) and a workhouse established in 1758 for beggars and homeless people, where the inmates worked a man-powered treadmill to turn a mill. Soon, military facilities came to dominate the area, such as the 1799–1800 military parade grounds designed by David Gilly. At this time, the residents of the platz were mostly craftsmen, petty-bourgeois, retired soldiers and manufacturing workers. The southern part of the later Alexanderplatz was separated from traffic by trees and served as a parade ground, whereas the northern half remained a market. Beginning in the mid-18th century, the most important wool market in Germany was held in Alexanderplatz. Between 1752 and 1755, the writer Gotthold Ephraim Lessing lived in a house on Alexanderplatz. In 1771, a new stone bridge (the Königsbrücke) was built over the moat and in 1777 a colonnade-lined row of shops (Königskolonnaden) was constructed by architect Carl von Gontard. Between 1783 and 1784, seven three-storey buildings were erected around the square by Georg Christian Unger, including the famous Gasthof zum Hirschen, where Karl Friedrich Schinkel lived as a permanent tenant and Heinrich von Kleist stayed in the days before his suicide. Alexanderplatz (1805–1900) On 25 October 1805 the Russian Tsar Alexander I was welcomed to the city on the parade grounds in front of the old King's Gate. To mark this occasion, on 2 November, King Frederick William III ordered the square to be renamed Alexanderplatz: In the southeast of the square, the cloth factory buildings were converted into the Königstädter Theater by Carl Theodor Ottmer at a cost of 120,000 Taler. The foundation stone was laid on 31 August 1823 and the opening ceremony occurred on 4 August 1824. Sales were poor, forcing the theatre to close on 3 June 1851. Thereafter, the building was used for wool storage, then as a tenement building, and finally as an inn called Aschinger until the building's demolition in 1932. During these years, Alexanderplatz was populated by fish wives, water carriers, sand sellers, rag-and-bone men, knife sharpeners and day laborers. Because of its importance as a transport hub, horse-drawn buses ran every 15 minutes between Alexanderplatz and Potsdamer Platz in 1847. During the March Revolution of 1848, large-scale street fighting occurred on the streets of Alexanderplatz, where revolutionaries used barricades to block the route from Alexanderplatz to the city. Novelist and poet Theodor Fontane, who worked in the vicinity in a nearby pharmacy, participated in the construction of barricades and later described how he used materials from the Königstädter Theater to barricade Neue Königstraße. The Königsstadt continued to grow throughout the 19th century, with three-storey developments already existing at the beginning of the century and
improving roads and providing electricity. When the world suffered its first oil price shock, ADB shifted more of its assistance to support energy projects, especially those promoting the development of domestic energy sources in member countries. Following considerable pressure from the Reagan Administration in the 1980s, ADB reluctantly began working with the private sector in an attempt to increase the impact of its development assistance to poor countries in Asia and the Pacific. In the wake of the second oil crisis, ADB expanded its assistance to energy projects. In 1982, ADB opened its first field office, in Bangladesh, and later in the decade, it expanded its work with non-government organizations (NGOs). Japanese presidents Inoue Shiro (1972–76) and Yoshida Taroichi (1976–81) took the spotlight in the 1970s. Fujioka Masao, the fourth president (1981–90), adopted an assertive leadership style, launching an ambitious plan to expand the ADB into a high-impact development agency. 1990s In the 1990s, ADB began promoting regional cooperation by helping the countries on the Mekong River to trade and work together. The decade also saw an expansion of ADB's membership with the addition of several Central Asian countries following the end of the Cold War. In mid-1997, ADB responded to the financial crisis that hit the region with projects designed to strengthen financial sectors and create social safety nets for the poor. During the crisis, ADB approved its largest single loan – a $4 billion emergency loan to South Korea. In 1999, ADB adopted poverty reduction as its overarching goal. 2000s The early 2000s saw a dramatic expansion of private sector finance. While the institution had such operations since the 1980s (under pressure from the Reagan Administration) the early attempts were highly unsuccessful with low lending volumes, considerable losses and financial scandals associated with an entity named AFIC. However, beginning in 2002, the ADB undertook a dramatic expansion of private sector lending under a new team. Over the course of the next six years, the Private Sector Operations Department (PSOD) grew by a factor of 41 times the 2001 levels of new financings and earnings for the ADB. This culminated with the Board's formal recognition if these achievements in March 2008, when the Board of Directors formally adopted the Long Term Strategic Framework (LTSF). That document formally stated that assistance to private sector development was the lead priority of the ADB and that it should constitute 50% of the bank's lending by 2020. In 2003, the severe acute respiratory syndrome (SARS) epidemic hit the region and ADB responded with programs to help the countries in the region work together to address infectious diseases, including avian influenza and HIV/AIDS. ADB also responded to a multitude of natural disasters in the region, committing more than $850 million for recovery in areas of India, Indonesia, Maldives, and Sri Lanka which were impacted by the 2004 Indian Ocean earthquake and tsunami. In addition, $1 billion in loans and grants was provided to the victims of the October 2005 earthquake in Pakistan. In 2009, ADB's Board of Governors agreed to triple ADB's capital base from $55 billion to $165 billion, giving it much-needed resources to respond to the global economic crisis. The 200% increase is the largest in ADB's history, and was the first since 1994. 2010s Asia moved beyond the economic crisis and by 2010 had emerged as a new engine of global economic growth though it remained home to two-thirds of the world's poor. In addition, the increasing prosperity of many people in the region created a widening income gap that left many people behind. ADB responded to this with loans and grants that encouraged economic growth. In early 2012, the ADB began to re-engage with Myanmar in response to reforms initiated by the government. In April 2014, ADB opened an office in Myanmar and resumed making loans and grants to the country. In 2017, ADB combined the lending operations of its Asian Development Fund (ADF) with its ordinary capital resources (OCR). The result was to expand the OCR balance sheet to permit increasing annual lending and grants to $20 billion by 2020 — 50% more than the previous level. In 2020, ADB gave a $2 million grant from the Asia Pacific Disaster Response Fund, to support the Armenian government in the fight against the spread of COVID-19 pandemic. In the same year, the ADB committed a $20 million loan to Electric Networks of Armenia, that will ensure electricity for the citizens during the pandemic, as well as approved $500,000 in regional technical assistance to procure personal protective equipment and other medical supplies. Objectives and activities Aim The ADB defines itself as a social development organization that is dedicated to reducing poverty in Asia and the Pacific through inclusive economic growth, environmentally sustainable growth, and regional integration. This is carried out through investments – in the form of loans, grants and information sharing – in infrastructure, health care services, financial and public administration systems, helping nations prepare for the impact of climate change or better manage their natural resources, as well as other areas. Focus areas Eighty percent of ADB's lending is concentrated public sector lending in five operational areas. Education – Most developing countries in Asia and the Pacific have earned high marks for a dramatic rise in primary education enrollment rates in the last three decades, but daunting challenges remain, threatening economic and social growth. Environment, Climate Change, and Disaster Risk Management – Environmental sustainability is a prerequisite for economic growth and poverty reduction in Asia and the Pacific. Finance Sector Development – The financial system is the lifeline of a country's economy. It creates prosperity that can be shared throughout society and benefit the poorest and most vulnerable people. Financial sector and capital market development, including microfinance, small and medium-sized enterprises, and regulatory reforms, is vital to decreasing poverty in Asia and the Pacific.This has been a key priority of the Private Sector Operations Department (PSOD) since 2002. One of the most active sub-sectors of finance is the PSOD's support for trade finance. Each year the PSOD finances billions of dollars in letters of credit across all of Asia and the rest of the world. Infrastructure, including transport and communications, energy, water supply and sanitation, and urban development. Regional Cooperation and Integration – Regional cooperation and integration (RCI) was introduced by President Kuroda when he joined the ADB in 2004. It was seen as a long-standing priority of the Japanese government as a process by which national economies become more regionally connected. It plays a critical role in accelerating economic growth, reducing poverty and economic disparity, raising productivity and employment, and strengthening institutions. Private Sector Lending – This priority was introduced into the ADB's activities at the insistence of the Reagan Administration. However, that effort was never a true priority until the administration of President Tadeo Chino who in turn brought in a seasoned American banker – Robert Bestani. From then on, the Private Sector Operations Department (PSOD) grew at a very rapid pace, growing from the smallest financing unit of the ADB to the largest in terms of financing volume. As noted earlier, this culminated in the Long Term Strategic Framework (LTSF) which was adopted by the Board in March 2008. Financings The ADB offers "hard" loans on commercial terms primarily to middle income countries in Asia and "soft" loans with lower interest rates to poorer countries in the region. Based on a new policy, both types of loans will be sourced starting January 2017 from the bank's ordinary capital resources (OCR), which functions as its general operational fund. The ADB's Private Sector Department (PSOD) can and does offer a broader range of financings beyond commercial loans. They also have the capability to provide guarantees, equity and mezzanine finance (a combination of debt and equity). In 2017, ADB lent $19.1 billion of which $3.2 billion went to private enterprises, as part of its "nonsovereign" operations. ADB's operations in 2017, including grants and cofinancing, totaled $28.9 billion. ADB obtains its funding by issuing bonds on the world's capital markets. It also relies on the contributions of member countries, retained earnings from lending operations, and the repayment of loans. Private sector investments ADB provides direct financial assistance, in the form of debt, equity and mezzanine finance to private sector companies, for projects that have clear social benefits beyond the financial rate of return. ADB's participation is usually limited but it leverages a large amount of funds from commercial sources to finance these projects by holding no more than 25% of any given transaction. Cofinancing ADB partners with other development organizations on some projects to increase the amount of funding available. In 2014, $9.2 billion—or nearly half—of ADB's $22.9 billion in operations were financed by other organizations. According to Jason Rush, Principal Communication Specialist, the Bank communicates with many other multilateral organizations. Funds and resources More than 50 financing partnership facilities, trust funds, and other funds – totalling several billion each year – are administered by ADB and put toward projects that promote social and economic development in Asia and the Pacific. ADB has raised Rs 5 billion or around Rs 500 crores from its issuance of 5-year offshore Indian rupee (INR) linked bonds. On 26 Feb 2020, ADB raises $118 million from rupee-linked bonds and supporting the development of India International Exchange in India, as it also contributes to an established yield curve which stretches from 2021 through 2030 with $1 billion of outstanding bonds. Access to information ADB has an information disclosure policy that presumes all information that is produced by the institution should be disclosed to the public unless there is a specific reason to keep it confidential. The policy calls for accountability and transparency in operations and the timely response to requests for information and documents. ADB does not disclose information that jeopardizes personal privacy, safety and security, certain financial and commercial information, as well
The bank employs about 3,000 people, representing 60 of its 68 members. List of presidents (*) As from 17 January 2020, Masatsugu Asakawa was president of ADB.. History 1960s As early as 1956, Japan Finance Minister Hisato Ichimada had suggested to United States Secretary of State John Foster Dulles that development projects in Southeast Asia could be supported by a new financial institution for the region. A year later, Japanese Prime Minister Nobusuke Kishi announced that Japan intended to sponsor the establishment of a regional development fund with resources largely from Japan and other industrial countries. But the US did not warm to the plan and the concept was shelved. See full account in "Banking on the Future of Asia and the Pacific: 50 Years of the Asian Development Bank," July 2017. The idea came up again late in 1962 when Kaoru Ohashi, an economist from a research institute in Tokyo, visited Takeshi Watanabe, then a private financial consultant in Tokyo, and proposed a study group to form a development bank for the Asian region. The group met regularly in 1963, examining various scenarios for setting up a new institution and drew on Watanabe's experiences with the World Bank. However, the idea received a cool reception from the World Bank itself and the study group became discouraged. In parallel, the concept was formally proposed at a trade conference organized by the Economic Commission for Asia and the Far East (ECAFE) in 1963 by a young Thai economist, Paul Sithi-Amnuai. (ESCAP, United Nations Publication March 2007, "The first parliament of Asia" pp. 65). Despite an initial mixed reaction, support for the establishment of a new bank soon grew. An expert group was convened to study the idea, with Japan invited to contribute to the group. When Watanabe was recommended, the two streams proposing a new bank—from ECAFE and Japan—came together. Initially, the US was on the fence, not opposing the idea but not ready to commit financial support. But a new bank for Asia was soon seen to fit in with a broader program of assistance to Asia planned by United States President Lyndon B. Johnson in the wake of the escalating U.S. military support for the government of South Vietnam. As a key player in the concept, Japan hoped that the ADB offices would be in Tokyo. However, eight other cities had also expressed an interest: Bangkok, Colombo, Kabul, Kuala Lumpur, Manila, Phnom Penh, Singapore, and Tehran. To decide, the 18 prospective regional members of the new bank held three rounds of votes at a ministerial conference in Manila in November/December 1965. In the first round on 30 November, Tokyo failed to win a majority, so a second ballot was held the next day at noon. Although Japan was in the lead, it was still inconclusive, so a final vote was held after lunch. In the third poll, Tokyo gained eight votes to Manila's nine, with one abstention. Therefore, Manila was declared the host of the new development bank; the Japanese were mystified and deeply disappointed. Watanabe later wrote in his personal history of ADB: "I felt as if the child I had so carefully reared had been taken away to a distant country." (Asian Development Bank publication, "Towards a New Asia", 1977, p. 16) As intensive work took place during 1966 to prepare for the opening of the new bank in Manila, high on the agenda was choice of president. Japanese Prime Minister Eisaku Satō asked Watanabe to be a candidate. Although he initially declined, pressure came from other countries and Watanabe agreed. In the absence of any other candidates, Watanabe was elected first President of the Asian Development Bank at its Inaugural Meeting on 24 November 1966. By the end of 1972, Japan had contributed $173.7 million (22.6% of the total) to the ordinary capital resources and $122.6 million (59.6% of the total) to the special funds. In contrast, the United States contributed only $1.25 million to the special fund. After its creation in the 1960s, ADB focused much of its assistance on food production and rural development. At the time, Asia was one of the poorest regions in the world. Early loans went largely to Indonesia, Thailand, Malaysia, South Korea and the Philippines; these nations accounted for 78.48% of the total ADB loans between 1967 and 1972. Moreover, Japan received tangible benefits, 41.67% of the total procurements between 1967 and 1976. Japan tied its special funds contributions to its preferred sectors and regions and procurements of its goods and services, as reflected in its $100 million donation for the Agricultural Special Fund in April 1968. Watanabe served as the first ADB president to 1972. 1970s–1980s In the 1970s, ADB's assistance to developing countries in Asia expanded into education and health, and then to infrastructure and industry. The gradual emergence of Asian economies in the latter part of the decade spurred demand for better infrastructure to support economic growth. ADB focused on improving roads and providing electricity. When the world suffered its first oil price shock, ADB shifted more of its assistance to support energy projects, especially those promoting the development of domestic energy sources in member countries. Following considerable pressure from the Reagan Administration in the 1980s, ADB reluctantly began working with the private sector in an attempt to increase the impact of its development assistance to poor countries in Asia and the Pacific. In the wake of the second oil crisis, ADB expanded its assistance to energy projects. In 1982, ADB opened its first field office, in Bangladesh, and later in the decade, it expanded its work with non-government organizations (NGOs). Japanese presidents Inoue Shiro (1972–76) and Yoshida Taroichi (1976–81) took the spotlight in the 1970s. Fujioka Masao, the fourth president (1981–90), adopted an assertive leadership style, launching an ambitious plan to expand the ADB into a high-impact development agency. 1990s In the 1990s, ADB began promoting regional cooperation by helping the countries on the Mekong River to trade and work together. The decade also saw an expansion of ADB's membership with the addition of several Central Asian countries following the end of the Cold War. In mid-1997, ADB responded to the financial crisis that hit the region with projects designed to strengthen financial sectors and create social safety nets for the poor. During the crisis, ADB approved its largest single loan – a $4 billion emergency loan to South Korea. In 1999, ADB adopted poverty reduction as its overarching goal. 2000s The early 2000s saw a dramatic expansion of private sector finance. While the institution had such operations since the 1980s (under pressure from the Reagan Administration) the early attempts were highly unsuccessful with low lending volumes, considerable losses and financial scandals associated with an entity named AFIC. However, beginning in 2002, the ADB undertook a dramatic expansion of private sector lending under a new team. Over the course of the next six years, the Private Sector Operations Department (PSOD) grew by a factor of 41 times the 2001 levels of new financings and earnings for the ADB. This culminated with the Board's formal recognition if these achievements in March 2008, when the Board of Directors formally adopted the Long Term Strategic Framework (LTSF). That document formally stated that assistance to private sector development was the lead priority of the ADB and that it should constitute 50% of the bank's lending by 2020. In 2003, the severe acute respiratory syndrome (SARS) epidemic hit the region and ADB responded with programs to help the countries in the region work together to address infectious diseases, including avian influenza and HIV/AIDS. ADB also responded to a multitude of natural disasters in the region, committing more than $850 million for recovery in areas of India, Indonesia, Maldives, and Sri Lanka which were impacted by the 2004 Indian Ocean earthquake and tsunami. In addition, $1 billion in loans and grants was provided to the victims of the October
cm (11 in) in width and 38 cm (15 in) in height, likely dates to the Ptolemaic Dynasty. Archaeologists discovered 35 mummified remains of Egyptians in a tomb in Aswan in 2019. Italian archaeologist Patrizia Piacentini and El-Enany both reported that the tomb, where the remains of ancient men, women and children were found, dates back to the Greco-Roman period between 332 BC and 395 AD. While the findings assumed belonging to a mother and a child were well preserved, others had suffered major destruction. Other than the mummies, artifacts including painted funerary masks, vases of bitumen used in mummification, pottery and wooden figurines were revealed. Thanks to the hieroglyphics on the tomb, it was detected that the tomb belongs to a tradesman named Tjit. “It's a very important discovery because we added something to the history of Aswan that was missing. We knew about tombs and necropoli dating back to the second and third millennium, but we didn't know where the people who lived in the last part of the Pharaoh era were. Aswan, on the southern border of Egypt, was also a very important trading city” Piacentini said. In February 2021, archaeologists from the Egyptian Ministry of Antiquities announced the discovery of Ptolemaic period temple, a Roman fort, an early Coptic church and an inscription written in hieratic script at an archaeological site called Shiha Fort in Aswan. According to Mostafa Waziri, crumbling temple was decorated with palm leaf carvings and an incomplete sandstone panel that described a Roman emperor. According to researcher Abdel Badie, generally, the church contained ovens that were used to bake pottery, four rooms, a long hall, stairs, and stone tiles. Geography Northern Tropic boundary The latitude of the city that would become Aswan – located at 24° 5′ 23″ – was an object of great interest to the ancient geographers and mathematicians. They believed that it was seated immediately under the tropic, and that on the day of the summer solstice, a vertically positioned staff cast no shadow. They noted that the sun's disc was reflected in a deep well (or pit) at the noon. This statement is only approximately correct; at the
last part of the Pharaoh era were. Aswan, on the southern border of Egypt, was also a very important trading city” Piacentini said. In February 2021, archaeologists from the Egyptian Ministry of Antiquities announced the discovery of Ptolemaic period temple, a Roman fort, an early Coptic church and an inscription written in hieratic script at an archaeological site called Shiha Fort in Aswan. According to Mostafa Waziri, crumbling temple was decorated with palm leaf carvings and an incomplete sandstone panel that described a Roman emperor. According to researcher Abdel Badie, generally, the church contained ovens that were used to bake pottery, four rooms, a long hall, stairs, and stone tiles. Geography Northern Tropic boundary The latitude of the city that would become Aswan – located at 24° 5′ 23″ – was an object of great interest to the ancient geographers and mathematicians. They believed that it was seated immediately under the tropic, and that on the day of the summer solstice, a vertically positioned staff cast no shadow. They noted that the sun's disc was reflected in a deep well (or pit) at the noon. This statement is only approximately correct; at the summer solstice, the shadow was only of the staff, and so could scarcely be discerned, and the northern limb of the Sun's disc would be nearly vertical. More than 2000 years ago Greek polymath Eratosthenes used this information to calculate earth's circumference. Climate Aswan has a hot desert climate (Köppen climate classification BWh) like the rest of Egypt. Aswan and Luxor have the hottest summer days of any city in Egypt. Aswan is one of the hottest, sunniest and driest cities in the world. Average high temperatures are consistently above during summer (June, July, August and also September) while average low temperatures remain above . Average high temperatures remain above during the coldest month of the year while average low temperatures remain above . Summers are very prolonged and extremely hot with blazing sunshine although desert heat is dry. Winters are brief and pleasantly mild, though nights may be cool at times. The climate of Aswan is extremely dry year-round, with less than of average annual precipitation. The desert city is one of the driest ones in the world, and rainfall doesn't occur every year, as of early 2001, the last rain there was seven years earlier. When heavy precipitation does occur, as in a November 2021 rain and hail storm, flash flooding can drive scorpions from their lairs to deadly effects. Aswan is one of the least humid cities on the planet, with an average relative humidity of only 26%, with a maximum mean of 42% during winter and a minimum mean of 16% during summer. The weather of Aswan is extremely clear, bright and sunny year-round, in all seasons, with a low seasonal variation, with almost 4,000 hours of annual sunshine, very close to the maximum theoretical sunshine duration. Aswan is one of the sunniest places on Earth. The highest record temperature was on July 4, 1918, and the lowest record temperature was on January 6, 1989. Infrastructure Education In 2012, the Aswan University was inaugurated, which is headquartered in the city. Aswan is also home to the Aswan Higher Institute of Social Work, which was established in 1975. Transport The city is crossed by the Cape to Cairo Road, which connects it to Luxor and Cairo to the north, and Abu Simbel and Wadi Halfa to the south. Also important is the Aswan-Berenice highway, which connects with the ports of the Red Sea. Aswan is linked to Cairo by the Cape to Cairo Railway, which also connects it with Wadi Halfa. The railway is incomplete towards the south. Other key transport infrastructures are the Port of Aswan, the largest river port in the region, and Aswan International Airport.
against his father that was quelled by the latter. On account of this episode, Otto decided to dispossess Liudolf of his ducal title. This decision favoured the position of Adelaide and her descendants at court. Adelaide also managed to retain her entire territorial dowry. After returning to Germany with his new wife, Otto cemented the existence of the Holy Roman Empire by defeating the Hungarian invaders at the Battle of Lechfeld on 10 August 955. In addition, he extended the boundaries of East Francia beyond the Elbe River, defeating the Obrodites and other Slavs of the Elbe at the battle of Recknitz (16 October 955). Adelaide accompanied her husband on his second expedition to Italy, destined to subdue the revolt of Berengar II and to protect Pope John XII. In Rome, Otto the Great was crowned Holy Roman Emperor on 2 February 962 by Pope John XII and breaking tradition, also crowned Adelaide as Holy Roman Empress. Four years later, Adelaide and their eleven-year-old son, Otto II, traveled again with Otto in 966 on his third expedition to Italy, where the Emperor restored the newly elected Pope John XIII to his throne (and executed some of the Roman rioters who had deposed him). Adelaide remained in Rome for six years while Otto ruled his kingdom from Italy. Their son Otto II was crowned co-emperor in 967, then married the Byzantine princess Theophanu in April 972, resolving the conflict between the two empires in southern Italy, as well as ensuring the imperial succession. Adelaide and her husband then returned to Germany, where Otto died in May 973, at the same Memleben palace where his father had died 37 years earlier. Regency In the years following Otto's death, Adelaide exerted a powerful influence at court. However, her daughter-in-law, the Byzantine princess Theophanu, turned her husband against her and Adelaide was expelled from court in 978. During her exile, she divided her time living partly in Italy and partly in Arles with her brother Conrad I, King of Burgundy, through whom she was finally reconciled with her son; in 983 (shortly before his death) Otto II appointed her his viceroy in Italy. In 983, her son Otto II died and was succeeded by her grandson Otto III under the regency of his mother Adelaide's daughter-in-law Dowager Empress Theophanu while Adelaide remained in Italy. When Theophanu died in 990, Adelaide assumed regency on behalf of her grandson the Emperor until he reached legal majority four years later. Adelaide resigned as regent when Otto III was declared of legal majority in 995 and from then on devoted herself exclusively to her works of charity, in particular to the foundation and restoration of religious houses: monasteries, churches and abbeys. Adelaide had long entertained close relations with Cluny, then the center of the movement for ecclesiastical reform, and in particular with its abbots Majolus and Odilo. She retired to a nunnery she had founded in c. 991 at Selz in Alsace. On her way to Burgundy to support her nephew Rudolf III against a rebellion, she died at Selz Abbey on 16 December 999, days short of the millennium she thought would bring the Second Coming of Christ. She was buried in the Abbey and Pope Urban II canonized her in 1097. Although after serious flooding, which almost completely destroyed it in 1307, Adelaide's relics were moved to a new Abbey elsewhere. A goblet reputed to have belonged to the Saint has long been preserved in Seltz.; it was used to give potions to people with fever and the healings were said to have been numerous. Adelaide had constantly devoted herself to the service of the church and peace, and to the empire as guardian of both; she also interested herself in the conversion of the Slavs. She was thus a principal agent — almost an embodiment — of the work of the pre-schism Church at the end of the Early Middle Ages in the construction of the religious culture of Central Europe. Some of her relics are preserved in a shrine in Hanover. Her feast day, 16 December, is still kept in many German dioceses. Issue In 947, Adelaide was married to King Lothair II of Italy. The union produced one child: Emma of Italy (948 – after 987), queen of France and wife of Lothair of France In 951, Adelaide was married to King Otto I, the future Holy Roman Emperor. The union produced four children: Henry (952 – 7 April 954) Bruno (953 – 8 September 957) Matilda (early 955 – † 6 February 999), the first Princess-Abbess of Quedlinburg Otto II (end 955 – 7 December 983), later Holy Roman Emperor. Legacy, art and literature Adelaide is usually represented in the garb of an empress, with sceptre and crown. Since the 14th century, it is also given as an attribute a model church or a ship (with which it is said to have escaped from captivity). The most famous representation of German
decided to dispossess Liudolf of his ducal title. This decision favoured the position of Adelaide and her descendants at court. Adelaide also managed to retain her entire territorial dowry. After returning to Germany with his new wife, Otto cemented the existence of the Holy Roman Empire by defeating the Hungarian invaders at the Battle of Lechfeld on 10 August 955. In addition, he extended the boundaries of East Francia beyond the Elbe River, defeating the Obrodites and other Slavs of the Elbe at the battle of Recknitz (16 October 955). Adelaide accompanied her husband on his second expedition to Italy, destined to subdue the revolt of Berengar II and to protect Pope John XII. In Rome, Otto the Great was crowned Holy Roman Emperor on 2 February 962 by Pope John XII and breaking tradition, also crowned Adelaide as Holy Roman Empress. Four years later, Adelaide and their eleven-year-old son, Otto II, traveled again with Otto in 966 on his third expedition to Italy, where the Emperor restored the newly elected Pope John XIII to his throne (and executed some of the Roman rioters who had deposed him). Adelaide remained in Rome for six years while Otto ruled his kingdom from Italy. Their son Otto II was crowned co-emperor in 967, then married the Byzantine princess Theophanu in April 972, resolving the conflict between the two empires in southern Italy, as well as ensuring the imperial succession. Adelaide and her husband then returned to Germany, where Otto died in May 973, at the same Memleben palace where his father had died 37 years earlier. Regency In the years following Otto's death, Adelaide exerted a powerful influence at court. However, her daughter-in-law, the Byzantine princess Theophanu, turned her husband against her and Adelaide was expelled from court in 978. During her exile, she divided her time living partly in Italy and partly in Arles with her brother Conrad I, King of Burgundy, through whom she was finally reconciled with her son; in 983 (shortly before his death) Otto II appointed her his viceroy in Italy. In 983, her son Otto II died and was succeeded by her grandson Otto III under the regency of his mother Adelaide's daughter-in-law Dowager Empress Theophanu while Adelaide remained in Italy. When Theophanu died in 990, Adelaide assumed regency on behalf of her grandson the Emperor until he reached legal majority four years later. Adelaide resigned as regent when Otto III was declared of legal majority in 995 and from then on devoted herself exclusively to her works of charity, in particular to the foundation and restoration of religious houses: monasteries, churches and abbeys. Adelaide had long entertained close relations with Cluny, then the center of the movement for ecclesiastical reform, and in particular with its abbots Majolus and Odilo. She retired to a nunnery she had founded in c. 991 at Selz in Alsace. On her way to Burgundy to support her nephew Rudolf III against a rebellion, she died at Selz Abbey on 16 December 999, days short of the millennium she thought would bring the Second Coming of Christ. She was buried in the Abbey and Pope Urban II canonized her in 1097. Although after serious flooding, which almost completely destroyed it in 1307, Adelaide's relics were moved to a new Abbey elsewhere. A goblet reputed to have belonged to the Saint has long been preserved in Seltz.; it was used to give potions to people with fever and the healings were said to have been numerous. Adelaide had constantly devoted herself to the service of the church and peace, and to the empire as guardian of both; she also interested herself in the conversion of the Slavs. She was thus a principal agent — almost an embodiment — of the work of the pre-schism Church at the end of the Early Middle Ages in the construction of the religious culture of Central Europe. Some of her relics are preserved in a shrine in Hanover. Her feast day, 16 December, is still kept in many German dioceses. Issue In 947, Adelaide was married to King Lothair II of Italy. The union produced one child: Emma of Italy (948 – after 987), queen of France and wife of Lothair of France In 951, Adelaide was married to King Otto I, the future Holy Roman Emperor. The union produced four children: Henry (952 – 7 April 954) Bruno (953 – 8 September 957) Matilda (early 955 – † 6 February 999), the first Princess-Abbess of Quedlinburg Otto II (end 955 – 7 December 983), later Holy Roman Emperor. Legacy, art and literature Adelaide is usually represented in the garb of an empress, with sceptre and crown. Since the 14th century, it is also given as an attribute a model church or a ship (with which it is said to have escaped from captivity). The most famous representation of German art belongs to a group of sandstone figures in the choir of Meissen Cathedral, which was created around 1260. She is shown here with her husband, who was not canonized, since he founded the diocese of Meissen with her. Operas: Adelaide of Burgundy is the main character of the opera l'Adelaide (1672) by Antonio Sartorio. Adelaide is the subject of a 1723 opera by Nicola Porpora, where she was
South America, to demonstrate it to airline executives, pilots, and would-be customers. Amongst the consequences of this expedition, it had allegedly brought the A300 to the attention of Frank Borman of Eastern Airlines, one of the "big four" U.S. airlines. On 15 March 1974, type certificates were granted for the A300 from both German and French authorities, clearing the way for its entry into revenue service. On 23 May 1974, Federal Aviation Administration (FAA) certification was received. The first production model, the A300B2, entered service in 1974, followed by the A300B4 one year later. Initially, the success of the consortium was poor, in part due to the economic consequences of the 1973 oil crisis, but by 1979 there were 81 A300 passenger liners in service with 14 airlines, alongside 133 firm orders and 88 options. Ten years after the official launch of the A300, the company had achieved a 26 per cent market share in terms of dollar value, enabling Airbus Industries to proceed with the development of its second aircraft, the Airbus A310. It was the launch of the Airbus A320 in 1987 that firmly established Airbus as a major player in the aircraft market – over 400 orders were placed before the narrow-body airliner had flown its first flight, compared to 15 for the A300 in 1972. Design The Airbus A300 is a wide-body medium-to-long range airliner; it has the distinction of being the first twin-engine wide-body aircraft in the world. In 1977, the A300 became the first Extended Range Twin Operations (ETOPS)-compliant aircraft, due to its high performance and safety standards. Another world-first of the A300 is the use of composite materials on a commercial aircraft, which were used on both secondary and later primary airframe structures, decreasing overall weight and improving cost-effectiveness. Other firsts included the pioneering use of center-of-gravity control, achieved by transferring fuel between various locations across the aircraft, and electrically signaled secondary flight controls. The A300 is powered by a pair of underwing turbofan engines, either General Electric CF6 or Pratt & Whitney JT9D engines; the sole use of underwing engine pods allowed for any suitable turbofan engine to be more readily used. The lack of a third tail-mounted engine, as per the trijet configuration used by some competing airliners, allowed for the wings to be located further forwards and to reduce the size of the vertical stabilizer and elevator, which had the effect of increasing the aircraft's flight performance and fuel efficiency. Airbus partners had employed the latest technology, some of which having been derived from Concorde, on the A300. According to Airbus, new technologies adopted for the airliner were selected principally for increased safety, operational capability, and profitability. Upon entry into service in 1974, the A300 was a very advanced plane, which went on to influence later airliner designs. The technological highlights include advanced wings by de Havilland (later BAE Systems) with supercritical airfoil sections for economical performance and advanced aerodynamically efficient flight control surfaces. The diameter circular fuselage section allows an eight-abreast passenger seating and is wide enough for 2 LD3 cargo containers side by side. Structures are made from metal billets, reducing weight. It is the first airliner to be fitted with wind shear protection. Its advanced autopilots are capable of flying the aircraft from climb-out to landing, and it has an electrically controlled braking system. Later A300s incorporated other advanced features such as the Forward-Facing Crew Cockpit, which enabled a two-pilot flight crew to fly the aircraft alone without the need for a flight engineer, the functions of which were automated; this two-man cockpit concept was a world-first for a wide-body aircraft. Glass cockpit flight instrumentation, which used cathode ray tube (CRT) monitors to display flight, navigation, and warning information, along with fully digital dual autopilots and digital flight control computers for controlling the spoilers, flaps, and leading-edge slats, were also adopted upon later-built models. Additional composites were also made use of, such as carbon-fiber-reinforced polymer (CFRP), as well as their presence in an increasing proportion of the aircraft's components, including the spoilers, rudder, air brakes, and landing gear doors. Another feature of later aircraft were the addition of wingtip fences, which improved aerodynamic performance and thus reduced cruise fuel consumption by about 1.5% for the A300-600. In addition to passenger duties, the A300 became widely used by air freight operators; according to Airbus, it is the best selling freight aircraft of all time. Various variants of the A300 were built to meet customer demands, often for diverse roles such as aerial refueling tankers, freighter models (new-build and conversions), combi aircraft, military airlifter, and VIP transport. Perhaps the most visually unique of the variants is the A300-600ST Beluga, an oversize cargo-carrying model operated by Airbus to carry aircraft sections between their manufacturing facilities. The A300 was the basis for, and retained a high level of commonality with, the second airliner produced by Airbus, the smaller Airbus A310. Variants A300B1 Only two A300B1s were built: the first prototype, registered F-WUAB, then F-OCAZ, and a second aircraft, F-WUAC, which was leased in November 1974 to Trans European Airways (TEA) and re-registered OO-TEF. TEA instantly subleased the aircraft for six weeks to Air Algérie, but continued to operate the aircraft until 1990. It had accommodation for 300 passengers (TEA) or 323 passengers (Air Algérie) with a maximum weight of and two General Electric CF6-50A engines of thrust. The A300B1 was five frames shorter than the later production versions, being only in length. A300B2 The first production version. Powered by General Electric CF6 or Pratt & Whitney JT9D engines (the same engines that powered the 747 or the DC-10) of between thrust, it entered service with Air France in May 1974. The prototype A300B2 made its first flight on 28 June 1973 and was certificated by the French and German authorities on 15 March 1974 and FAA approval followed on 30 May 1974. The first production A300B2 (A300 number 5) made its maiden flight on 15 April 1974 and was handed over to Air France a few weeks later on 10 May 1974. The A300B2 entered revenue service on 23 May 1974 between Paris and London. A300B2-100: MTOW A300B2-200: MTOW, with Krueger flaps, first delivery to South African Airways in 1976 A300B2-300: increased Maximum Landing Weight/Maximum Zero Fuel Weight A300B4 The major production version features a centre fuel tank for increased fuel capacity of , and new wing-root Krüger flaps which were later made available as an option for the B2. Production of the B2 and B4 totalled 248. The first A300B4 (the 9th A300) flew on 25 December 1974 and was certified on 26 March 1975. The first delivery was made to Germanair (which later merged into Bavaria Germanair) on 23 May 1975. A300B4-100: MTOW, first delivery to Germanair in 1975. A300B4-200: MTOW, first delivery to Hapag-Lloyd Flug in 1980 A300B4-200FF: An A300 with a "forward-facing" crew compartment. The world's first two-crew widebody airliner. Includes some of the A310s and A300-600s digital avionics. First saw service with Garuda Indonesia in 1982, further customers were Tunisair and Karair/Finnair. A300B4-600: Referred to as the A300-600. See below. A300C4: Convertible-freighter version, with a large cargo door on the port side. First delivered to South African Airways in October 1982. A300F4-200: Freighter version of the A300B4-200. The first delivery was in 1986, but few were built as the A300F4-200 was soon replaced by the more capable A300-600F (official designation: A300F4-600). A300B4C: freighter version launched in 1976 A300MF: multi-purpose freighter launched in 1976 A300-600 Officially designated A300B4-600, this version is slightly longer than the B2 and B4 and has increased interior space from using the A310 rear fuselage and horizontal tail. It has higher-power CF6-80 or Pratt & Whitney PW4000 engines and uses the Honeywell 331-250 auxiliary power unit (APU). Other changes include an improved wing featuring a recambered trailing edge, the incorporation of simpler single-slotted Fowler flaps, the deletion of slat fences, and the removal of the outboard ailerons after they were deemed unnecessary on the A310. The A300-600 made its first flight on 8 July 1983 and entered service later that year with Saudi Arabian Airlines. A total of 313 A300-600s (all versions) have been sold. The A300-600 has a similar cockpit to the A310, using digital technology and electronic displays, eliminating the need for a flight engineer. The FAA issues a single type rating which allows operation of both the A310 and A300-600. A300-600: (Official designation: A300B4-600) The baseline model of the −600 series. A300-620C: (Official designation: A300C4-620) A convertible-freighter version. Four delivered between 1984 and 1985. A300-600F: (Official designation: A300F4-600) The freighter version of the baseline −600. A300-600R: (Official designation: A300B4-600R) The increased-range −600, achieved by an additional trim fuel tank in the tail. First delivery in 1988 to American Airlines; all A300s built since 1989 (freighters included) are −600Rs. Japan Air System (later merged into Japan Airlines) took delivery of the last new-built passenger A300, an A300-622R, in November 2002. A300-600RC: (Official designation: A300C4-600R) The convertible-freighter version of the -600R. Two were delivered in 1999. A300-600RF: (Official designation: A300F4-600R) The freighter version of the −600R. All A300s delivered between November 2002 and 12 July 2007 (last ever A300 delivery) were A300-600RFs. A300B10 (A310) Airbus had demand for an aircraft smaller than the A300. On 7 July 1978, the A310 (initially the A300B10) was launched with orders from Swissair and Lufthansa. On 3 April 1982, the first prototype conducted its maiden flight and it received its type certification on 11 March 1983. Keeping the same eight-abreast cross-section, the A310 is shorter than the initial A300 variants, and has a smaller wing, down from . The A310 introduced a two-crew glass cockpit, later adopted for the A300-600 with a common type rating. It was powered by the same GE CF6-80 or Pratt & Whitney JT9D then PW4000 turbofans. It can seat 220 passengers in two classes, or 240 in all-economy, and can fly up to . It has overwing exits between the two main front and rear door pairs. In April 1983, the aircraft entered revenue service with Swissair and competed with the Boeing 767-200, introduced six months before. Its longer range and ETOPS regulations allowed it to be operated on transatlantic flights. Until the last delivery in June 1998, 255 aircraft were produced, as it was succeeded by the larger Airbus A330-200. It has cargo aircraft versions, and was derived into the Airbus A310 MRTT military tanker/transport. A300-600ST Commonly referred to as the Airbus Beluga or "Airbus Super Transporter," these five airframes are used by Airbus to ferry parts between the company's disparate manufacturing facilities, thus enabling workshare distribution. They replaced the four Aero Spacelines Super Guppys previously used by Airbus. ICAO code: A3ST Operational history On 23 May 1974, the first A300 to enter service performed the first commercial flight of the type, flying from Paris to London, for Air France. Immediately after the launch, sales of the A300 were weak for some years, with most orders going to airlines that had an obligation to favor the domestically made product – notably Air France and Lufthansa, the first two airlines to place orders for the type. Following the appointment of Bernard Lathière as Henri Ziegler's replacement, an aggressive sales approach was adopted. Indian Airlines was the world's first domestic airline to purchase the A300, ordering three aircraft with three options. However, between December 1975 and May 1977, there were no sales for the type. During this period a number of "whitetail" A300s – completed but unsold aircraft – were completed and stored at Toulouse, and production fell to half an aircraft per month amid calls to pause production completely. During the flight testing of the A300B2, Airbus held a series of talks with Korean Air on the topic of developing a longer-range version of the A300, which would become the A300B4. In September 1974, Korean Air placed an order for 4 A300B4s with options for 2 further aircraft; this sale was viewed as significant as it was the first non-European international airline to order Airbus aircraft. Airbus had viewed South-East Asia as a vital market that was ready to be opened up and believed Korean Air to be the 'key'. Airlines operating the A300
the A300, the company had achieved a 26 per cent market share in terms of dollar value, enabling Airbus Industries to proceed with the development of its second aircraft, the Airbus A310. It was the launch of the Airbus A320 in 1987 that firmly established Airbus as a major player in the aircraft market – over 400 orders were placed before the narrow-body airliner had flown its first flight, compared to 15 for the A300 in 1972. Design The Airbus A300 is a wide-body medium-to-long range airliner; it has the distinction of being the first twin-engine wide-body aircraft in the world. In 1977, the A300 became the first Extended Range Twin Operations (ETOPS)-compliant aircraft, due to its high performance and safety standards. Another world-first of the A300 is the use of composite materials on a commercial aircraft, which were used on both secondary and later primary airframe structures, decreasing overall weight and improving cost-effectiveness. Other firsts included the pioneering use of center-of-gravity control, achieved by transferring fuel between various locations across the aircraft, and electrically signaled secondary flight controls. The A300 is powered by a pair of underwing turbofan engines, either General Electric CF6 or Pratt & Whitney JT9D engines; the sole use of underwing engine pods allowed for any suitable turbofan engine to be more readily used. The lack of a third tail-mounted engine, as per the trijet configuration used by some competing airliners, allowed for the wings to be located further forwards and to reduce the size of the vertical stabilizer and elevator, which had the effect of increasing the aircraft's flight performance and fuel efficiency. Airbus partners had employed the latest technology, some of which having been derived from Concorde, on the A300. According to Airbus, new technologies adopted for the airliner were selected principally for increased safety, operational capability, and profitability. Upon entry into service in 1974, the A300 was a very advanced plane, which went on to influence later airliner designs. The technological highlights include advanced wings by de Havilland (later BAE Systems) with supercritical airfoil sections for economical performance and advanced aerodynamically efficient flight control surfaces. The diameter circular fuselage section allows an eight-abreast passenger seating and is wide enough for 2 LD3 cargo containers side by side. Structures are made from metal billets, reducing weight. It is the first airliner to be fitted with wind shear protection. Its advanced autopilots are capable of flying the aircraft from climb-out to landing, and it has an electrically controlled braking system. Later A300s incorporated other advanced features such as the Forward-Facing Crew Cockpit, which enabled a two-pilot flight crew to fly the aircraft alone without the need for a flight engineer, the functions of which were automated; this two-man cockpit concept was a world-first for a wide-body aircraft. Glass cockpit flight instrumentation, which used cathode ray tube (CRT) monitors to display flight, navigation, and warning information, along with fully digital dual autopilots and digital flight control computers for controlling the spoilers, flaps, and leading-edge slats, were also adopted upon later-built models. Additional composites were also made use of, such as carbon-fiber-reinforced polymer (CFRP), as well as their presence in an increasing proportion of the aircraft's components, including the spoilers, rudder, air brakes, and landing gear doors. Another feature of later aircraft were the addition of wingtip fences, which improved aerodynamic performance and thus reduced cruise fuel consumption by about 1.5% for the A300-600. In addition to passenger duties, the A300 became widely used by air freight operators; according to Airbus, it is the best selling freight aircraft of all time. Various variants of the A300 were built to meet customer demands, often for diverse roles such as aerial refueling tankers, freighter models (new-build and conversions), combi aircraft, military airlifter, and VIP transport. Perhaps the most visually unique of the variants is the A300-600ST Beluga, an oversize cargo-carrying model operated by Airbus to carry aircraft sections between their manufacturing facilities. The A300 was the basis for, and retained a high level of commonality with, the second airliner produced by Airbus, the smaller Airbus A310. Variants A300B1 Only two A300B1s were built: the first prototype, registered F-WUAB, then F-OCAZ, and a second aircraft, F-WUAC, which was leased in November 1974 to Trans European Airways (TEA) and re-registered OO-TEF. TEA instantly subleased the aircraft for six weeks to Air Algérie, but continued to operate the aircraft until 1990. It had accommodation for 300 passengers (TEA) or 323 passengers (Air Algérie) with a maximum weight of and two General Electric CF6-50A engines of thrust. The A300B1 was five frames shorter than the later production versions, being only in length. A300B2 The first production version. Powered by General Electric CF6 or Pratt & Whitney JT9D engines (the same engines that powered the 747 or the DC-10) of between thrust, it entered service with Air France in May 1974. The prototype A300B2 made its first flight on 28 June 1973 and was certificated by the French and German authorities on 15 March 1974 and FAA approval followed on 30 May 1974. The first production A300B2 (A300 number 5) made its maiden flight on 15 April 1974 and was handed over to Air France a few weeks later on 10 May 1974. The A300B2 entered revenue service on 23 May 1974 between Paris and London. A300B2-100: MTOW A300B2-200: MTOW, with Krueger flaps, first delivery to South African Airways in 1976 A300B2-300: increased Maximum Landing Weight/Maximum Zero Fuel Weight A300B4 The major production version features a centre fuel tank for increased fuel capacity of , and new wing-root Krüger flaps which were later made available as an option for the B2. Production of the B2 and B4 totalled 248. The first A300B4 (the 9th A300) flew on 25 December 1974 and was certified on 26 March 1975. The first delivery was made to Germanair (which later merged into Bavaria Germanair) on 23 May 1975. A300B4-100: MTOW, first delivery to Germanair in 1975. A300B4-200: MTOW, first delivery to Hapag-Lloyd Flug in 1980 A300B4-200FF: An A300 with a "forward-facing" crew compartment. The world's first two-crew widebody airliner. Includes some of the A310s and A300-600s digital avionics. First saw service with Garuda Indonesia in 1982, further customers were Tunisair and Karair/Finnair. A300B4-600: Referred to as the A300-600. See below. A300C4: Convertible-freighter version, with a large cargo door on the port side. First delivered to South African Airways in October 1982. A300F4-200: Freighter version of the A300B4-200. The first delivery was in 1986, but few were built as the A300F4-200 was soon replaced by the more capable A300-600F (official designation: A300F4-600). A300B4C: freighter version launched in 1976 A300MF: multi-purpose freighter launched in 1976 A300-600 Officially designated A300B4-600, this version is slightly longer than the B2 and B4 and has increased interior space from using the A310 rear fuselage and horizontal tail. It has higher-power CF6-80 or Pratt & Whitney PW4000 engines and uses the Honeywell 331-250 auxiliary power unit (APU). Other changes include an improved wing featuring a recambered trailing edge, the incorporation of simpler single-slotted Fowler flaps, the deletion of slat fences, and the removal of the outboard ailerons after they were deemed unnecessary on the A310. The A300-600 made its first flight on 8 July 1983 and entered service later that year with Saudi Arabian Airlines. A total of 313 A300-600s (all versions) have been sold. The A300-600 has a similar cockpit to the A310, using digital technology and electronic displays, eliminating the need for a flight engineer. The FAA issues a single type rating which allows operation of both the A310 and A300-600. A300-600: (Official designation: A300B4-600) The baseline model of the −600 series. A300-620C: (Official designation: A300C4-620) A convertible-freighter version. Four delivered between 1984 and 1985. A300-600F: (Official designation: A300F4-600) The freighter version of the baseline −600. A300-600R: (Official designation: A300B4-600R) The increased-range −600, achieved by an additional trim fuel tank in the tail. First delivery in 1988 to American Airlines; all A300s built since 1989 (freighters included) are −600Rs. Japan Air System (later merged into Japan Airlines) took delivery of the last new-built passenger A300, an A300-622R, in November 2002. A300-600RC: (Official designation: A300C4-600R) The convertible-freighter version of the -600R. Two were delivered in 1999. A300-600RF: (Official designation: A300F4-600R) The freighter version of the −600R. All A300s delivered between November 2002 and 12 July 2007 (last ever A300 delivery) were A300-600RFs. A300B10 (A310) Airbus had demand for an aircraft smaller than the A300. On 7 July 1978, the A310 (initially the A300B10) was launched with orders from Swissair and Lufthansa. On 3 April 1982, the first prototype conducted its maiden flight and it received its type certification on 11 March 1983. Keeping the same eight-abreast cross-section, the A310 is shorter than the initial A300 variants, and has a smaller wing, down from . The A310 introduced a two-crew glass cockpit, later adopted for the A300-600 with a common type rating. It was powered by the same GE CF6-80 or Pratt & Whitney JT9D then PW4000 turbofans. It can seat 220 passengers in two classes, or 240 in all-economy, and can fly up to . It has overwing exits between the two main front and rear door pairs. In April 1983, the aircraft entered revenue service with Swissair and competed with the Boeing 767-200, introduced six months before. Its longer range and ETOPS regulations allowed it to be operated on transatlantic flights. Until the last delivery in June 1998, 255 aircraft were produced, as it was succeeded by the larger Airbus A330-200. It has cargo aircraft versions, and was derived into the Airbus A310 MRTT military tanker/transport. A300-600ST Commonly referred to as the Airbus Beluga or "Airbus Super Transporter," these five airframes are used by Airbus to ferry parts between the company's disparate manufacturing facilities, thus enabling workshare distribution. They replaced the four Aero Spacelines Super Guppys previously used by Airbus. ICAO code: A3ST Operational history On 23 May 1974, the first A300 to enter service performed the first commercial flight of the type, flying from Paris to London, for Air France. Immediately after the launch, sales of the A300 were weak for some years, with most orders going to airlines that had an obligation to favor the domestically made product – notably Air France and Lufthansa, the first two airlines to place orders for the type. Following the appointment of Bernard Lathière as Henri Ziegler's replacement, an aggressive sales approach was adopted. Indian Airlines was the world's first domestic airline to purchase the A300, ordering three aircraft with three options. However, between December 1975 and May 1977, there were no sales for the type. During this period a number of "whitetail" A300s – completed but unsold aircraft – were completed and stored at Toulouse, and production fell to half an aircraft per month amid calls to pause production completely. During the flight testing of the A300B2, Airbus held a series of talks with Korean Air on the topic of developing a longer-range version of the A300, which would become the A300B4. In September 1974, Korean Air placed an order for 4 A300B4s with options for 2 further aircraft; this sale was viewed as significant as it was the first non-European international airline to order Airbus aircraft. Airbus had viewed South-East Asia as a vital market that was ready to be opened up and believed Korean Air to be the 'key'. Airlines operating the A300 on short haul routes were forced to reduce frequencies to try and fill the aircraft. As a result, they lost passengers to airlines operating more frequent narrow body flights. Eventually, Airbus had to build its own narrowbody aircraft (the A320) to compete with the Boeing 737 and McDonnell Douglas DC-9/MD-80. The savior of the A300 was the advent of ETOPS, a revised FAA rule which allows twin-engine jets to fly long-distance routes that were previously off-limits to them. This enabled Airbus to develop the aircraft as a medium/long range airliner. In 1977, US carrier Eastern Air Lines leased four A300s as an in-service trial. Frank Borman, ex-astronaut and the then CEO of the airline, was impressed that the A300 consumed 30% less fuel, even less than expected, than his fleet of L-1011s. Borman proceeded to order 23 A300s, becoming the first U.S. customer for the type. This order is often cited as the point at which Airbus came to be seen as a serious competitor to the large American aircraft-manufacturers Boeing and McDonnell Douglas. Aviation author John Bowen alleged that various concessions, such as loan guarantees from European governments and compensation payments, were a factor in the decision as well. The Eastern Air Lines breakthrough was shortly followed by an order from Pan Am. From then on, the A300 family sold well, eventually reaching a total of 561 delivered aircraft. In December 1977, Aerocondor Colombia became the first Airbus operator in Latin America, leasing one Airbus A300B4-2C, named Ciudad de Barranquilla. During the late 1970s, Airbus adopted a so-called 'Silk Road' strategy, targeting airlines in the Far East. As a result, The aircraft found particular favor with Asian airlines, being bought by Japan Air System, Korean Air, China Eastern Airlines, Thai Airways International, Singapore Airlines, Malaysia Airlines, Philippine Airlines, Garuda Indonesia, China Airlines, Pakistan International Airlines, Indian Airlines, Trans Australia Airlines and many others. As Asia did not have restrictions similar to the FAA 60-minutes rule for twin-engine airliners which existed at the time, Asian airlines used A300s for routes across the Bay of Bengal and South China Sea. In 1977, the A300B4 became the first ETOPS compliant aircraft, qualifying for Extended Twin Engine Operations over water, providing operators with more versatility in routing. In 1982 Garuda Indonesia became the first airline to fly the A300B4-200FF. By 1981, Airbus was growing rapidly, with over 400 aircraft sold to over forty airlines. In 1989, Chinese operator China Eastern Airlines received its first A300; by 2006, the airline operated around 18 A300s, making it the largest operator of both the A300 and the A310 at that time. On 31 May 2014, China Eastern officially retired the last A300-600 in its fleet, having begun drawing down the type in 2010. From 1997 to 2014, a single A300, designated A300 Zero-G, was operated by the European Space Agency (ESA), centre national d'études spatiales (CNES) and the German Aerospace Center (DLR) as a reduced-gravity aircraft for conducting research into microgravity; the A300 is the largest aircraft to ever have been used in this capacity. A typical flight would last for two and a half hours, enabling up to 30 parabolas to be performed per flight. By the 1990s, the A300 was being heavily promoted as a cargo freighter. The largest freight operator of the A300 is FedEx Express, which has 68 A300 aircraft in service. UPS Airlines also operates 52 freighter versions of the A300. The final version was the A300-600R and is rated for 180-minute ETOPS. The A300 has enjoyed renewed interest in the secondhand market for conversion to freighters; large numbers were being converted during the late 1990s. The freighter versions – either new-build A300-600s or converted ex-passenger A300-600s, A300B2s and B4s – account for most of the world freighter fleet after the Boeing 747 freighter. The A300
worked as a reproductive engraver, copying works of 16th century masters such as Federico Barocci, Tintoretto, Antonio Campi, Veronese and Correggio. He also produced some original prints, including two etchings. He traveled to Venice (1582, 1587–1589) and Parma (1586–1587). Together with Annibale and Ludovico he worked in Bologna on the fresco cycles in Palazzo Fava (Histories of Jason and Medea, 1584) and Palazzo Magnani (Histories of Romulus, 1590–1592). In 1592 he also painted the Communion of St. Jerome, now in the Pinacoteca di Bologna and considered his masterwork. In 1620, Giovanni Lanfranco, a pupil of the Carracci, famously accused another Carracci student, Domenichino, of plagiarizing this painting. From 1586 is his altarpiece of the Madonna with Child and Saints, in the National Gallery of Parma. In 1598 Carracci joined his brother Annibale in Rome, to collaborate on the decoration of the Gallery in Palazzo Farnese. From 1598 to 1600 is a triple Portrait, now in Naples, an example of genre painting. In 1600 he was called to Parma by Duke Ranuccio I Farnese to begin the decoration of the Palazzo del Giardino, but he died before it was finished. His friend the poet Claudio Achillini dedicated to him an epitaph after his death,
and Correggio. He also produced some original prints, including two etchings. He traveled to Venice (1582, 1587–1589) and Parma (1586–1587). Together with Annibale and Ludovico he worked in Bologna on the fresco cycles in Palazzo Fava (Histories of Jason and Medea, 1584) and Palazzo Magnani (Histories of Romulus, 1590–1592). In 1592 he also painted the Communion of St. Jerome, now in the Pinacoteca di Bologna and considered his masterwork. In 1620, Giovanni Lanfranco, a pupil of the Carracci, famously accused another Carracci student, Domenichino, of plagiarizing this painting. From 1586 is his altarpiece of the Madonna with Child and Saints, in the National Gallery of Parma. In 1598 Carracci joined his brother Annibale in Rome, to collaborate on the decoration of the Gallery in Palazzo Farnese. From 1598 to 1600 is a triple Portrait, now in Naples, an example of genre painting. In 1600 he was called to Parma by Duke Ranuccio I Farnese to begin the decoration of the Palazzo del Giardino, but he died before it was finished. His friend the poet Claudio Achillini dedicated to him an epitaph after his death, later published by Carlo Cesare Malvasia in the life of the Carracci. Agostino's son Antonio Carracci was also a painter, and attempted to compete with his father's Academy. An engraving by Agostino Carraci after the painting Love in the Golden Age by the 16th-century Flemish painter Paolo Fiammingo was the inspiration for Matisse's Le bonheur de vivre (Joy of Life). Works Oil on canvas unless otherwise noted 1573 – Pietà
role in pathogenesis. Most AC-III's are integral membrane proteins involved in transducing extracellular signals into intracellular responses. A Nobel Prize was awarded to Earl Sutherland in 1971 for discovering the key role of AC-III in human liver, where adrenaline indirectly stimulates AC to mobilize stored energy in the "fight or flight" response. The effect of adrenaline is via a G protein signaling cascade, which transmits chemical signals from outside the cell across the membrane to the inside of the cell (cytoplasm). The outside signal (in this case, adrenaline) binds to a receptor, which transmits a signal to the G protein, which transmits a signal to adenylyl cyclase, which transmits a signal by converting adenosine triphosphate to cyclic adenosine monophosphate (cAMP). cAMP is known as a second messenger. Cyclic AMP is an important molecule in eukaryotic signal transduction, a so-called second messenger. Adenylyl cyclases are often activated or inhibited by G proteins, which are coupled to membrane receptors and thus can respond to hormonal or other stimuli. Following activation of adenylyl cyclase, the resulting cAMP acts as a second messenger by interacting with and regulating other proteins such as protein kinase A and cyclic nucleotide-gated ion channels. Photoactivated adenylyl cyclase (PAC) was discovered in Euglena gracilis and can be expressed in other organisms through genetic manipulation. Shining blue light on a cell containing PAC activates it and abruptly increases the rate of conversion of ATP to cAMP. This is a useful technique for researchers in neuroscience because it allows them to quickly increase the intracellular cAMP levels in particular neurons, and to study the effect of that increase in neural activity on the behavior of the organism. A green-light activated rhodopsin adenylyl cyclase (CaRhAC) has recently been engineered by modifying the nuclecotide binding pocket of rhodopsin guanylyl cyclase. Structure Most class III adenylyl cyclases are transmembrane proteins with 12 transmembrane segments. The protein is organized with 6 transmembrane segments, then the C1 cytoplasmic domain, then another 6 membrane segments, and then a second cytoplasmic domain called C2. The important parts for function are the N-terminus and the C1 and C2 regions. The C1a and C2a subdomains are homologous and form an intramolecular 'dimer' that forms the active site. In Mycobacterium tuberculosis and many other bacterial cases, the AC-III polypeptide is only half as long, comprising one 6-transmembrane domain followed by a cytoplasmic domain, but two of these form a functional homodimer that resembles the mammalian architecture with two active sites. In non-animal class III ACs, the catalytic cytoplasmic domain is seen associated with other (not necessarily transmembrane) domains. Class III adenylyl cyclase domains can be further divided into four subfamilies, termed class IIIa through IIId. Animal membrane-bound ACs belong to class IIIa. Mechanism The reaction happens with two metal cofactors (Mg or Mn) coordinated to the two aspartate residues on C1. They perform a nucleophilic attack of the 3'-OH group of the ribose on the α-phosphoryl group of ATP. The two lysine and aspartate residues on C2 selects ATP over GTP for the substrate, so that the enzyme is not a guanylyl cyclase. A pair of arginine and asparagine residues on C2 stabilizes the transition state. In many proteins, these residues are nevertheless mutated while retaining the adenylyl cyclase activity. Types There are ten known isoforms of adenylyl cyclases in mammals: These are also sometimes called simply AC1, AC2, etc., and, somewhat confusingly, sometimes Roman numerals are used for these isoforms that all belong to the overall AC class III. They differ mainly in how they are regulated, and are differentially expressed in various tissues throughout mammalian development. Regulation Adenylyl cyclase is regulated by G proteins, which can be found in the monomeric form or the heterotrimeric form, consisting of three subunits. Adenylyl cyclase activity is controlled by heterotrimeric G proteins. The inactive or inhibitory form exists when the complex consists of alpha, beta, and gamma subunits, with GDP bound to the alpha subunit. In order to become active, a ligand must bind to the receptor and cause a conformational change. This conformational change causes the alpha subunit to dissociate from the complex and become bound to GTP. This G-alpha-GTP complex then binds to adenylyl cyclase and causes activation and the release of cAMP. Since a good signal requires the help of enzymes, which turn on and off signals quickly, there must also be a mechanism in which adenylyl cyclase deactivates and inhibits cAMP. The deactivation of the active G-alpha-GTP complex is accomplished rapidly by GTP hydrolysis due to
messenger. Cyclic AMP is an important molecule in eukaryotic signal transduction, a so-called second messenger. Adenylyl cyclases are often activated or inhibited by G proteins, which are coupled to membrane receptors and thus can respond to hormonal or other stimuli. Following activation of adenylyl cyclase, the resulting cAMP acts as a second messenger by interacting with and regulating other proteins such as protein kinase A and cyclic nucleotide-gated ion channels. Photoactivated adenylyl cyclase (PAC) was discovered in Euglena gracilis and can be expressed in other organisms through genetic manipulation. Shining blue light on a cell containing PAC activates it and abruptly increases the rate of conversion of ATP to cAMP. This is a useful technique for researchers in neuroscience because it allows them to quickly increase the intracellular cAMP levels in particular neurons, and to study the effect of that increase in neural activity on the behavior of the organism. A green-light activated rhodopsin adenylyl cyclase (CaRhAC) has recently been engineered by modifying the nuclecotide binding pocket of rhodopsin guanylyl cyclase. Structure Most class III adenylyl cyclases are transmembrane proteins with 12 transmembrane segments. The protein is organized with 6 transmembrane segments, then the C1 cytoplasmic domain, then another 6 membrane segments, and then a second cytoplasmic domain called C2. The important parts for function are the N-terminus and the C1 and C2 regions. The C1a and C2a subdomains are homologous and form an intramolecular 'dimer' that forms the active site. In Mycobacterium tuberculosis and many other bacterial cases, the AC-III polypeptide is only half as long, comprising one 6-transmembrane domain followed by a cytoplasmic domain, but two of these form a functional homodimer that resembles the mammalian architecture with two active sites. In non-animal class III ACs, the catalytic cytoplasmic domain is seen associated with other (not necessarily transmembrane) domains. Class III adenylyl cyclase domains can be further divided into four subfamilies, termed class IIIa through IIId. Animal membrane-bound ACs belong to class IIIa. Mechanism The reaction happens with two metal cofactors (Mg or Mn) coordinated to the two aspartate residues on C1. They perform a nucleophilic attack of the 3'-OH group of the ribose on the α-phosphoryl group of ATP. The two lysine and aspartate residues on C2 selects ATP over GTP for the substrate, so that the enzyme is not a guanylyl cyclase. A pair of arginine and asparagine residues on C2 stabilizes the transition state. In many proteins, these residues are nevertheless mutated while retaining the adenylyl cyclase activity. Types There are ten known isoforms of adenylyl cyclases in mammals: These are also sometimes called simply AC1, AC2, etc., and, somewhat confusingly, sometimes Roman numerals are used for these isoforms that all belong to the overall AC class III. They differ mainly in how they are regulated, and are differentially expressed in various tissues throughout mammalian development. Regulation Adenylyl cyclase is regulated by G proteins, which can be found in the monomeric form or the heterotrimeric form, consisting of three subunits. Adenylyl cyclase activity is controlled by heterotrimeric G proteins. The inactive or inhibitory form exists when the complex consists of alpha, beta, and gamma subunits, with GDP bound to the alpha subunit. In order to become active, a ligand must bind to the receptor and cause a conformational change. This conformational change causes the alpha subunit to dissociate from the complex and become bound to GTP. This G-alpha-GTP complex then binds to adenylyl cyclase and causes activation and the release of cAMP. Since a good signal requires the help of enzymes, which turn on and off signals quickly, there must also be a mechanism in which adenylyl cyclase deactivates and inhibits cAMP. The deactivation of the active G-alpha-GTP complex is accomplished rapidly by GTP hydrolysis due to the reaction being catalyzed by the intrinsic enzymatic activity of GTPase located in the alpha subunit. It is also regulated by forskolin, as well as other isoform-specific effectors: Isoforms I, III, and VIII are also stimulated by Ca2+/calmodulin. Isoforms V and VI are inhibited by Ca2+ in a calmodulin-independent manner. Isoforms II, IV and IX are stimulated by alpha subunit of the G protein. Isoforms I, V and VI are most clearly inhibited by Gi, while other isoforms show less dual regulation by the inhibitory G protein. Soluble AC (sAC) is not a transmembrane form
name Alexandra 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". The earliest attested form of the name is the Mycenaean Greek ( or //), written in the Linear B syllabic script. Variants Alejandra, Alejandrina (diminutive) (Spanish) Aleksandra (Александра) (Albanian, Bulgarian, Estonian, Latvian, Lithuanian, Macedonian, Polish, Russian, Serbo-Croatian) Alessandra (Italian) Alessia (Italian) Alex (various languages) Alexa (English, Romanian, Spanish, Swedish) Alexandra (English, Romanian, Portuguese) Alexis, English Aliaksandra (Belarusian) Alikhandra /اليخاندرا (Egyptian) Alissandra/Alyssandra (Sicilian, Greek) Allie (English) Ally (English) Alya (Russian) Ālēkjāndrā / আলেকজান্দ্রা (Bengali) Αλεξάνδρα (Greek) Leska (Czech) Lesya (Ukrainian) Lexa (English) Lexie (English) Lexine (English) Lexi (English) Lexy (English) Oleksandra (Ukrainian) Sacha (French) Sanda (Romanian) Sandie (English) Sandra (Danish, Dutch, English, Polish, Estonian, Italian, Finnish, German, Icelandic, Latvian, Lithuanian, Norwegian, Portuguese, Romanian, Russian, Spanish, Serbo-Croatian, Slovene, Swedish) Sandy (English) Sascha (German) Sasha (Russian, Belarusian, Ukrainian, English, Spanish) Saskia (Slavic) Saundra (English, Scottish) Saša (Czech, Serbo-Croatian, Slovak, Slovene) Saška (Serbian) Shura (Russian) Sondra (English) Szandra (Hungarian) People People whose full name is Alexandra Alexandra or Cassandra, a prophetess in Greek mythology Saint Alexandra, a martyr of the Diocletianic persecutions Alexandra, sister of the Rhetor Calliopius of Antioch Alexandra (singer) (1942–1969), German singer (stage name; real name Doris Nefedov) Princess Alexandra (disambiguation), list of princesses named Alexandra. People with the given name Alexandra Alexandra of Denmark (1844–1925), Queen consort of the United Kingdom, Empress consort of India as the wife of King-Emperor Edward VII Grand Duchess Alexandra Georgievna of Russia, formerly Princess Alexandra of Greece and Denmark (1870–1891) Queen Alexandra of Yugoslavia, formerly Princess Alexandra of Greece and Denmark (1921–1993) Alexandra Feodorovna (formerly Alix of Hesse), Emperess of Russia, wife of Tsar Nicholas II. Elena Alexandra Apostoleanu (born 1986), Romanian singer, better known as Inna Alexandra Ashley Hughes (born 1985), Canadian singer-songwriter Alexandra Asimaki (born 1988), Greek water polo player Alexandra Boyko (1916–1996), Russian tank commander Alexandra Botez (born 1995), American-Canadian chess player and Twitch streamer Alexandra Breckenridge (born 1982), American actress, model, photographer Alexandra Brooks (born 1995), English footballer Alexandra Brushtein (1884–1968), Russian and Soviet writer, playwright, and memoirist Alexandra Burke (born 1988), British singer Alexandra W. Busch (born 1975), German Roman archaeologist Alexandra Caso (born 1987), Dominican Republic volleyball player Alexandra Chalupa, American pro-Ukrainian activist Alexandra Chando (born 1986), American actress Alexandra Charles (born 1946), Swedish "nightclub queen" Alexandra Daddario (born 1986), American actress Alexandra Dahlström (born 1984), Swedish actress Alexandra Dimoglou (born 1981), Greek Paralympic track and field athlete Alexandra Dariescu (born 1985), Romanian pianist Alexandra David-Néel (1868–1969), French explorer and spiritualist Allie DeBerry (born 1994), American actress and model Alexandra Duel-Hallen, American electrical engineer Alexandra Dulgheru (born 1989), Romanian tennis player Alexandra Eade (born 1998), Australian artistic gymnast Aleksandra von Engelhardt (1754–1838), Russian lady-in-waiting Alexandra Feodorovna (Alix of Hesse) (1872–1918), Tsarina of Russia, wife of Tsar Nicholas II of Russia Alexandra Feodorovna (Charlotte of Prussia) (1798–1860), Empress consort of Russia Alexandra Flood (born 1990), Australian operatic soprano Alexandra Fusai (born 1973), French tennis player (born 1954), Polish journalist and politician Alexz Johnson (born 1986), Canadian actress Alexandra Kavadas (born 1983), Greek retired footballer R. Alexandra Keith (born 1967/1968), American businesswoman Alex Kingston (born 1963), English actress Alexandra "Alix" Klineman (born 1989), American volleyball player Alexandra Kollontai (1872–1952), Russian politician Alexandra Kosteniuk (born 1984), Russian chess grandmaster and Women's World Chess Champion from 2008 to 2010. Ali Krieger (born 1984), American soccer player Alexandra Kropotkin (1887–1966), Russian-American émigré, writer Alexandra Lencastre (born 1965), Portuguese actress Allie Long (born 1987), American soccer player Alexandra Măceșanu (2003–2019), Romanian teenage girl and murder victim who was kidnapped in Caracal, Olt County, Romania in 2019 Alexandra Mardell (born 1993), English
Edward VII Grand Duchess Alexandra Georgievna of Russia, formerly Princess Alexandra of Greece and Denmark (1870–1891) Queen Alexandra of Yugoslavia, formerly Princess Alexandra of Greece and Denmark (1921–1993) Alexandra Feodorovna (formerly Alix of Hesse), Emperess of Russia, wife of Tsar Nicholas II. Elena Alexandra Apostoleanu (born 1986), Romanian singer, better known as Inna Alexandra Ashley Hughes (born 1985), Canadian singer-songwriter Alexandra Asimaki (born 1988), Greek water polo player Alexandra Boyko (1916–1996), Russian tank commander Alexandra Botez (born 1995), American-Canadian chess player and Twitch streamer Alexandra Breckenridge (born 1982), American actress, model, photographer Alexandra Brooks (born 1995), English footballer Alexandra Brushtein (1884–1968), Russian and Soviet writer, playwright, and memoirist Alexandra Burke (born 1988), British singer Alexandra W. Busch (born 1975), German Roman archaeologist Alexandra Caso (born 1987), Dominican Republic volleyball player Alexandra Chalupa, American pro-Ukrainian activist Alexandra Chando (born 1986), American actress Alexandra Charles (born 1946), Swedish "nightclub queen" Alexandra Daddario (born 1986), American actress Alexandra Dahlström (born 1984), Swedish actress Alexandra Dimoglou (born 1981), Greek Paralympic track and field athlete Alexandra Dariescu (born 1985), Romanian pianist Alexandra David-Néel (1868–1969), French explorer and spiritualist Allie DeBerry (born 1994), American actress and model Alexandra Duel-Hallen, American electrical engineer Alexandra Dulgheru (born 1989), Romanian tennis player Alexandra Eade (born 1998), Australian artistic gymnast Aleksandra von Engelhardt (1754–1838), Russian lady-in-waiting Alexandra Feodorovna (Alix of Hesse) (1872–1918), Tsarina of Russia, wife of Tsar Nicholas II of Russia Alexandra Feodorovna (Charlotte of Prussia) (1798–1860), Empress consort of Russia Alexandra Flood (born 1990), Australian operatic soprano Alexandra Fusai (born 1973), French tennis player (born 1954), Polish journalist and politician Alexz Johnson (born 1986), Canadian actress Alexandra Kavadas (born 1983), Greek retired footballer R. Alexandra Keith (born 1967/1968), American businesswoman Alex Kingston (born 1963), English actress Alexandra "Alix" Klineman (born 1989), American volleyball player Alexandra Kollontai (1872–1952), Russian politician Alexandra Kosteniuk (born 1984), Russian chess grandmaster and Women's World Chess Champion from 2008 to 2010. Ali Krieger (born 1984), American soccer player Alexandra Kropotkin
Articolo 31 in a track titled 1 vs 2 on the first album of the beatmaker Fritz da Cat, starting a feud that would go on for years. In 2001, Articolo 31 collaborated with the American old school rapper Kurtis Blow on the album XChé SI!. In the same year, they made the film Senza filtro (in English, "Without filter"). Their producer was Franco Godi, who also produced the music for the Signor Rossi animated series. Their 2002 album Domani smetto represented a further departure from hip hop, increasingly relying on the formula of rapping over pop music samples. Several of their songs rotate around the theme of soft drugs legalization in Italy (pointing strongly in favour). Following their 2003 album "Italiano medio", the band took a break. Both J Ax and DJ Jad have been involved with solo projects. In 2006, the group declared an indefinite hiatus. Their posse, Spaghetti Funk, includes other popular performers like Space One and pop rappers Gemelli DiVersi. Band members
funk, pop and traditional Italian musical forms. They are one of the most popular Italian hip hop groups. Band history Articolo 31 were formed by rapper J-Ax (real name Alessandro Aleotti) and DJ Jad (Vito Luca Perrini). In the spoken intro of the album Strade di Città ("City Streets"), it is stated that the band is named after the article of the Irish constitution guaranteeing freedom of the press, although article 31 of the Irish constitution is not about the freedom of the press. They probably meant the Section 31 of the Broadcasting
for political prisoners, 3) restore the Constitution of Finland, 4) declare autonomy of Poland, 5) provide national minorities autonomy in the field of culture, 6) abolish restrictions against Jews, 7) end religious intolerance, 8) stop the harassment of legal trade union organizations. Kerensky was an active member of the irregular Freemasonic lodge, the Grand Orient of Russia's Peoples, which derived from the Grand Orient of France. Kerensky was Secretary-General of the Grand Orient of Russia's Peoples and stood down following his ascent to the government in July 1917. He was succeeded by a Menshevik, Alexander Halpern. Rasputin In response to bitter resentments held against the imperial favourite Grigori Rasputin in the midst of Russia's failing effort in World War I, Kerensky, at the opening of the Duma on 2 November 1916, called the imperial ministers "hired assassins" and "cowards", and alleged that they were "guided by the contemptible Grishka Rasputin!" Grand Duke Nikolai Mikhailovich, Prince Lvov, and general Mikhail Alekseyev attempted to persuade the emperor Nicholas II to send away the Empress Alexandra Feodorovna, Rasputin's steadfast patron, either to the Livadia Palace in Yalta or to Britain. Mikhail Rodzianko, Zinaida Yusupova (the mother of Felix Yusupov), Alexandra's sister Elisabeth, Arch Duchess Victoria and the empress's mother-in-law Maria Feodorovna also tried to influence and pressure the imperial couple to remove Rasputin from his position of influence within the imperial household, but without success. According to Kerensky, Rasputin had terrorised the empress by threatening to return to his native village. Members of the nobility murdered Rasputin in December 1916, burying him near the imperial residence in Tsarskoye Selo. Shortly after the February Revolution of 1917, Kerensky ordered soldiers to re-bury the corpse at an unmarked spot in the countryside. However, the truck broke down or was forced to stop because of the snow on Lesnoe Road outside of St. Petersburg. It is likely the corpse was incinerated (between 3 and 7 in the morning) in the cauldrons of the nearby boiler shop of the Saint Petersburg State Polytechnical University, including the coffin, without leaving a single trace. Russian Provisional Government of 1917 When the February Revolution broke out in 1917, Kerensky – together with Pavel Milyukov – was one of its most prominent leaders. As one of the Duma's most well-known speakers against the monarchy and as a lawyer and defender of many revolutionaries, Kerensky became a member of the Provisional Committee of the State Duma and was elected vice-chairman of the newly formed Petrograd Soviet. These two bodies, the Duma and the Petrograd Soviet, or – rather – their respective executive committees, soon became each other's antagonists on most matters except regarding the end of the Tsar's autocracy. The Petrograd Soviet grew to include 3000 to 4000 members, and their meetings could drown in a blur of everlasting orations. At the meeting of to the Executive Committee of the Petrograd Soviet, or Ispolkom, formed – a self-appointed committee, with (eventually) three members from each of the parties represented in the Soviet. Kerensky became one of the members representing the Social Revolutionary party (the SRs). On , without any consultation with the government, the Ispolkom of the Soviet issued the infamous Order No. 1, intended only for the 160,000-strong Petrograd garrison, but soon interpreted as applicable to all soldiers at the front. The order stipulated that all military units should form committees like the Petrograd Soviet. This led to confusion and "stripping of officers' authority"; further, "Order No. 3" stipulated that the military was subordinate to Ispolkom in the political hierarchy. The ideas came from a group of Socialists and aimed to limit the officers' power to military affairs. The socialist intellectuals believed the officers to be the most likely counterrevolutionary elements. Kerensky's role in these orders is unclear, but he participated in the decisions. But just as before the revolution he had defended many who disliked the Tsar, he now saved the lives of many of the Tsar's civil servants about to be lynched by mobs. Additionally, the Duma formed an executive committee which eventually became the Russian Provisional Government. As there was little trust between Ispolkom and this Government (and as he was about to accept the office of Attorney General in the Provisional Government), Kerensky gave a most passionate speech, not just to the Ispolkom, but to the entire Petrograd Soviet. He then swore, as Minister, never to violate democratic values, and ended his speech with the words "I cannot live without the people. In the moment you begin to doubt me, then kill me." The huge majority (workers and soldiers) gave him great applause, and Kerensky now became the first and the only one who participated in both the Provisional Government and the Ispolkom. As a link between Ispolkom and the Provisional Government, the quite ambitious Kerensky stood to benefit from this position. After the first government crisis over Pavel Milyukov's secret note re-committing Russia to its original war-aims on 2–4 May, Kerensky became the Minister of War and the dominant figure in the newly formed socialist-liberal coalition government. On 10 May (Julian calendar), Kerensky started for the front and visited one division after another, urging the men to do their duty. His speeches were impressive and convincing for the moment, but had little lasting effect. Under Allied pressure to continue the war, he launched what became known as the Kerensky Offensive against the Austro-Hungarian/German South Army on . At first successful, the offensive soon met strong resistance and the Central Powers riposted with a strong counter-attack. The Russian army retreated and suffered heavy losses, and it became clear from many incidents of desertion, sabotage, and mutiny that the army was no longer willing to attack. The military heavily criticised Kerensky for his liberal policies, which included stripping officers of their mandates and handing over control to revolutionary-inclined "soldier committees" () instead; abolition of the death penalty; and allowing revolutionary agitators to be present at the front. Many officers jokingly referred to commander-in-chief Kerensky as the "persuader-in-chief" On 2 July 1917 the Provisional Government's first coalition collapsed over the question of Ukraine's autonomy. Following the July Days unrest in Petrograd (3–7 July [16–20 July, N.S.] 1917) and the official suppression of the Bolsheviks, Kerensky succeeded Prince Lvov as Russia's Prime Minister on . Following the Kornilov Affair, an attempted military coup d'état at the end of August, and the resignation of the other ministers, he appointed himself Supreme Commander-in-Chief as well. On 15 September Kerensky proclaimed Russia a republic, which was contrary to the non-socialists' understanding that the Provisional Government should hold power
son in the family. His father, Fyodor Mikhailovich Kerensky, was a teacher and director of the local gymnasium and was later promoted to be an inspector of public schools. His maternal grandfather was head of the Topographical Bureau of the Kazan Military District. His mother, Nadezhda Aleksandrovna (née Adler), was the granddaughter of a former serf who had managed to purchase his freedom before serfdom was abolished in 1861. He subsequently embarked upon a mercantile career, in which he prospered. This allowed him to move his business to Moscow, where he continued his success and became a wealthy Moscow merchant. Kerensky's father was the teacher of Vladimir Ulyanov (Lenin), and members of the Kerensky and Ulyanov families were friends. In 1889, when Kerensky was eight, the family moved to Tashkent, where his father had been appointed the main inspector of public schools (superintendent). Alexander graduated with honours in 1899. The same year he entered St. Petersburg University, where he studied history and philology. The next year he switched to law. He earned his law degree in 1904 and married Olga Lvovna Baranovskaya, the daughter of a Russian general, the same year. Kerensky joined the Narodnik movement and worked as a legal counsel to victims of the Revolution of 1905. At the end of 1904, he was jailed on suspicion of belonging to a militant group. Afterwards, he gained a reputation for his work as a defence lawyer in a number of political trials of revolutionaries. In 1912, Kerensky became widely known when he visited the goldfields at the Lena River and published material about the Lena Minefields incident. In the same year, Kerensky was elected to the Fourth Duma as a member of the Trudoviks, a socialist, non-Marxist labour party founded by Alexis Aladin that was associated with the Socialist-Revolutionary Party, and joined a Freemason society uniting the anti-monarchy forces that strived for democratic renewal of Russia. In fact, the Socialist Revolutionary Party bought Kerensky a house, as he otherwise would not be eligible for election to the Duma, according to the Russian property-laws. He soon became a significant member of the Progressive Block, which included several Socialist Parties, Mensheviks, and Liberals – but not Bolsheviks. He was a brilliant orator and skilled parliamentary leader of the socialist opposition to the government of Tsar Nicholas II. During the 4th Session of the Fourth Duma in spring 1915, Kerensky appealed to Rodzianko with a request from the Council of elders to inform the Tsar that to succeed in the war he must: 1) change his domestic policy, 2) proclaim a General Amnesty for political prisoners, 3) restore the Constitution of Finland, 4) declare autonomy of Poland, 5) provide national minorities autonomy in the field of culture, 6) abolish restrictions against Jews, 7) end religious intolerance, 8) stop the harassment of legal trade union organizations. Kerensky was an active member of the irregular Freemasonic lodge, the Grand Orient of Russia's Peoples, which derived from the Grand Orient of France. Kerensky was Secretary-General of the Grand Orient of Russia's Peoples and stood down following his ascent to the government in July 1917. He was succeeded by a Menshevik, Alexander Halpern. Rasputin In response to bitter resentments held against the imperial favourite Grigori Rasputin in the midst of Russia's failing effort in World War I, Kerensky, at the opening of the Duma on 2 November 1916, called the imperial ministers "hired assassins" and "cowards", and alleged that they were "guided by the contemptible Grishka Rasputin!" Grand Duke Nikolai Mikhailovich, Prince Lvov, and general Mikhail Alekseyev attempted to persuade the emperor Nicholas II to send away the Empress Alexandra Feodorovna, Rasputin's steadfast patron, either to the Livadia Palace in Yalta or to Britain. Mikhail Rodzianko, Zinaida Yusupova (the mother of Felix Yusupov), Alexandra's sister Elisabeth, Arch Duchess Victoria and the empress's mother-in-law Maria Feodorovna also tried to influence and pressure the imperial couple to remove Rasputin from his position of influence within the imperial household, but without success. According to Kerensky, Rasputin had terrorised the empress by threatening to return to his native village. Members of the nobility murdered Rasputin in December 1916, burying him near the imperial residence in Tsarskoye Selo. Shortly after the February Revolution of 1917, Kerensky ordered soldiers to re-bury the corpse at an unmarked spot in the countryside. However, the truck broke down or was forced to stop because of the snow on Lesnoe Road outside of St. Petersburg. It is likely the corpse was incinerated (between 3 and 7 in the morning) in the cauldrons of the nearby boiler shop of the Saint Petersburg State Polytechnical University, including the coffin, without leaving a single trace. Russian Provisional Government of 1917 When the February Revolution broke out in 1917, Kerensky – together with Pavel Milyukov – was one of its most prominent leaders. As one of the Duma's most well-known speakers against the monarchy and as a lawyer and defender of many revolutionaries, Kerensky became a member of the Provisional Committee of the State Duma and was elected vice-chairman of the newly formed Petrograd Soviet. These two bodies, the Duma and the Petrograd Soviet, or – rather – their respective executive committees, soon became each other's antagonists on most matters except regarding the end of the Tsar's autocracy. The Petrograd Soviet grew to include 3000 to 4000 members, and their meetings could drown in a blur of everlasting orations. At the meeting of to the Executive Committee of the Petrograd Soviet, or Ispolkom, formed – a self-appointed committee, with (eventually) three members from each of the parties represented in the Soviet. Kerensky became one of the members representing the Social Revolutionary party (the SRs). On , without any consultation with the government, the Ispolkom of the Soviet issued the infamous Order No. 1, intended only for the 160,000-strong Petrograd garrison, but soon interpreted as applicable to all soldiers at the front. The order stipulated that all military units should form committees like the Petrograd Soviet. This led to confusion and "stripping of officers' authority"; further, "Order No. 3" stipulated that the military was subordinate to Ispolkom in the political hierarchy. The ideas came from a group of Socialists and aimed to limit the officers' power to military affairs. The socialist intellectuals believed the officers to be the most likely counterrevolutionary elements. Kerensky's role in these orders is unclear, but he participated in the decisions. But just as before the revolution he had defended many who disliked the Tsar, he now saved the lives of many of the Tsar's civil servants about to be lynched by mobs. Additionally, the Duma formed an executive committee which eventually became the Russian Provisional Government. As there was little trust between Ispolkom and this Government (and as he was about to accept the office of Attorney General in the Provisional Government), Kerensky gave a most passionate speech, not just to the Ispolkom, but to the entire Petrograd Soviet. He then swore, as Minister, never to violate democratic values, and ended his speech with the words "I cannot live without the people. In the moment you begin to doubt me, then kill me." The huge majority (workers and soldiers) gave him great applause, and Kerensky now became the first and the only one who participated in both the Provisional Government and the Ispolkom. As a link between Ispolkom and the Provisional Government, the quite ambitious Kerensky stood to benefit from this position. After the first government crisis over Pavel Milyukov's secret note re-committing Russia to its original war-aims on 2–4 May, Kerensky became the Minister of War and the dominant figure in the newly formed socialist-liberal coalition government. On 10 May (Julian calendar), Kerensky started for the front and visited one division after another, urging the men to do their duty. His speeches were impressive and convincing for the moment, but had little lasting effect. Under Allied pressure to continue the war, he launched what became known as the Kerensky Offensive against the Austro-Hungarian/German South Army on . At first successful, the offensive soon met strong resistance and the Central Powers riposted with a strong counter-attack. The Russian army retreated and
have been Ansgar's main life motivator. Ansgar acted in the context of the phase of Christianization of Saxony (present day Northern Germany) begun by Charlemagne and continued by Charlemagne's son and successor, Louis the Pious. In 822 Ansgar became one of many missionaries sent to found the abbey of Corvey (New Corbie) in Westphalia, where he became a teacher and preacher. A group of monks including Ansgar were sent further north to Jutland with the king Harald Klak, who had received baptism during his exile. With Harald's downfall in 827 and Ansgar's companion Autbert having died, their school for the sons of courtiers closed and Ansgar returned to Germany. Then in 829, after the Swedish king Björn at Hauge requested missionaries for his Swedes, King Louis sent Ansgar, now accompanied by friar Witmar from New Corbie as his assistant. Ansgar preached and made converts, particularly during six months at Birka, on Lake Mälaren, where the wealthy widow Mor Frideborg extended hospitality. Ansgar organized a small congregation with her and the king's steward, Hergeir, as its most prominent members. In 831 Ansgar returned to Louis' court at Worms and was appointed to the Archbishopric of Hamburg-Bremen. This was a new archbishopric, incorporating the bishoprics of Bremen and Verden and with the right to send missions into all the northern lands, as well as to consecrate bishops for them. Ansgar received the mission of evangelizing pagan Denmark, Norway and Sweden. The King of Sweden decided to cast lots as to whether to admit the Christian missionaries into his kingdom. Ansgar recommended the issue to the care of God, and the lot was favorable. Ansgar was consecrated as a bishop in November 831, with the approval of Gregory IV. Before traveling north once again, Ansgar traveled to Rome to receive the pallium directly from the pope's hands, and was formally named legate for the northern lands. Ebbo, Archbishop of Reims had previously received a similar commission, but would be deposed twice before his death in 851, and never actually traveled so far north, so the jurisdiction was divided by agreement, with Ebbo retaining Sweden for himself. For a time Ansgar devoted himself to the needs of his own diocese, which was
854, Ansgar returned to Sweden when king Olof ruled in Birka. According to Rimbert, he was well disposed to Christianity. On a Viking raid to Apuole (current village in Lithuania) in Courland, the Swedes plundered the Curonians. Death and legacy Ansgar was buried in Bremen in 865. His successor as archbishop, Rimbert, wrote the Vita Ansgarii. He noted that Ansgar wore a rough hair shirt, lived on bread and water, and showed great charity to the poor. Adam of Bremen attributed the Vita et miracula of Willehad (first bishop of Bremen) to Ansgar in Gesta Hammenburgensis ecclesiæ; Ansgar is also the reputed author of a collection of brief prayers Pigmenta (ed. J. M. Lappenberg, Hamburg, 1844). Pope Nicholas I declared Ansgar a saint shortly after the missionary's death. The first actual missionary in Sweden and the Nordic countries (and organizer of the Catholic church therein), Ansgar was later declared "Patron of Scandinavia". Relics are located in Hamburg in two places: St. Mary's Cathedral (Ger.: Domkirche St. Marien) and St. Ansgar's and St. Bernard's Church (Ger.: St. Ansgar und St. Bernhard Kirche). Statues of Bishop Ansgar stand in Hamburg, Copenhagen and Ribe, as well as a stone cross at Birka. His feast day (Lesser Festival) is 3 February, as it is in the Church of England. Visions Although a historical document and primary source written by a man whose existence can be proven historically, the Vita Ansgarii ("The Life of Ansgar") aims above all to demonstrate Ansgar's sanctity. It is partly concerned with Ansgar's visions, which, according to the author Rimbert, encouraged and assisted Ansgar's remarkable missionary feats. Through the course of this work, Ansgar repeatedly embarks on a new stage in his career following a vision. According to Rimbert, his early studies and ensuing devotion to the ascetic life of a monk were inspired by a vision of his mother in the presence of Mary, mother of Jesus. Again, when the Swedish people were left without a priest for some time, he begged King Horik to help him with this problem; then after receiving his consent, consulted with Bishop Gautbert to find a suitable man. The two together sought the approval of King Louis, which he granted when he learned that they were in agreement on the issue. Ansgar was convinced he was commanded by heaven to undertake this mission and was influenced by a vision he received when he was concerned about the journey, in which he met a man who reassured him of his purpose and informed him of a prophet that he would meet, the abbot Adalhard, who would instruct him in what was to happen. In the vision, he searched for and found Adalhard, who commanded, "Islands, listen to me, pay attention, remotest peoples", which Ansgar interpreted as God's will that he go to the Scandinavian countries as "most of that country consisted of islands, and also, when 'I will make you the light of the nations so that my salvation may reach to the ends of the earth' was added, since the end of the world in the north was in Swedish territory". See also List of Catholic saints List of Eastern Orthodox saints Calendar of saints (Episcopal Church) Hochkirchlicher Apostolat St. Ansgar Sankt-Ansgar-Schule Vita Ansgarii References Further reading Jakobsson, Sverrir. Mission Miscarried: The Narrators of the Ninth-Century Missions to Scandinavia and Central Europe. Bulgaria Medievalis 2 (2011), 49–69. Palmer, James T., Rimbert's Vita Anskarii and the Scandinavian Mission in the Ninth Century. Journal of Ecclesiastical History 55/2 (2004), 235–56. Pryce, Mark. Literary Companion to the Festivals: A Poetic Gathering to Accompany Liturgical Celebrations of Commemorations and Festivals.
of interesting and hard theorems, including at least one that has eluded human mathematicians for a long time, namely the Robbins conjecture. However, these successes are sporadic, and work on hard problems usually requires a proficient user. Another distinction is sometimes drawn between theorem proving and other techniques, where a process is considered to be theorem proving if it consists of a traditional proof, starting with axioms and producing new inference steps using rules of inference. Other techniques would include model checking, which, in the simplest case, involves brute-force enumeration of many possible states (although the actual implementation of model checkers requires much cleverness, and does not simply reduce to brute force). There are hybrid theorem proving systems which use model checking as an inference rule. There are also programs which were written to prove a particular theorem, with a (usually informal) proof that if the program finishes with a certain result, then the theorem is true. A good example of this was the machine-aided proof of the four color theorem, which was very controversial as the first claimed mathematical proof which was essentially impossible to verify by humans due to the enormous size of the program's calculation (such proofs are called non-surveyable proofs). Another example of a program-assisted proof is the one that shows that the game of Connect Four can always be won by the first player. Industrial uses Commercial use of automated theorem proving is mostly concentrated in integrated circuit design and verification. Since the Pentium FDIV bug, the complicated floating point units of modern microprocessors have been designed with extra scrutiny. AMD, Intel and others use automated theorem proving to verify that division and other operations are correctly implemented in their processors. First-order theorem proving In the late 1960s agencies funding research in automated deduction began to emphasize the need for practical applications. One of the first fruitful areas was that of program verification whereby first-order theorem provers were applied to the problem of verifying the correctness of computer programs in languages such as Pascal, Ada, etc. Notable among early program verification systems was the Stanford Pascal Verifier developed by David Luckham at Stanford University. This was based on the Stanford Resolution Prover also developed at Stanford using John Alan Robinson's resolution principle. This was the first automated deduction system to demonstrate an ability to solve mathematical problems that were announced in the Notices of the American Mathematical Society before solutions were formally published. First-order theorem proving is one of the most mature subfields of automated theorem proving. The logic is expressive enough to allow the specification of arbitrary problems, often in a reasonably natural and intuitive way. On the other hand, it is still semi-decidable, and a number of sound and complete calculi have been developed, enabling fully automated systems. More expressive logics, such as Higher-order logics, allow the convenient expression of a wider range of problems than first order logic, but theorem proving for these logics is less well developed. Benchmarks, competitions, and sources The quality of implemented systems has benefited from the existence of a large library of standard benchmark examples — the Thousands of Problems for Theorem Provers (TPTP) Problem Library — as well as from the CADE ATP System Competition (CASC), a yearly competition of first-order systems for many important classes of first-order problems. Some important systems (all have won at least one CASC competition division) are listed below. E is a high-performance prover for full first-order logic, but built on a purely equational calculus, originally developed in the automated reasoning group of Technical University of Munich under the direction of Wolfgang Bibel, and now at Baden-Württemberg Cooperative State University in Stuttgart. Otter, developed at the Argonne National Laboratory, is based on first-order resolution and paramodulation. Otter has since been replaced by Prover9, which is paired with Mace4. SETHEO is a high-performance system based on the goal-directed model elimination calculus, originally developed by a team under direction of Wolfgang Bibel. E and SETHEO have been combined (with other systems) in the composite theorem prover E-SETHEO. Vampire was originally developed and implemented at Manchester University by Andrei Voronkov and Krystof Hoder. It is now developed by a growing international team. It has won the FOF division (among other divisions) at the CADE ATP System Competition regularly since 2001. Waldmeister is a specialized system for unit-equational first-order logic developed by Arnim Buch and Thomas Hillenbrand. It won the CASC UEQ division for fourteen consecutive years (1997–2010). SPASS is a first order logic theorem prover with equality. This is developed by the research group Automation of Logic, Max Planck Institute for Computer Science. The Theorem Prover Museum is an initiative to conserve the sources of theorem prover systems for future analysis, since they are important cultural/scientific artefacts. It has the sources of many of the systems mentioned above. Popular techniques First-order resolution with unification Model elimination Method of analytic tableaux Superposition and term rewriting Model checking Mathematical induction Binary decision diagrams DPLL Higher-order unification Software systems Free software Alt-Ergo Automath CVC E GKC Gödel machine iProver IsaPlanner KED theorem prover leanCoP Leo II LCF Logictools online theorem prover LoTREC MetaPRL Mizar NuPRL Paradox Prover9 PVS Simplify SPARK (programming language) Twelf Z3 Theorem Prover Proprietary software Acumen RuleManager (commercial product) ALLIGATOR (CC BY-NC-SA 2.0 UK) CARINE KIV (freely available as a plugin for Eclipse) Prover Plug-In (commercial proof engine product) ProverBox Wolfram Mathematica ResearchCyc Spear modular arithmetic theorem prover See also Curry–Howard correspondence Symbolic computation Ramanujan machine Computer-aided proof Formal verification Logic programming Proof checking Model checking Proof complexity Computer algebra system Program analysis (computer science) General Problem Solver Metamath language for formalized mathematics Notes References External links A
on the results of Herbrand and Skolem to convert a first-order formula into successively larger sets of propositional formulae by instantiating variables with terms from the Herbrand universe. The propositional formulas could then be checked for unsatisfiability using a number of methods. Gilmore's program used conversion to disjunctive normal form, a form in which the satisfiability of a formula is obvious. Decidability of the problem Depending on the underlying logic, the problem of deciding the validity of a formula varies from trivial to impossible. For the frequent case of propositional logic, the problem is decidable but co-NP-complete, and hence only exponential-time algorithms are believed to exist for general proof tasks. For a first order predicate calculus, Gödel's completeness theorem states that the theorems (provable statements) are exactly the logically valid well-formed formulas, so identifying valid formulas is recursively enumerable: given unbounded resources, any valid formula can eventually be proven. However, invalid formulas (those that are not entailed by a given theory), cannot always be recognized. The above applies to first order theories, such as Peano arithmetic. However, for a specific model that may be described by a first order theory, some statements may be true but undecidable in the theory used to describe the model. For example, by Gödel's incompleteness theorem, we know that any theory whose proper axioms are true for the natural numbers cannot prove all first order statements true for the natural numbers, even if the list of proper axioms is allowed to be infinite enumerable. It follows that an automated theorem prover will fail to terminate while searching for a proof precisely when the statement being investigated is undecidable in the theory being used, even if it is true in the model of interest. Despite this theoretical limit, in practice, theorem provers can solve many hard problems, even in models that are not fully described by any first order theory (such as the integers). Related problems A simpler, but related, problem is proof verification, where an existing proof for a theorem is certified valid. For this, it is generally required that each individual proof step can be verified by a primitive recursive function or program, and hence the problem is always decidable. Since the proofs generated by automated theorem provers are typically very large, the problem of proof compression is crucial and various techniques aiming at making the prover's output smaller, and consequently more easily understandable and checkable, have been developed. Proof assistants require a human user to give hints to the system. Depending on the degree of automation, the prover can essentially be reduced to a proof checker, with the user providing the proof in a formal way, or significant proof tasks can be performed automatically. Interactive provers are used for a variety of tasks, but even fully automatic systems have proved a number of interesting and hard theorems, including at least one that has eluded human mathematicians for a long time, namely the Robbins conjecture. However, these successes are sporadic, and work on hard problems usually requires a proficient user. Another distinction is sometimes drawn between theorem proving and other techniques, where a process is considered to be theorem proving if it consists of a traditional proof, starting with axioms and producing new inference steps using rules of inference. Other techniques would include model checking, which, in the simplest case, involves brute-force enumeration of many possible states (although the actual implementation of model checkers requires much cleverness, and does not simply reduce to brute force). There are hybrid theorem proving systems which use model checking as an inference rule. There are also programs which were written to prove a particular theorem, with a (usually informal) proof that if the program finishes with a certain result, then the theorem is true. A good example of this was the machine-aided proof of the four color theorem, which was very controversial as the first claimed mathematical proof which was essentially impossible to verify by humans due to the enormous size of the program's calculation (such proofs are called non-surveyable proofs). Another example of a program-assisted proof is the one that shows that the game of Connect Four can always be won by the first player. Industrial uses Commercial use of automated theorem proving is mostly concentrated in integrated circuit design and verification. Since the Pentium FDIV bug, the complicated floating point units of modern microprocessors have been designed with extra scrutiny. AMD, Intel and others use automated theorem proving to verify that division and other operations are correctly implemented in their processors. First-order theorem proving In the late 1960s agencies funding research in automated deduction began to emphasize the need for practical applications. One of the first fruitful areas was that of program verification whereby first-order theorem provers were applied to the problem of verifying the correctness of computer programs in languages such as Pascal, Ada, etc. Notable among early program verification systems was the Stanford Pascal Verifier developed by David Luckham at Stanford University. This was based on the Stanford Resolution Prover also developed at Stanford using John Alan Robinson's resolution principle. This was the first automated deduction system to demonstrate an ability to solve mathematical problems that were announced in the Notices of the American Mathematical Society before solutions were formally published. First-order theorem proving is one of the most mature subfields of automated theorem proving. The logic is expressive enough to allow the specification of arbitrary problems, often in a
1996. During the first phase of the project, commission researchers devised ways to determine small dioxin levels in blood. Prior to this, such levels could only be found in the adipose (fat) tissue. The project studied dioxin (TCDD) levels in blood as well as in adipose tissue in a small group of Vietnam veterans who had been exposed to Agent Orange and compared them to those of a matched control group; the levels were found to be higher in the former group. The second phase of the project continued to examine and compare dioxin levels in various groups of Vietnam veterans, including Army, Marines and brown water riverboat Navy personnel. U.S. Congress In 1991, Congress enacted the Agent Orange Act, giving the Department of Veterans Affairs the authority to declare certain conditions "presumptive" to exposure to Agent Orange/dioxin, making these veterans who served in Vietnam eligible to receive treatment and compensation for these conditions. The same law required the National Academy of Sciences to periodically review the science on dioxin and herbicides used in Vietnam to inform the Secretary of Veterans Affairs about the strength of the scientific evidence showing association between exposure to Agent Orange/dioxin and certain conditions. The authority for the National Academy of Sciences reviews and addition of any new diseases to the presumptive list by the VA expired in 2015 under the sunset clause of the Agent Orange Act of 1991. Through this process, the list of 'presumptive' conditions has grown since 1991, and currently the U.S. Department of Veterans Affairs has listed prostate cancer, respiratory cancers, multiple myeloma, type II diabetes mellitus, Hodgkin's disease, non-Hodgkin's lymphoma, soft tissue sarcoma, chloracne, porphyria cutanea tarda, peripheral neuropathy, chronic lymphocytic leukemia, and spina bifida in children of veterans exposed to Agent Orange as conditions associated with exposure to the herbicide. This list now includes B cell leukemias, such as hairy cell leukemia, Parkinson's disease and ischemic heart disease, these last three having been added on August 31, 2010. Several highly placed individuals in government are voicing concerns about whether some of the diseases on the list should, in fact, actually have been included. In 2011, an appraisal of the 20 year long Air Force Health Study that began in 1982 indicates that the results of the AFHS as they pertain to Agent Orange, do not provide evidence of disease in the Operation Ranch Hand veterans caused by "their elevated levels of exposure to Agent Orange". The VA initially denied the applications of post-Vietnam C-123 aircrew veterans because as veterans without "boots on the ground" service in Vietnam, they were not covered under VA's interpretation of "exposed". In June 2015, the Secretary of Veterans Affairs issued an Interim final rule providing presumptive service connection for post-Vietnam C-123 aircrews, maintenance staff and aeromedical evacuation crews. The VA now provides medical care and disability compensation for the recognized list of Agent Orange illnesses. U.S.–Vietnamese government negotiations In 2002, Vietnam and the U.S. held a joint conference on Human Health and Environmental Impacts of Agent Orange. Following the conference, the U.S. National Institute of Environmental Health Sciences (NIEHS) began scientific exchanges between the U.S. and Vietnam, and began discussions for a joint research project on the human health impacts of Agent Orange. These negotiations broke down in 2005, when neither side could agree on the research protocol and the research project was canceled. More progress has been made on the environmental front. In 2005, the first U.S.-Vietnam workshop on remediation of dioxin was held. Starting in 2005, the EPA began to work with the Vietnamese government to measure the level of dioxin at the Da Nang Air Base. Also in 2005, the Joint Advisory Committee on Agent Orange, made up of representatives of Vietnamese and U.S. government agencies, was established. The committee has been meeting yearly to explore areas of scientific cooperation, technical assistance and environmental remediation of dioxin. A breakthrough in the diplomatic stalemate on this issue occurred as a result of United States President George W. Bush's state visit to Vietnam in November 2006. In the joint statement, President Bush and President Triet agreed "further joint efforts to address the environmental contamination near former dioxin storage sites would make a valuable contribution to the continued development of their bilateral relationship." On May 25, 2007, President Bush signed the U.S. Troop Readiness, Veterans' Care, Katrina Recovery, and Iraq Accountability Appropriations Act, 2007 into law for the wars in Iraq and Afghanistan that included an earmark of $3 million specifically for funding for programs for the remediation of dioxin 'hotspots' on former U.S. military bases, and for public health programs for the surrounding communities; some authors consider this to be completely inadequate, pointing out that the Da Nang Airbase alone will cost $14 million to clean up, and that three others are estimated to require $60 million for cleanup. The appropriation was renewed in the fiscal year 2009 and again in FY 2010. An additional $12 million was appropriated in the fiscal year 2010 in the Supplemental Appropriations Act and a total of $18.5 million appropriated for fiscal year 2011. Secretary of State Hillary Clinton stated during a visit to Hanoi in October 2010 that the U.S. government would begin work on the clean-up of dioxin contamination at the Da Nang Airbase. In June 2011, a ceremony was held at Da Nang airport to mark the start of U.S.-funded decontamination of dioxin hotspots in Vietnam. Thirty-two million dollars has so far been allocated by the U.S. Congress to fund the program. A $43 million project began in the summer of 2012, as Vietnam and the U.S. forge closer ties to boost trade and counter China's rising influence in the disputed South China Sea. Vietnamese victims class action lawsuit in U.S. courts On January 31, 2004, a victim's rights group, the Vietnam Association for Victims of Agent Orange/dioxin (VAVA), filed a lawsuit in the United States District Court for the Eastern District of New York in Brooklyn, against several U.S. companies for liability in causing personal injury, by developing, and producing the chemical, and claimed that the use of Agent Orange violated the 1907 Hague Convention on Land Warfare, 1925 Geneva Protocol, and the 1949 Geneva Conventions. Dow Chemical and Monsanto were the two largest producers of Agent Orange for the U.S. military and were named in the suit, along with the dozens of other companies (Diamond Shamrock, Uniroyal, Thompson Chemicals, Hercules, etc.). On March 10, 2005, Judge Jack B. Weinstein of the Eastern District – who had presided over the 1984 U.S. veterans class-action lawsuit – dismissed the lawsuit, ruling there was no legal basis for the plaintiffs' claims. He concluded Agent Orange was not considered a poison under international law at the time of its use by the U.S.; the U.S. was not prohibited from using it as a herbicide; and the companies which produced the substance were not liable for the method of its use by the government. In the dismissal statement issued by Weinstein, he wrote "The prohibition extended only to gases deployed for their asphyxiating or toxic effects on man, not to herbicides designed to affect plants that may have unintended harmful side-effects on people." Author and activist George Jackson had written previously that "if the Americans were guilty of war crimes for using Agent Orange in Vietnam, then the British would be also guilty of war crimes as well since they were the first nation to deploy the use of herbicides and defoliants in warfare and used them on a large scale throughout the Malayan Emergency. Not only was there no outcry by other states in response to the United Kingdom's use, but the U.S. viewed it as establishing a precedent for the use of herbicides and defoliants in jungle warfare." The U.S. government was also not a party in the lawsuit because of sovereign immunity, and the court ruled the chemical companies, as contractors of the U.S. government, shared the same immunity. The case was appealed and heard by the Second Circuit Court of Appeals in Manhattan on June 18, 2007. Three judges on the court upheld Weinstein's ruling to dismiss the case. They ruled that, though the herbicides contained a dioxin (a known poison), they were not intended to be used as a poison on humans. Therefore, they were not considered a chemical weapon and thus not a violation of international law. A further review of the case by the entire panel of judges of the Court of Appeals also confirmed this decision. The lawyers for the Vietnamese filed a petition to the U.S. Supreme Court to hear the case. On March 2, 2009, the Supreme Court denied certiorari and declined to reconsider the ruling of the Court of Appeals. Help for those affected in Vietnam To assist those who have been affected by Agent Orange/dioxin, the Vietnamese have established "peace villages", which each host between 50 and 100 victims, giving them medical and psychological help. As of 2006, there were 11 such villages, thus granting some social protection to fewer than a thousand victims. U.S. veterans of the war in Vietnam and individuals who are aware and sympathetic to the impacts of Agent Orange have supported these programs in Vietnam. An international group of veterans from the U.S. and its allies during the Vietnam War working with their former enemy—veterans from the Vietnam Veterans Association—established the Vietnam Friendship Village outside of Hanoi. The center provides medical care, rehabilitation and vocational training for children and veterans from Vietnam who have been affected by Agent Orange. In 1998, The Vietnam Red Cross established the Vietnam Agent Orange Victims Fund to provide direct assistance to families throughout Vietnam that have been affected. In 2003, the Vietnam Association of Victims of Agent Orange (VAVA) was formed. In addition to filing the lawsuit against the chemical companies, VAVA provides medical care, rehabilitation services and financial assistance to those injured by Agent Orange. The Vietnamese government provides small monthly stipends to more than 200,000 Vietnamese believed affected by the herbicides; this totaled $40.8 million in 2008. The Vietnam Red Cross has raised more than $22 million to assist the ill or disabled, and several U.S. foundations, United Nations agencies, European governments and nongovernmental organizations have given a total of about $23 million for site cleanup, reforestation, health care and other services to those in need. Vuong Mo of the Vietnam News Agency described one of the centers: May is 13, but she knows nothing, is unable to talk fluently, nor walk with ease due to for her bandy legs. Her father is dead and she has four elder brothers, all mentally retarded ... The students are all disabled, retarded and of different ages. Teaching them is a hard job. They are of the 3rd grade but many of them find it hard to do the reading. Only a few of them can. Their pronunciation is distorted due to their twisted lips and their memory is quite short. They easily forget what they've learned ... In the Village, it is quite hard to tell the kids' exact ages. Some in their twenties have a physical statures as small as the 7- or 8-years-old. They find it difficult to feed themselves, much less have mental ability or physical capacity for work. No one can hold back the tears when seeing the heads turning round unconsciously, the bandy arms managing to push the spoon of food into the mouths with awful difficulty ... Yet they still keep smiling, singing in their great innocence, at the presence of some visitors, craving for something beautiful. On June 16, 2010, members of the U.S.-Vietnam Dialogue Group on Agent Orange/Dioxin unveiled a comprehensive 10-year Declaration and Plan of Action to address the toxic legacy of Agent Orange and other herbicides in Vietnam. The Plan of Action was released as an Aspen Institute publication and calls upon the U.S. and Vietnamese governments to join with other governments, foundations, businesses, and nonprofits in a partnership to clean up dioxin "hot spots" in Vietnam and to expand humanitarian services for people with disabilities there. On September 16, 2010, Senator Patrick Leahy acknowledged the work of the Dialogue Group by releasing a statement on the floor of the United States Senate. The statement urges the U.S. government to take the Plan of Action's recommendations into account in developing a multi-year plan of activities to address the Agent Orange/dioxin legacy. Use outside of Vietnam Australia In 2008, Australian researcher Jean Williams claimed that cancer rates in Innisfail, Queensland, were 10 times higher than the state average because of secret testing of Agent Orange by the Australian military scientists during the Vietnam War. Williams, who had won the Order of Australia medal for her research on the effects of chemicals on U.S. war veterans, based her allegations on Australian government reports found in the Australian War Memorial's archives. A former soldier, Ted Bosworth, backed up the claims, saying that he had been involved in the secret testing. Neither Williams nor Bosworth have produced verifiable evidence to support their claims. The Queensland health department determined that cancer rates in Innisfail were no higher than those in other parts of the state. Canada The U.S. military, with the permission of the Canadian government, tested herbicides, including Agent Orange, in the forests near Canadian Forces Base Gagetown in New Brunswick. In 2007, the government of Canada offered a one-time ex gratia payment of $20,000 as compensation for Agent Orange exposure at CFB Gagetown. On July 12, 2005, Merchant Law Group, on behalf of over 1,100 Canadian veterans and civilians who were living in and around CFB Gagetown, filed a lawsuit to pursue class action litigation concerning Agent Orange and Agent Purple with the Federal Court of Canada. On August 4, 2009, the case was rejected by the court, citing lack of evidence. In 2007, the Canadian government announced that a research and fact-finding program initiated in 2005 had found the base was safe. On February 17, 2011, the Toronto Star revealed that Agent Orange had been employed to clear extensive plots of Crown land in Northern Ontario. The Toronto Star reported that, "records from the 1950s, 1960s and 1970s show forestry workers, often students and junior rangers, spent weeks at a time as human markers holding red, helium-filled balloons on fishing lines while low-flying planes sprayed toxic herbicides including an infamous chemical mixture known as Agent Orange on the brush and the boys below." In response to the Toronto Star article, the Ontario provincial government launched a probe into the use of Agent Orange. Guam An analysis of chemicals present in the island's soil, together with resolutions passed by Guam's legislature, suggest that Agent Orange was among the herbicides routinely used on and around Andersen Air Force Base and Naval Air Station Agana. Despite the evidence, the Department of Defense continues to deny that Agent Orange was stored or used on Guam. Several Guam veterans have collected evidence to assist in their disability claims for direct exposure to dioxin containing herbicides such as 2,4,5-T which are similar to the illness associations and disability coverage that has become standard for those who were harmed by the same chemical contaminant of Agent Orange used in Vietnam. Korea Agent Orange was used in Korea in the late 1960s. In 1999, about 20,000 South Koreans filed two separated lawsuits against U.S. companies, seeking more than $5 billion in damages. After losing a decision in 2002, they filed an appeal. In January 2006, the South Korean Appeals Court ordered Dow Chemical and Monsanto to pay $62 million in compensation to about 6,800 people. The ruling acknowledged that "the defendants failed to ensure safety as the defoliants manufactured by the defendants had higher levels of dioxins than standard", and, quoting the U.S. National Academy of Science report, declared that there was a "causal relationship" between Agent Orange and a range of diseases, including several cancers. The judges failed to acknowledge "the relationship between the chemical and peripheral neuropathy, the disease most widespread among Agent Orange victims". In 2011, the United States local press KPHO-TV in Phoenix, Arizona, alleged that in 1978 the United States Army had buried 250 drums of Agent Orange in Camp Carroll, the U.S. Army base in Gyeongsangbuk-do, Korea. Currently, veterans who provide evidence meeting VA requirements for service in Vietnam and who can medically establish that anytime after this 'presumptive exposure' they developed any medical problems on the list of presumptive diseases, may receive compensation from the VA. Certain veterans who served in Korea and are able to prove they were assigned to certain specified around the DMZ during a specific time frame are afforded similar presumption. New Zealand The use of Agent Orange has been controversial in New Zealand, because of the exposure of New Zealand troops in Vietnam and because of the production of herbicide used in Agent Orange which has been alleged at various times to have been exported for use in the Vietnam War and to other users by the Ivon Watkins-Dow chemical plant in Paritutu, New Plymouth. There have been continuing claims, as yet unproven, that the suburb of Paritutu has also been polluted. There are cases of New Zealand soldiers developing cancers such as bone cancer, but none has been scientifically connected to exposure to herbicides. Philippines Herbicide persistence studies of Agents Orange and White were conducted in the Philippines. Johnston Atoll The U.S. Air Force operation to remove Herbicide Orange from Vietnam in 1972 was named Operation Pacer IVY, while the operation to destroy the Agent Orange stored at Johnston Atoll in 1977 was named Operation Pacer HO. Operation Pacer IVY collected Agent Orange in South Vietnam and removed it in 1972 aboard the ship for storage on Johnston Atoll. The EPA reports that of Herbicide Orange was stored at Johnston Island in the Pacific and at
sum was ordered to be paid by Monsanto alone. Many veterans who were victims of Agent Orange exposure were outraged the case had been settled instead of going to court and felt they had been betrayed by the lawyers. "Fairness Hearings" were held in five major American cities, where veterans and their families discussed their reactions to the settlement and condemned the actions of the lawyers and courts, demanding the case be heard before a jury of their peers. Federal Judge Jack B. Weinstein refused the appeals, claiming the settlement was "fair and just". By 1989, the veterans' fears were confirmed when it was decided how the money from the settlement would be paid out. A totally disabled Vietnam veteran would receive a maximum of $12,000 spread out over the course of 10 years. Furthermore, by accepting the settlement payments, disabled veterans would become ineligible for many state benefits that provided far more monetary support than the settlement, such as food stamps, public assistance, and government pensions. A widow of a Vietnam veteran who died of Agent Orange exposure would receive $3,700. In 2004, Monsanto spokesman Jill Montgomery said Monsanto should not be liable at all for injuries or deaths caused by Agent Orange, saying: "We are sympathetic with people who believe they have been injured and understand their concern to find the cause, but reliable scientific evidence indicates that Agent Orange is not the cause of serious long-term health effects." New Jersey Agent Orange Commission In 1980, New Jersey created the New Jersey Agent Orange Commission, the first state commission created to study its effects. The commission's research project in association with Rutgers University was called "The Pointman Project". It was disbanded by Governor Christine Todd Whitman in 1996. During the first phase of the project, commission researchers devised ways to determine small dioxin levels in blood. Prior to this, such levels could only be found in the adipose (fat) tissue. The project studied dioxin (TCDD) levels in blood as well as in adipose tissue in a small group of Vietnam veterans who had been exposed to Agent Orange and compared them to those of a matched control group; the levels were found to be higher in the former group. The second phase of the project continued to examine and compare dioxin levels in various groups of Vietnam veterans, including Army, Marines and brown water riverboat Navy personnel. U.S. Congress In 1991, Congress enacted the Agent Orange Act, giving the Department of Veterans Affairs the authority to declare certain conditions "presumptive" to exposure to Agent Orange/dioxin, making these veterans who served in Vietnam eligible to receive treatment and compensation for these conditions. The same law required the National Academy of Sciences to periodically review the science on dioxin and herbicides used in Vietnam to inform the Secretary of Veterans Affairs about the strength of the scientific evidence showing association between exposure to Agent Orange/dioxin and certain conditions. The authority for the National Academy of Sciences reviews and addition of any new diseases to the presumptive list by the VA expired in 2015 under the sunset clause of the Agent Orange Act of 1991. Through this process, the list of 'presumptive' conditions has grown since 1991, and currently the U.S. Department of Veterans Affairs has listed prostate cancer, respiratory cancers, multiple myeloma, type II diabetes mellitus, Hodgkin's disease, non-Hodgkin's lymphoma, soft tissue sarcoma, chloracne, porphyria cutanea tarda, peripheral neuropathy, chronic lymphocytic leukemia, and spina bifida in children of veterans exposed to Agent Orange as conditions associated with exposure to the herbicide. This list now includes B cell leukemias, such as hairy cell leukemia, Parkinson's disease and ischemic heart disease, these last three having been added on August 31, 2010. Several highly placed individuals in government are voicing concerns about whether some of the diseases on the list should, in fact, actually have been included. In 2011, an appraisal of the 20 year long Air Force Health Study that began in 1982 indicates that the results of the AFHS as they pertain to Agent Orange, do not provide evidence of disease in the Operation Ranch Hand veterans caused by "their elevated levels of exposure to Agent Orange". The VA initially denied the applications of post-Vietnam C-123 aircrew veterans because as veterans without "boots on the ground" service in Vietnam, they were not covered under VA's interpretation of "exposed". In June 2015, the Secretary of Veterans Affairs issued an Interim final rule providing presumptive service connection for post-Vietnam C-123 aircrews, maintenance staff and aeromedical evacuation crews. The VA now provides medical care and disability compensation for the recognized list of Agent Orange illnesses. U.S.–Vietnamese government negotiations In 2002, Vietnam and the U.S. held a joint conference on Human Health and Environmental Impacts of Agent Orange. Following the conference, the U.S. National Institute of Environmental Health Sciences (NIEHS) began scientific exchanges between the U.S. and Vietnam, and began discussions for a joint research project on the human health impacts of Agent Orange. These negotiations broke down in 2005, when neither side could agree on the research protocol and the research project was canceled. More progress has been made on the environmental front. In 2005, the first U.S.-Vietnam workshop on remediation of dioxin was held. Starting in 2005, the EPA began to work with the Vietnamese government to measure the level of dioxin at the Da Nang Air Base. Also in 2005, the Joint Advisory Committee on Agent Orange, made up of representatives of Vietnamese and U.S. government agencies, was established. The committee has been meeting yearly to explore areas of scientific cooperation, technical assistance and environmental remediation of dioxin. A breakthrough in the diplomatic stalemate on this issue occurred as a result of United States President George W. Bush's state visit to Vietnam in November 2006. In the joint statement, President Bush and President Triet agreed "further joint efforts to address the environmental contamination near former dioxin storage sites would make a valuable contribution to the continued development of their bilateral relationship." On May 25, 2007, President Bush signed the U.S. Troop Readiness, Veterans' Care, Katrina Recovery, and Iraq Accountability Appropriations Act, 2007 into law for the wars in Iraq and Afghanistan that included an earmark of $3 million specifically for funding for programs for the remediation of dioxin 'hotspots' on former U.S. military bases, and for public health programs for the surrounding communities; some authors consider this to be completely inadequate, pointing out that the Da Nang Airbase alone will cost $14 million to clean up, and that three others are estimated to require $60 million for cleanup. The appropriation was renewed in the fiscal year 2009 and again in FY 2010. An additional $12 million was appropriated in the fiscal year 2010 in the Supplemental Appropriations Act and a total of $18.5 million appropriated for fiscal year 2011. Secretary of State Hillary Clinton stated during a visit to Hanoi in October 2010 that the U.S. government would begin work on the clean-up of dioxin contamination at the Da Nang Airbase. In June 2011, a ceremony was held at Da Nang airport to mark the start of U.S.-funded decontamination of dioxin hotspots in Vietnam. Thirty-two million dollars has so far been allocated by the U.S. Congress to fund the program. A $43 million project began in the summer of 2012, as Vietnam and the U.S. forge closer ties to boost trade and counter China's rising influence in the disputed South China Sea. Vietnamese victims class action lawsuit in U.S. courts On January 31, 2004, a victim's rights group, the Vietnam Association for Victims of Agent Orange/dioxin (VAVA), filed a lawsuit in the United States District Court for the Eastern District of New York in Brooklyn, against several U.S. companies for liability in causing personal injury, by developing, and producing the chemical, and claimed that the use of Agent Orange violated the 1907 Hague Convention on Land Warfare, 1925 Geneva Protocol, and the 1949 Geneva Conventions. Dow Chemical and Monsanto were the two largest producers of Agent Orange for the U.S. military and were named in the suit, along with the dozens of other companies (Diamond Shamrock, Uniroyal, Thompson Chemicals, Hercules, etc.). On March 10, 2005, Judge Jack B. Weinstein of the Eastern District – who had presided over the 1984 U.S. veterans class-action lawsuit – dismissed the lawsuit, ruling there was no legal basis for the plaintiffs' claims. He concluded Agent Orange was not considered a poison under international law at the time of its use by the U.S.; the U.S. was not prohibited from using it as a herbicide; and the companies which produced the substance were not liable for the method of its use by the government. In the dismissal statement issued by Weinstein, he wrote "The prohibition extended only to gases deployed for their asphyxiating or toxic effects on man, not to herbicides designed to affect plants that may have unintended harmful side-effects on people." Author and activist George Jackson had written previously that "if the Americans were guilty of war crimes for using Agent Orange in Vietnam, then the British would be also guilty of war crimes as well since they were the first nation to deploy the use of herbicides and defoliants in warfare and used them on a large scale throughout the Malayan Emergency. Not only was there no outcry by other states in response to the United Kingdom's use, but the U.S. viewed it as establishing a precedent for the use of herbicides and defoliants in jungle warfare." The U.S. government was also not a party in the lawsuit because of sovereign immunity, and the court ruled the chemical companies, as contractors of the U.S. government, shared the same immunity. The case was appealed and heard by the Second Circuit Court of Appeals in Manhattan on June 18, 2007. Three judges on the court upheld Weinstein's ruling to dismiss the case. They ruled that, though the herbicides contained a dioxin (a known poison), they were not intended to be used as a poison on humans. Therefore, they were not considered a chemical weapon and thus not a violation of international law. A further review of the case by the entire panel of judges of the Court of Appeals also confirmed this decision. The lawyers for the Vietnamese filed a petition to the U.S. Supreme Court to hear the case. On March 2, 2009, the Supreme Court denied certiorari and declined to reconsider the ruling of the Court of Appeals. Help for those affected in Vietnam To assist those who have been affected by Agent Orange/dioxin, the Vietnamese have established "peace villages", which each host between 50 and 100 victims, giving them medical and psychological help. As of 2006, there were 11 such villages, thus granting some social protection to fewer than a thousand victims. U.S. veterans of the war in Vietnam and individuals who are aware and sympathetic to the impacts of Agent Orange have supported these programs in Vietnam. An international group of veterans from the U.S. and its allies during the Vietnam War working with their former enemy—veterans from the Vietnam Veterans Association—established the Vietnam Friendship Village outside of Hanoi. The center provides medical care, rehabilitation and vocational training for children and veterans from Vietnam who have been affected by Agent Orange. In 1998, The Vietnam Red Cross established the Vietnam Agent Orange Victims Fund to provide direct assistance to families throughout Vietnam that have been affected. In 2003, the Vietnam Association of Victims of Agent Orange (VAVA) was formed. In addition to filing the lawsuit against the chemical companies, VAVA provides medical care, rehabilitation services and financial assistance to those injured by Agent Orange. The Vietnamese government provides small monthly stipends to more than 200,000 Vietnamese believed affected by the herbicides; this totaled $40.8 million in 2008. The Vietnam Red Cross has raised more than $22 million to assist the ill or disabled, and several U.S. foundations, United Nations agencies, European governments and nongovernmental organizations have given a total of about $23 million for site cleanup, reforestation, health care and other services to those in need. Vuong Mo of the Vietnam News Agency described one of the centers: May is 13, but she knows nothing, is unable to talk fluently, nor walk with ease due to for her bandy legs. Her father is dead and she has four elder brothers, all mentally retarded ... The students are all disabled, retarded and of different ages. Teaching them is a hard job. They are of the 3rd grade but many of them find it hard to do the reading. Only a few of them can. Their pronunciation is distorted due to their twisted lips and their memory is quite short. They easily forget what they've learned ... In the Village, it is quite hard to tell the kids' exact ages. Some in their twenties have a physical statures as small as the 7- or 8-years-old. They find it difficult to feed themselves, much less have mental ability or physical capacity for work. No one can hold back the tears when seeing the heads turning round unconsciously, the bandy arms managing to push the spoon of food into the mouths with awful difficulty ... Yet they still keep smiling, singing in their great innocence, at the presence of some visitors, craving for something beautiful. On June 16, 2010, members of the U.S.-Vietnam Dialogue Group on Agent Orange/Dioxin unveiled a comprehensive 10-year Declaration and Plan of Action to address the toxic legacy of Agent Orange and other herbicides in Vietnam. The Plan of Action was released as an Aspen Institute publication and calls upon the U.S. and Vietnamese governments to join with other governments, foundations, businesses, and nonprofits in a partnership to clean up dioxin "hot spots" in Vietnam and to expand humanitarian services for people with disabilities there. On September 16, 2010, Senator Patrick Leahy acknowledged the work of the Dialogue Group by releasing a statement on the floor of the United States Senate. The statement urges the U.S. government to take the Plan of Action's recommendations into account in developing a multi-year plan of activities to address the Agent Orange/dioxin legacy. Use outside of Vietnam Australia In 2008, Australian researcher Jean Williams claimed that cancer rates in Innisfail, Queensland, were 10 times higher than the state average because of secret testing of Agent Orange by the Australian military scientists during the Vietnam War. Williams, who had won the Order of Australia medal for her research on the effects of chemicals on U.S. war veterans, based her allegations on Australian government reports found in the Australian War Memorial's archives. A former soldier, Ted Bosworth, backed up the claims, saying that he had been involved in the secret testing. Neither Williams nor Bosworth have produced verifiable evidence to support their claims. The Queensland health department determined that cancer rates in Innisfail were no higher than those in other parts of the state. Canada The U.S. military, with the permission of the Canadian government, tested herbicides, including Agent Orange, in the forests near Canadian Forces Base Gagetown in New Brunswick. In 2007, the government of Canada offered a one-time ex gratia payment of $20,000 as compensation for Agent Orange exposure at CFB Gagetown. On July 12, 2005, Merchant Law Group, on behalf of over 1,100 Canadian veterans and civilians who were living in and around CFB Gagetown, filed a lawsuit to pursue class action litigation concerning Agent Orange and Agent Purple with the Federal Court of Canada. On August 4, 2009, the case was rejected by the court, citing lack of evidence. In 2007, the Canadian government announced that a research and fact-finding program initiated in 2005 had found the base was safe. On February 17, 2011, the Toronto Star revealed that Agent Orange had been employed to clear extensive plots of Crown land in Northern Ontario. The Toronto Star reported that, "records from the 1950s, 1960s and 1970s show forestry workers, often students and junior rangers, spent weeks at a time as human markers holding red, helium-filled balloons on fishing lines while low-flying planes sprayed toxic herbicides including an infamous chemical mixture known as Agent Orange on the brush and the boys below." In response to the Toronto Star article, the Ontario provincial government launched a probe into the use of Agent Orange. Guam An analysis of chemicals present in the island's soil, together with resolutions passed by Guam's legislature, suggest that Agent Orange was among the herbicides routinely used on and around Andersen Air Force Base and Naval Air Station Agana. Despite the evidence, the Department of Defense continues to deny that Agent Orange was stored or used on Guam. Several Guam veterans have collected evidence to assist in their disability claims for direct exposure to dioxin containing herbicides such as 2,4,5-T which are similar to the illness associations and disability coverage that has become standard for those who were harmed by the same chemical contaminant of Agent Orange used in Vietnam. Korea Agent Orange was used in Korea in the late 1960s. In 1999, about 20,000 South Koreans filed two separated lawsuits against U.S. companies, seeking more than $5 billion in damages. After losing a decision in 2002, they filed an appeal. In January 2006, the South Korean Appeals Court ordered Dow Chemical and Monsanto to pay $62 million in compensation to about 6,800 people. The ruling acknowledged that "the defendants failed to ensure safety as the defoliants manufactured by the defendants had higher levels of dioxins than standard", and, quoting the U.S. National Academy of Science report, declared that there was a "causal relationship" between Agent Orange and a range of diseases, including several cancers. The judges failed to acknowledge "the relationship between the chemical and peripheral neuropathy, the disease most widespread among Agent Orange victims". In 2011, the United States local press KPHO-TV in Phoenix, Arizona, alleged that in 1978 the United States Army had buried 250 drums of Agent Orange in Camp Carroll, the U.S. Army base in Gyeongsangbuk-do, Korea. Currently, veterans who provide evidence meeting VA requirements for service in Vietnam and who can medically establish that anytime after this 'presumptive exposure' they developed any medical problems on the list of presumptive diseases, may receive compensation from the VA. Certain veterans who served in Korea and are able to prove they were assigned to certain specified around the DMZ during a specific time frame are afforded similar presumption. New Zealand The use of Agent Orange has been controversial in New Zealand, because of the exposure of New Zealand troops in Vietnam and because of the production of herbicide used in Agent Orange which has been alleged at various times to have been exported for use in the Vietnam War and to other users by the Ivon Watkins-Dow chemical plant in Paritutu, New Plymouth. There have been continuing claims, as yet unproven, that the suburb of Paritutu has also been polluted. There are cases of New Zealand soldiers developing cancers such as bone cancer, but none has been scientifically connected to exposure to herbicides. Philippines Herbicide persistence studies of Agents Orange and White were conducted in the Philippines. Johnston Atoll The U.S. Air Force operation to remove Herbicide Orange from Vietnam in 1972 was named Operation Pacer IVY, while the operation to destroy the Agent Orange stored at Johnston Atoll in 1977 was named Operation Pacer HO. Operation Pacer IVY collected Agent Orange in South Vietnam and removed it in 1972 aboard the ship for storage on Johnston Atoll. The EPA reports that of Herbicide Orange was stored at Johnston Island in the Pacific and at Gulfport, Mississippi. Research and studies were initiated to find a safe method to destroy the materials, and it was discovered they could be incinerated safely under special conditions of temperature and dwell time. However, these herbicides were expensive, and the Air Force wanted to resell its surplus instead of dumping it at sea. Among many methods tested, a possibility of salvaging the herbicides by reprocessing and filtering out the TCDD contaminant with carbonized (charcoaled) coconut fibers. This concept was then tested in 1976 and a pilot plant constructed at Gulfport. From July to September 1977 during Operation Pacer HO, the entire stock of Agent Orange from both Herbicide Orange storage sites at Gulfport and Johnston Atoll was subsequently incinerated in four separate burns in the vicinity of Johnston Island aboard the Dutch-owned waste incineration ship . As of 2004, some records of the storage and disposition of Agent Orange at Johnston Atoll have been associated with the historical records of Operation Red Hat. Okinawa, Japan There have been dozens of reports in the press about use and/or storage of military formulated herbicides on Okinawa that are based upon statements by former U.S. service members that had been stationed on the island, photographs, government records, and unearthed storage barrels. The U.S. Department of Defense has denied these allegations with statements by military officials and spokespersons, as well as a January 2013 report authored by Dr. Alvin Young that was released in April 2013. In particular, the 2013 report rebuts articles written by journalist Jon Mitchell as well as a statement from "An Ecological Assessment of Johnston Atoll" a 2003 publication produced by the United States Army Chemical Materials Agency that states, "in 1972, the U.S. Air Force also brought about 25,000 200L drums of the chemical, Herbicide Orange (HO) to Johnston Island that originated from Vietnam and was stored on Okinawa." The 2013 report states: "The authors of the [2003] report were not DoD employees, nor were they likely familiar with the issues surrounding Herbicide Orange or its actual history of transport to the Island." and detailed the transport phases and routes of Agent Orange from Vietnam to Johnston Atoll, none of which included Okinawa. Further official confirmation of restricted (dioxin containing) herbicide storage on Okinawa appeared in a 1971 Fort Detrick report titled "Historical, Logistical, Political and Technical Aspects of the Herbicide/Defoliant Program", which mentions that the environmental statement should consider "Herbicide stockpiles elsewhere in PACOM (Pacific Command) U.S. Government restricted materials Thailand and Okinawa (Kadena AFB)." The 2013 DoD report says that the environmental statement urged by the 1971 report was published in 1974 as "The Department of Air Force Final Environmental Statement", and that the latter did not find Agent Orange was held in either Thailand or Okinawa. Thailand Agent Orange was tested by the United States in Thailand during the Vietnam War. In 1999, buried drums were uncovered and confirmed to be Agent Orange. Workers who uncovered the drums fell ill while upgrading the airport near Hua Hin District, 100 km south of Bangkok. Vietnam-era veterans whose service involved duty on or near the perimeters of military bases in Thailand anytime between February 28, 1961, and May 7, 1975, may have been exposed to herbicides and may qualify for VA benefits. A declassified Department of Defense report written in 1973, suggests that there was a significant use of herbicides on the fenced-in perimeters of military bases in Thailand to remove foliage that provided cover for enemy forces. In 2013, the VA determined that herbicides used on the Thailand base perimeters may have been tactical and procured from Vietnam, or a strong, commercial type resembling tactical herbicides. United States The University of Hawaii has acknowledged extensive testing of Agent Orange on behalf of the United States Department of Defense in Hawaii along with mixtures of Agent Orange on Kaua'i Island in 1967–68 and on Hawaii Island in 1966; testing and storage in other U.S. locations has been documented by the United States Department of Veterans Affairs. In 1971, the C-123 aircraft used for spraying Agent Orange were returned to the United States and assigned various East Coast USAF Reserve squadrons, and then employed in traditional airlift missions between 1972 and 1982. In 1994, testing by the Air Force identified some former spray aircraft as "heavily contaminated" with dioxin residue. Inquiries by aircrew veterans in 2011 brought a decision by the U.S. Department of Veterans Affairs opining that not enough dioxin residue remained to injure these post-Vietnam War veterans. On 26 January 2012, the U.S. Center For Disease Control's Agency for Toxic Substances and Disease Registry challenged this with their finding that former spray aircraft were indeed contaminated and the aircrews exposed to harmful levels of dioxin. In response to veterans' concerns, the VA in February 2014 referred the C-123 issue to the Institute of Medicine for a special study, with results released on January 9, 2015. In 1978, the EPA suspended spraying of Agent Orange in National Forests. Agent Orange was sprayed on thousands of acres of brush in the Tennessee Valley for 15 years before scientists discovered the herbicide was dangerous. Monroe County, Tennessee, is one of the locations known to have been sprayed according to the Tennessee Valley Authority. Forty-four remote acres were doused with Agent Orange along power lines throughout the National Forest. In 1983, New Jersey declared a Passaic River production site to be a state of emergency. The dioxin pollution in the Passaic River dates back to the Vietnam era, when Diamond Alkali manufactured it in a factory along the river. The tidal river carried dioxin upstream and down, tainting a 17-mile stretch of riverbed in one of New Jersey's most populous areas. A December 2006 Department of Defense report listed Agent Orange testing, storage, and disposal sites at 32 locations throughout the United States, as well as in Canada, Thailand, Puerto Rico, Korea, and in the Pacific Ocean. The Veteran Administration has also acknowledged that Agent Orange was used domestically by U.S. forces in test sites throughout the United States. Eglin Air Force Base in Florida
the year 0, and the Gregorian calendar for years after 1582, as exemplified by Jacques Cassini (1740), Simon Newcomb (1898) and Fred Espenak (2007). The prefix AD and the suffixes CE, BC or BCE (Common Era, Before Christ or Before Common Era) are dropped. The year 1 BC/BCE is numbered 0, the year 2 BC is numbered −1, and in general the year n BC/BCE is numbered "−(n − 1)" (a negative number equal to 1 − n). The numbers of AD/CE years are not changed and are written with either no sign or a positive sign; thus in general n AD/CE is simply n or +n. For normal calculation a number zero is often needed, here most notably when calculating the number of years in a period that spans the epoch; the end years need only be subtracted from each other. The system is so named due to its use in astronomy. Few other disciplines outside history deal with the time before year 1, some exceptions being dendrochronology, archaeology and geology, the latter two of which use 'years before the present'. Although the absolute numerical values of astronomical and historical years only differ by one before year 1, this difference is critical when calculating astronomical events like eclipses or planetary conjunctions to determine when historical events which mention them occurred. Usage of the year zero In his Rudolphine Tables (1627), Johannes Kepler used a prototype of year zero which he labeled Christi (Christ's) between years labeled Ante Christum (Before Christ) and Post Christum (After Christ) on the mean motion tables for the Sun, Moon, Saturn, Jupiter, Mars, Venus and Mercury. In 1702, the French astronomer
number of years in a period that spans the epoch; the end years need only be subtracted from each other. The system is so named due to its use in astronomy. Few other disciplines outside history deal with the time before year 1, some exceptions being dendrochronology, archaeology and geology, the latter two of which use 'years before the present'. Although the absolute numerical values of astronomical and historical years only differ by one before year 1, this difference is critical when calculating astronomical events like eclipses or planetary conjunctions to determine when historical events which mention them occurred. Usage of the year zero In his Rudolphine Tables (1627), Johannes Kepler used a prototype of year zero which he labeled Christi (Christ's) between years labeled Ante Christum (Before Christ) and Post Christum (After Christ) on the mean motion tables for the Sun, Moon, Saturn, Jupiter, Mars, Venus and Mercury. In 1702, the French astronomer Philippe de la Hire used a year he labeled at the end of years labeled ante Christum (BC), and immediately before years labeled post Christum (AD) on the mean motion pages in his Tabulæ Astronomicæ, thus adding the designation 0 to Kepler's Christi. Finally, in 1740 the French astronomer Jacques Cassini , who is traditionally credited with the invention of year zero, completed the transition in his Tables astronomiques, simply labeling this year 0, which he placed at the end of Julian years labeled avant Jesus-Christ (before Jesus Christ or BC), and immediately before Julian years labeled après Jesus-Christ (after Jesus Christ or AD). Cassini gave the following reasons for using a year 0: Fred Espenak of NASA lists 50 phases of
The honorary name of Magister Adam shows that he had passed through all the stages of a higher education. It is probable that he was taught at the Magdeburger Domschule. In 1066 or 1067 he was invited by archbishop Adalbert of Hamburg to join the Church of Bremen. Adam was accepted among the capitulars of Bremen, and by 1069 he appeared as director of the cathedral's school. Soon thereafter he began to write the history of Bremen/Hamburg and of the northern lands in his Gesta. His position and the missionary activity of the church of Bremen allowed him to gather information on the history and the geography of Northern Germany. A stay at the court of Svend Estridsen gave him the opportunity to find information about the history and geography of Denmark and the other Scandinavian countries. Among other things he wrote about
that he was taught at the Magdeburger Domschule. In 1066 or 1067 he was invited by archbishop Adalbert of Hamburg to join the Church of Bremen. Adam was accepted among the capitulars of Bremen, and by 1069 he appeared as director of the cathedral's school. Soon thereafter he began to write the history of Bremen/Hamburg and of the northern lands in his Gesta. His position and the missionary activity of the church of Bremen allowed him to gather information on the history and the geography of Northern Germany. A stay at the court of Svend Estridsen gave him the opportunity to find information about the history and geography of Denmark and the other Scandinavian countries. Among other things he wrote about in Scandinavia were the sailing passages across Øresund such as today's Elsinore to Helsingborg route. References Further reading Chłopacka Hanna: Adam Bremeński. In: Słownik Starożytności Słowiańskich. Vol. 1. 1961, p. 3-4. External links Adamus Bremensis: Gesta Hammaburgensis ecclesiae pontificum (Lat.) 11th-century German writers 11th-century historians 11th-century Latin writers 11th-century births 1080s deaths Year of birth unknown Year of death
held office that year. In late antiquity, regnal years were also in use, as in Roman Egypt during the Diocletian era after AD 293, and in the Byzantine Empire from AD 537, following a decree by Justinian. Significance The traditional date for the founding of Rome, 21 April 753 BC, is due to Marcus Terentius Varro (1st century BC). Varro may have used the consular list (with its mistakes) and called the year of the first consuls "ab Urbe condita 245," accepting the 244-year interval from Dionysius of Halicarnassus for the kings after the foundation of Rome. The correctness of this calculation has not been confirmed, but it is still used worldwide. From the time of Claudius (fl. AD 41 to AD 54) onward, this calculation superseded other contemporary calculations. Celebrating the anniversary of the city became part of imperial propaganda. Claudius was the first to hold magnificent celebrations in honor of the anniversary of the city, in AD 48, the eight hundredth year from the founding of the city. Hadrian, in AD 121, and Antoninus Pius, in AD 147 and AD 148, held similar celebrations respectively. In AD 248, Philip the Arab celebrated Rome's first millennium, together with Ludi saeculares for Rome's alleged tenth saeculum. Coins from his reign commemorate the celebrations. A coin by a contender for the imperial throne, Pacatianus, explicitly states "[y]ear one thousand and first," which is an indication that the citizens of the empire had a sense of the beginning of a new era, a Sæculum Novum. Calendar era The Anno Domini (AD) year numbering was developed by a monk named Dionysius Exiguus in Rome in AD 525, as a result of his work on calculating the date of Easter. Dionysius did not use the AUC convention, but instead based his calculations on the Diocletian era.
'in the year since the city's founding'), abbreviated as AUC or AVC, express a date in years since 753 BC, the traditional founding of Rome. It is an expression used in antiquity and by classical historians to refer to a given year in Ancient Rome. In reference to the traditional year of the foundation of Rome, the year 1 BC would be written AUC 753, whereas AD 1 would be AUC 754. The foundation of the Roman Empire in 27 BC would be AUC 727. The current common era year 2022 coincides with the AUC year 2775. Usage of the term was more common during the Renaissance, when editors sometimes added AUC to Roman manuscripts they published, giving the false impression that the convention was commonly used in antiquity. In reality, the dominant method of identifying years in Roman times was to name the two consuls who held office that year. In late antiquity, regnal years were also in use, as in Roman Egypt during the Diocletian era after AD 293, and in the Byzantine Empire from AD 537, following a decree by Justinian. Significance The traditional date for the founding of Rome, 21 April 753 BC, is due to Marcus Terentius Varro (1st century BC). Varro may have used the consular list (with its mistakes) and called the year of the first consuls "ab Urbe condita 245," accepting the 244-year interval from Dionysius of Halicarnassus for the kings after the foundation of Rome. The correctness of this calculation has not been confirmed, but it is still used worldwide. From the time of Claudius (fl. AD 41 to AD 54) onward, this calculation superseded other contemporary calculations. Celebrating the anniversary of the city became part of imperial propaganda. Claudius was the first to hold magnificent celebrations in honor of the anniversary of the city, in AD 48, the eight hundredth year from the founding of
tourist accommodations. In the 2000s the former whalers from the Perano and Heberley families, who live on Arapawa, joined a Department of Conservation whale spotting programme to assess how the humpback whale population has recovered since the end of whaling. In August 2014, the spelling of the island's name was officially altered from Arapawa to Arapaoa. Aircraft accident The 11,000-volt power lines linking the mainland and Arapaoa Island over Tory Channel was struck by an Air Albatross Cessna 402 commuter aircraft in 1985. The crash was witnessed by many passengers on an inter-island Cook Strait ferry. The ferry immediately stopped to dispatch a rescue lifeboat. Along with the two pilots, one entire family died, and all but a young girl from the other. No bodies were ever found. The sole survivor (Cindy Mosey) was travelling with her family and the other family from Nelson to Wellington to attend a gymnastics competition. The Arapaoa Island crash caused public confidence in Air Albatross to falter, contributing to the company going into liquidation in December of that year. Conservation Parts of the island have been heavily cleared of native vegetation in the past through burning and logging, A number of pine forests were planted on the island. Wilding pines, an invasive species in some parts of New Zealand, are being poisoned on the island to allow the regenerating native vegetation to grow. About at Ruaomoko Point on the south-eastern portion of the island will be killed by drilling holes into the trees and injecting poison. Arapaoa Island is known for the breeds of pigs, sheep and goats found only on the island. These became established in the 19th century, but the origin of these breeds is uncertain, and a matter of some speculation. Common suggestions are that they are old
only salvage baleen until the station was equipped to process whale oil from 1830 onwards, targeting right whales. Later, the station at Perano Head on the east coast of the island was used to hunt humpback whales from 1911 to 1964 (see Whaling in New Zealand). The houses built by the Perano family are now operated as tourist accommodations. In the 2000s the former whalers from the Perano and Heberley families, who live on Arapawa, joined a Department of Conservation whale spotting programme to assess how the humpback whale population has recovered since the end of whaling. In August 2014, the spelling of the island's name was officially altered from Arapawa to Arapaoa. Aircraft accident The 11,000-volt power lines linking the mainland and Arapaoa Island over Tory Channel was struck by an Air Albatross Cessna 402 commuter aircraft in 1985. The crash was witnessed by many passengers on an inter-island Cook Strait ferry. The ferry immediately stopped to dispatch a rescue lifeboat. Along with the two pilots, one entire family died, and all
administrative courts which are the main administrative courts. The decisions of the administrative courts are checked by the Regional Administrative Courts and Council of State. Council of State as a court of last resort is exactly similar to Conseil d'État in France. Ukraine Administrative law in the Ukraine is a homogeneous legal substance isolated in a system of jurisprudence characterized as: (1) a branch of law; (2) a science; (3) a discipline. In common law countries Generally speaking, most countries that follow the principles of common law have developed procedures for judicial review that limit the reviewability of decisions made by administrative law bodies. Often these procedures are coupled with legislation or other common law doctrines that establish standards for proper rulemaking. Administrative law may also apply to review of decisions of so-called semi-public bodies, such as non-profit corporations, disciplinary boards, and other decision-making bodies that affect the legal rights of members of a particular group or entity. While administrative decision-making bodies are often controlled by larger governmental units, their decisions could be reviewed by a court of general jurisdiction under some principle of judicial review based upon due process (United States) or fundamental justice (Canada). Judicial review of administrative decisions is different from an administrative appeal. When sitting in review of a decision, the Court will only look at the method in which the decision was arrived at, whereas in an administrative appeal the correctness of the decision itself will be examined, usually by a higher body in the agency. This difference is vital in appreciating administrative law in common law countries. The scope of judicial review may be limited to certain questions of fairness, or whether the administrative action is ultra vires. In terms of ultra vires actions in the broad sense, a reviewing court may set aside an administrative decision if it is unreasonable (under Canadian law, following the rejection of the "Patently Unreasonable" standard by the Supreme Court in Dunsmuir v New Brunswick), Wednesbury unreasonable (under British law), or arbitrary and capricious (under U.S. Administrative Procedure Act and New York State law). Administrative law, as laid down by the Supreme Court of India, has also recognized two more grounds of judicial review which were recognized but not applied by English Courts, namely legitimate expectation and proportionality. The powers to review administrative decisions are usually established by statute, but were originally developed from the royal prerogative writs of English law, such as the writ of mandamus and the writ of certiorari. In certain common law jurisdictions, such as India or Pakistan, the power to pass such writs is a Constitutionally guaranteed power. This power is seen as fundamental to the power of judicial review and an aspect of the independent judiciary. Australia Canada Singapore United Kingdom United States In the United States, many government agencies are organized under the executive branch of government, although a few are part of the judicial or legislative branches. In the federal government, the executive branch, led by the president, controls the federal executive departments, which are led by secretaries who are members of the United States Cabinet. The many independent agencies of the United States government created by statutes enacted by Congress exist outside of the federal executive departments but are still part of the executive branch. Congress has also created some special judicial bodies known as Article I tribunals to handle some areas of administrative law. The actions of executive agencies and independent agencies are the main focus of American administrative law. In response to the rapid creation of new independent agencies in the early twentieth century (see discussion below), Congress enacted the Administrative Procedure Act (APA) in 1946. Many of the independent agencies operate as miniature versions of the tripartite federal government, with the authority to "legislate" (through rulemaking; see Federal Register and Code of Federal Regulations), "adjudicate" (through administrative hearings), and to "execute" administrative goals (through agency enforcement personnel). Because the United States Constitution sets no limits on this tripartite authority of administrative agencies, Congress enacted the APA to establish fair administrative law procedures to comply with the constitutional requirements of due process. Agency procedures are drawn from four sources of authority: the APA, organic statutes, agency rules, and informal agency practice. It is important to note, though, that agencies can only act within their congressionally delegated authority, and must comply with the requirements of the APA. At state level the first version of the Model State Administrative Procedure Act was promulgated and published in 1946 by the Uniform Law Commission (ULC), in which year the Federal Administrative Procedure Act was drafted. It is incorporated basic principles with only enough elaboration of detail to support essential features, therefore it is a “model”, and not a “uniform”, act. A model act is needed because state administrative law in the states is not uniform, and there are a variety of approaches used in the various states. Later it was modified in 1961 and 1981. The present version is the 2010 Model State Administrative Procedure Act (MSAPA) which maintains the continuity with earlier ones. The reason of the revision is that, in the past two decades state legislatures, dissatisfied with agency rule-making and adjudication, have enacted statutes that modify administrative adjudication and rule-making procedure. The American Bar Association's official journal concerning administrative law is the Administrative Law Review, a quarterly publication that is managed and edited by students at the Washington College of Law. Historical development Stephen Breyer, a U.S. Supreme Court Justice since 1994, divides the history of administrative law
the making of administrative decisions and the judicial review of these decisions in courts. Another act about judicial procedures in general is the Algemene termijnenwet (General time provisions act), with general provisions about time schedules in procedures. On the basis of the Awb, citizens can oppose a decision ('besluit') made by an administrative agency ('bestuursorgaan') within the administration and apply for judicial review in courts if unsuccessful. Before going to court, citizens must usually first object to the decision with the administrative body who made it. This is called "bezwaar". This procedure allows for the administrative body to correct possible mistakes themselves and is used to filter cases before going to court. Sometimes, instead of bezwaar, a different system is used called "administratief beroep" (administrative appeal). The difference with bezwaar is that administratief beroep is filed with a different administrative body, usually a higher ranking one, than the administrative body that made the primary decision. Administratief beroep is available only if the law on which the primary decision is based specifically provides for it. An example involves objecting to a traffic ticket with the district attorney ("officier van justitie"), after which the decision can be appealed in court. Unlike France or Germany, there are no special administrative courts of first instance in the Netherlands, but regular courts have an administrative "chamber" which specializes in administrative appeals. The courts of appeal in administrative cases however are specialized depending on the case, but most administrative appeals end up in the judicial section of the Council of State (Raad van State). Sweden In Sweden, there is a system of administrative courts that considers only administrative law cases, and is completely separate from the system of general courts. This system has three tiers, with 12 county administrative courts (förvaltningsrätt) as the first tier, four administrative courts of appeal (kammarrätt) as the second tier, and the Supreme Administrative Court of Sweden (Högsta Förvaltningsdomstolen) as the third tier. Migration cases are handled in a two-tier system, effectively within the system general administrative courts. Three of the administrative courts serve as migration courts (migrationsdomstol) with the Administrative Court of Appeal in Stockholm serving as the Migration Court of Appeal (Migrationsöverdomstolen). Taiwan (ROC) In Taiwan the recently enacted Constitutional Procedure Act (憲法訴訟法) in 2019 (former Constitutional Interpretation Procedure Act, 1993), the Justices of the Constitutional Court of Judicial Yuan of Taiwan is in charge of judicial interpretation. This council has made 757 interpretations to date. Turkey In Turkey, the lawsuits against the acts and actions of the national or local governments and public bodies are handled by administrative courts which are the main administrative courts. The decisions of the administrative courts are checked by the Regional Administrative Courts and Council of State. Council of State as a court of last resort is exactly similar to Conseil d'État in France. Ukraine Administrative law in the Ukraine is a homogeneous legal substance isolated in a system of jurisprudence characterized as: (1) a branch of law; (2) a science; (3) a discipline. In common law countries Generally speaking, most countries that follow the principles of common law have developed procedures for judicial review that limit the reviewability of decisions made by administrative law bodies. Often these procedures are coupled with legislation or other common law doctrines that establish standards for proper rulemaking. Administrative law may also apply to review of decisions of so-called semi-public bodies, such as non-profit corporations, disciplinary boards, and other decision-making bodies that affect the legal rights of members of a particular group or entity. While administrative decision-making bodies are often controlled by larger governmental units, their decisions could be reviewed by a court of general jurisdiction under some principle of judicial review based upon due process (United States) or fundamental justice (Canada). Judicial review of administrative decisions is different from an administrative appeal. When sitting in review of a decision, the Court will only look at the method in which the decision was arrived at, whereas in an administrative appeal the correctness of the decision itself will be examined, usually by a higher body in the agency. This difference is vital in appreciating administrative law in common law countries. The scope of judicial review may be limited to certain questions of fairness, or whether the administrative action is ultra vires. In terms of ultra vires actions in the broad sense, a reviewing court may set aside an administrative decision if it is unreasonable (under Canadian law, following the rejection of the "Patently Unreasonable" standard by the Supreme Court in Dunsmuir v New Brunswick), Wednesbury unreasonable (under British law), or arbitrary and capricious (under U.S. Administrative Procedure Act and New York State law). Administrative law, as laid down by the Supreme Court of India, has also recognized two more grounds of judicial review which were recognized but not applied by English Courts, namely legitimate expectation and proportionality. The powers to review administrative decisions are usually established by statute, but were originally developed from the royal prerogative writs of English law, such as the writ of mandamus and the writ of certiorari. In certain common law jurisdictions, such as India or Pakistan, the power to pass such writs is a Constitutionally guaranteed power. This power is seen as fundamental to the power of judicial review and an aspect of the independent judiciary. Australia Canada Singapore United Kingdom United States In the United States, many government agencies are organized under the executive branch of government, although a few are part of the judicial or legislative branches. In the federal government, the executive branch, led by the president, controls the federal executive departments, which are led by secretaries who are members of the United States Cabinet. The many independent agencies of the United
1788, Phillip and his government were formally inaugurated. On 15 February 1788, Phillip sent Lieutenant Philip Gidley King with a party of twenty-three, including fifteen convicts, to establish the colony at Norfolk Island, partly in response to a perceived threat of losing the island to the French, and partly to establish an alternative food source for the mainland colony. Governor of New South Wales When Phillip was appointed as governor-designate of the colony and began to plan the expedition, he requested that the convicts that were being sent be trained; only twelve carpenters and a few men who knew anything about agriculture were sent. Seamen with technical and building skills were commandeered immediately. The colony's isolation meant that it took almost two years for Phillip to receive replies to his dispatches from his superiors in London. Phillip established a civil administration, with courts of law, that applied to everyone living in the settlement. Two convicts, Henry and Susannah Kable, sought to sue Duncan Sinclair, the captain of the Alexander, for stealing their possessions during the voyage. Sinclair, believing that as convicts they had no protection from the law, as was the case in Britain, boasted that he could not be sued. Despite this, the court found for the plaintiffs and ordered the captain to make restitution for the theft of the Kables' possessions. Phillip had drawn up a detailed memorandum of his plans for the proposed new colony. In one paragraph he wrote: "The laws of this country [England] will of course, be introduced in [New] South Wales, and there is one that I would wish to take place from the moment his Majesty's forces take possession of the country: That there can be no slavery in a free land, and consequently no slaves." Nevertheless, Phillip believed in severe discipline; floggings and hangings were commonplace, although Phillip commuted many death sentences. The settlement's supplies were rationed equally to convicts, officers, and marines, and females were given two-thirds of the weekly males' rations. In late February, six convicts were brought before the criminal court for stealing supplies. They were sentenced to death; the ringleader, Thomas Barrett, was hanged that day. Phillip gave the rest a reprieve. They were banished to an island in the harbour and given only bread and water. The governor also expanded the settlement's knowledge of the landscape. Two officers from Sirius, Captain John Hunter and Lieutenant William Bradley, conducted a thorough survey of the harbour at Sydney Cove. Phillip later joined them on an expedition to survey Broken Bay. The fleet's ships left over the next months, with Sirius and Supply remaining in the colony under command of the governor. They were used to survey and map the coastlines and waterways. Scurvy broke out, so Sirius left Port Jackson for Cape Town under the command of Hunter in October 1788, having been sent for supplies. The voyage, which completed a circumnavigation, returned to Sydney Cove in April, just in time to save the near-starving colony. As an experienced farmhand, Phillip's appointed servant Henry Edward Dodd, served as farm superintendent at Farm Cove, where he successfully cultivated the first crops, later moving to Rose Hill, where the soil was better. James Ruse, a convict, was later appointed to the position after Dodd died in 1791. When Ruse succeeded in the farming endeavours, he received the colony's first land grant. In June 1790, more convicts arrived with the Second Fleet, but , carrying more supplies, was disabled en route after hitting an iceberg, leaving the colony low on provisions again. Supply, the only ship left under colonial command after Sirius was wrecked 19 March 1790 trying to land men and supplies on Norfolk Island, was sent to Batavia for supplies. In late 1792, Phillip, whose health was suffering, relinquished the governorship to Major Francis Grose, lieutenant-governor and commander of New South Wales Corps. On 11 December 1792, Phillip left for Britain, on the Atlantic, which had arrived with convicts of the Third Fleet. Phillip was unable to follow his original intention of returning to Port Jackson once his health was restored, as medical advice compelled him to resign formally on 23 July 1793. Military personnel in colony The main challenge for order and harmony in the settlement came not from the convicts secured there on terms of good behaviour, but from the attitude of officers from the New South Wales Marine Corps. As Commander in Chief, Phillip was in command of both the naval and marine forces; his naval officers readily obeyed his commands, but a measure of co-operation from the marine officers ran against their tradition. Major Robert Ross and his officers (with the exception of a few such as David Collins, Watkin Tench, and William Dawes) refused to do anything other than guard duty, claiming that they were neither gaolers, supervisors, nor policemen. Four companies of marines, consisting of 160 privates with 52 officers and NCO's, accompanied the First Fleet to Botany Bay. In addition, there were 34 officers and men serving in the Ship's Complement of Marines aboard Sirius and Supply, bringing the total to 246 who departed England. Ross supported and encouraged his fellow officers in their conflicts with Phillip, engaged in clashes of his own, and complained of the governor's actions to the Home Office. Phillip, more placid and forbearing in temperament, was anxious in the interests of the community as a whole to avoid friction between the civil and military authorities. Though firm in his attitude, he endeavoured to placate Ross, but to little effect. In the end, he solved the problem by ordering Ross to Norfolk Island on 5 March 1790 to replace the commandant there. Beginning with guards arriving with the Second and Third fleets, but officially with the arrival of on 22 September 1791, the New South Wales Marines were relieved by a newly formed British Army regiment of foot, the New South Wales Corps. On 18 December 1791, Gorgon left Port Jackson, taking home the larger part of the still-serving New South Wales Marines. There remained in New South Wales a company of active marines serving under Captain George Johnston, who had been Phillip's aide-de-camp, that transferred to the New South Wales Corps. Also remaining in the colony were discharged marines, many of whom became settlers. The official departure of the last serving marines from the colony was in December 1792, under Governor Phillip. Major Francis Grose, commander of the New South Wales Corps, had replaced Ross as the Lieutenant-Governor and took over command of the colony when Phillip returned to Britain. Relations with indigenous peoples Phillip's official orders with regard to Aboriginal people were to "conciliate their affections", to "live in amity and kindness with them", and to punish anyone who should "wantonly destroy them, or give them any unnecessary interruption in the exercise of their several occupations". The first meeting between the colonists and the Eora, Aboriginal people, happened in Botany Bay. When Phillip went ashore, gifts were exchanged, thus Phillip and the officers began their relationship with the Eora through gift-giving, hilarity, and dancing, but also by showing them what their guns could do. Anyone found harming or killing Aboriginal people without provocation would be severely punished. After the early meetings, dancing, and musket demonstrations, the Eora avoided the settlement in Sydney Cove for the first year, but they warned and then attacked whenever colonists trespassed on their lands away from the settlement. Part of Phillip's early plan for peaceful cohabitation had been to persuade some Eora, preferably a family, to come and live in the town with the British so that the colonists could learn about the Eora's language, beliefs, and customs. By the end of the first year, as none of the Eora had come to live in the settlement, Phillip decided on a more ruthless strategy, and ordered the capture of some Eora warriors. The man who was captured was Arabanoo, from whom Phillip and his officers started to learn language and customs. Arabanoo died in April 1789 of smallpox, which also ravaged the rest of the Eora population. Phillip again ordered the boats to Manly Cove, where two more warriors were captured, Coleby and Bennelong; Coleby soon escaped, but Bennelong remained. Bennelong and Phillip formed a kind of friendship, before he too escaped. Four months after Bennelong escaped from Sydney, Phillip was invited to a whale feast at Manly. Bennelong greeted him in a friendly and jovial way. Phillip was suddenly surrounded by warriors and speared in the shoulder by a man called Willemering. He ordered his men not to retaliate. Phillip, perhaps realising that the spearing was in retaliation for the kidnapping, ordered no actions to be taken over it. Friendly relations were reestablished afterwards, with Bennelong even returning to Sydney with his family. Even though there were now friendly relations with the aborigines around Sydney Cove, the same couldn't be said about the ones around Botany Bay, who had killed or wounded 17 colonists. Phillip despatched orders, as quoted by Tench, "to put to death ten...
in the Netherlands. Colonial service Lord Sandwich, together with the president of the Royal Society, Sir Joseph Banks, the scientist who had accompanied Lieutenant James Cook on his 1770 voyage, was advocating the establishment of a British colony in Botany Bay, New South Wales. Banks accepted an offer of assistance from the American loyalist James Matra in July 1783. Under Banks' guidance, Matra rapidly produced "A Proposal for Establishing a Settlement in New South Wales" (24 August 1783), with a fully developed set of reasons for a colony composed of American loyalists, Chinese, and South Sea Islanders (but not convicts). Thomas Townshend, Lord Sydney, as Secretary of State for the Home Office and minister in charge, decided to establish the proposed colony in Australia. This decision was taken for two reasons: the ending of the option to transport criminals to North America following the American Revolution, and the need for a base in the Pacific to counter French expansion. In September 1786, Phillip was appointed commodore of the fleet, which came to be known as the First Fleet. His assignment was to transport convicts and soldiers to establish a colony at Botany Bay. Upon arriving there, Phillip was to assume the powers of captain general and governor in chief of the new colony. A subsidiary colony was to be founded on Norfolk Island, as recommended by Sir John Call and Sir George Young, to take advantage of that island's native flax (harakeke) and timber for naval purposes. Voyage to Colony of New South Wales On 25 October 1786, the 20-gun , lying in the dock at Deptford, was commissioned, with the command given to Phillip. The armed tender , under the command of Lieutenant Henry Lidgbird Ball, was also commissioned to join the expedition. On 15 December, Captain John Hunter was assigned as second captain to Sirius to command in the absence of Phillip, whose preference, it was to be supposed, would be requisite at all times wherever the seat of government in that country might be fixed. Phillip had a difficult time assembling the fleet, which was to make an eight-month sea voyage and then establish a colony. Everything a new colony might need had to be taken, since Phillip had no real idea of what he might find when he got there. There were few funds available for equipping the expedition. His suggestion that people with experience in farming, building, and crafts be included was rejected by the Home Office. Most of the 772 convicts were petty thieves from the London slums. A contingent of marines and a handful of other officers who were to administer the colony accompanied Phillip. The fleet of 11 ships and about 1,500 people, under Phillip's command, sailed from Portsmouth, England, on 13 May 1787; provided an escort out of British waters. On 3 June 1787, the fleet anchored at Santa Cruz, Tenerife. On 10 June they set sail to cross the Atlantic to Rio de Janeiro, taking advantage of favourable trade winds and ocean currents. The Fleet reached Rio de Janeiro on 5 August and stayed for a month to resupply. The Fleet left Rio de Janeiro on 4 September to run before the westerlies to Table Bay in Southern Africa, which it reached on 13 October; this was the last port of call before Botany Bay. On 25 November, Phillip transferred from the Sirius to the faster Supply, and with the faster ships of the fleet hastened ahead to prepare for the arrival of the rest of the fleet. However, this "flying squadron", as Frost called it, reached Botany Bay only hours before the rest of the Fleet, so no preparatory work was possible. Supply reached Botany Bay on 18 January 1788; the three fastest transports in the advance group arrived on 19 January; slower ships, including Sirius, arrived on 20 January. Phillip soon decided that the site, chosen on the recommendation of Sir Joseph Banks, who had accompanied James Cook in 1770, was not suitable, since it had poor soil, no secure anchorage, and no reliable water source. Cook was an explorer and Banks had a scientific interest, whereas Phillip's differing assessment of the site came from his perspective as, quoted by Tyrrell, "custodian of over a thousand convicts" for whom he was responsible. After some exploration, Phillip decided to go on to Port Jackson, and on 26 January, the marines and the convicts landed at a cove, which Phillip named for Lord Sydney. This date later became Australia's national day, Australia Day. Governor Phillip formally proclaimed the colony on 7 February 1788 in Sydney. Sydney Cove offered a fresh water supply and a safe harbour, which Phillip famously described as: "being with out exception the finest Harbour in the World [...] Here a Thousand Sail of the Line may ride in the most perfect Security." Establishing a settlement On 26 January, the British flag was raised, and possession of the land was taken formally in the name of King George III. The next day, sailors from Sirius, a party of marines, and a number of male convicts were disembarked to fell timber and clear the ground for the erection of tents. The remaining large company of male convicts disembarked from the transports over the following days. Phillip himself structured the ordering of the camp. His own tent as governor and those of his attendant staff and servants were set on the east side of Tank Stream, with the tents of the male convicts and marines on the west. During this time, priority was given to building permanent storehouses for the settlement's provisions. On 29 January, the governor's portable house was placed, and livestock were landed the next day. The female convicts disembarked on 6 February; the general camp for the women was to the north of the governor's house and separated from the male convicts by the houses of chaplain Richard Johnson and the Judge Advocate, Marine Captain David Collins. On 7 February 1788, Phillip and his government were formally inaugurated. On 15 February 1788, Phillip sent Lieutenant Philip Gidley King with a party of twenty-three, including fifteen convicts, to establish the colony at Norfolk Island, partly in response to a perceived threat of losing the island to the French, and partly to establish an alternative food source for the mainland colony. Governor of New South Wales When Phillip was appointed as governor-designate of the colony and began to plan the expedition, he requested that the convicts that were being sent be trained; only twelve carpenters and a few men who knew anything about agriculture were sent. Seamen with technical and building skills were commandeered immediately. The colony's isolation meant that it took almost two years for Phillip to receive replies to his dispatches from his superiors in London. Phillip established a civil administration, with courts of law, that applied to everyone living in the settlement. Two convicts, Henry and Susannah Kable, sought to sue Duncan Sinclair, the captain of the Alexander, for stealing their possessions during the voyage. Sinclair, believing that as convicts they had no protection from the law, as was the case in Britain, boasted that he could not be sued. Despite this, the court found for the plaintiffs and ordered the captain to make restitution for the theft of the Kables' possessions. Phillip had drawn up a detailed memorandum of his plans for the proposed new colony. In one paragraph he wrote: "The laws of this country [England] will of course, be introduced in [New] South Wales, and there is one that I would wish to take place from the moment his Majesty's forces take possession of the country: That there can be no slavery in a free land, and consequently no slaves." Nevertheless, Phillip believed in severe discipline; floggings and hangings were commonplace, although Phillip commuted many death sentences. The settlement's supplies were rationed equally to convicts, officers, and marines, and females were given two-thirds of the weekly males' rations. In late February, six convicts were brought before the criminal court for stealing supplies. They were sentenced to death; the ringleader, Thomas Barrett, was hanged that day. Phillip gave the rest a reprieve. They were banished to an island in the harbour and given only bread and water. The governor also expanded the settlement's knowledge of the landscape. Two officers from Sirius, Captain John Hunter and Lieutenant William Bradley, conducted a thorough survey of the harbour at Sydney Cove. Phillip later joined them on an expedition to survey Broken Bay. The fleet's ships left over the next months, with Sirius and Supply remaining in the colony under command of the governor. They were used to survey and map the coastlines and waterways. Scurvy broke out, so Sirius left Port Jackson for Cape Town under the command of Hunter in October 1788, having been sent for supplies. The voyage, which completed a circumnavigation, returned to Sydney Cove in April, just in time to save the near-starving colony. As an experienced farmhand, Phillip's appointed servant Henry Edward Dodd, served as farm superintendent at Farm Cove, where he successfully cultivated the first crops, later moving to Rose Hill, where the soil was better. James Ruse, a convict, was later appointed to the position after Dodd died in 1791. When Ruse succeeded in the farming endeavours, he received the colony's first land grant. In June 1790, more convicts arrived with the Second Fleet, but , carrying more supplies, was disabled en route after hitting an iceberg, leaving the colony low on provisions again. Supply, the only ship left under colonial command after Sirius was wrecked 19 March 1790 trying to land men and supplies on Norfolk Island, was sent to Batavia for supplies. In late 1792, Phillip, whose health was suffering, relinquished the governorship to Major Francis Grose, lieutenant-governor and commander of New South Wales Corps. On 11 December 1792, Phillip left for Britain, on the Atlantic, which had arrived with convicts of the Third Fleet. Phillip was unable to follow his original intention of returning to Port Jackson once his health was restored, as medical advice compelled him to resign formally on 23 July 1793. Military personnel in colony The main challenge for order and harmony in the settlement came not from the convicts secured there on terms of good behaviour, but from the attitude of officers from the New South Wales Marine Corps. As Commander in Chief, Phillip was in command of both the naval and marine forces; his naval officers readily obeyed his commands, but a measure of co-operation from the marine officers ran against their tradition. Major Robert Ross and his officers (with the exception of a few such as David Collins, Watkin Tench, and William Dawes) refused to do anything other than guard duty, claiming that they were neither gaolers, supervisors, nor policemen. Four companies of marines, consisting of 160 privates with 52 officers and NCO's, accompanied the First Fleet to Botany Bay. In addition, there were 34 officers and men serving in the Ship's Complement of Marines aboard Sirius and Supply, bringing the total to 246 who departed England. Ross supported and encouraged his fellow officers in their conflicts with Phillip, engaged in clashes of his own, and complained of the governor's actions to the Home Office. Phillip, more placid and forbearing in temperament, was anxious in the interests of the community as a whole to avoid friction between the civil and military authorities. Though firm in his attitude, he endeavoured to placate Ross, but to little effect. In the end, he solved the problem by ordering Ross to Norfolk Island on 5 March 1790 to replace the commandant there. Beginning with guards arriving with the Second and Third fleets, but officially with the arrival of on 22 September 1791, the New South Wales Marines were relieved by a newly formed British Army regiment of foot, the New South Wales Corps. On 18 December 1791, Gorgon left Port Jackson, taking home the larger part of the still-serving New South Wales Marines. There remained in New South Wales a company of active marines serving under Captain George Johnston, who had been Phillip's aide-de-camp, that transferred to the New South Wales Corps. Also remaining in the colony were discharged marines, many of whom became settlers. The official departure of the last serving marines from the colony was in December 1792, under Governor Phillip. Major Francis Grose, commander of the New South Wales Corps, had replaced Ross as the Lieutenant-Governor and took over command of the colony when Phillip returned to Britain. Relations with indigenous peoples Phillip's official orders with regard to Aboriginal people were to "conciliate their affections", to "live in amity and kindness with them", and to punish anyone who should "wantonly destroy them, or give them any unnecessary interruption in the exercise of their several occupations". The first meeting between the colonists and the Eora, Aboriginal people, happened in Botany Bay. When Phillip went ashore, gifts were exchanged, thus Phillip and the officers began their relationship with the Eora through gift-giving, hilarity, and dancing, but also by showing them what their guns could do. Anyone found harming or killing Aboriginal people without provocation would be severely punished. After the early meetings, dancing, and musket demonstrations, the Eora avoided the settlement in Sydney Cove for the first year, but they warned and then attacked whenever colonists trespassed on their lands away from the settlement. Part of Phillip's early plan for peaceful cohabitation had been to persuade some Eora, preferably a family, to come and live in the town with the British so that the colonists could learn about the Eora's language, beliefs, and customs. By the end of the first year, as none of the Eora had come to live in the settlement, Phillip decided on a more ruthless strategy, and ordered the capture of some Eora warriors. The man who was captured was Arabanoo, from whom Phillip and his officers started to learn language and customs. Arabanoo died in April 1789 of smallpox, which also ravaged the rest of
actor and director 1973 – Roberto Carlos, Brazilian footballer and manager 1973 – Aidan Moffat, Scottish singer-songwriter 1973 – Christopher Simmons, Canadian-American graphic designer, author, and academic 1974 – Eric Greitens, American soldier, author and politician 1974 – Petros Passalis, Greek footballer 1975 – Chris Carrabba, American singer-songwriter and guitarist 1975 – Terrence Lewis, Indian dancer and choreographer 1975 – David Harbour, American actor 1976 – Clare Buckfield, English actress 1976 – Yoshino Kimura, Japanese actress and singer 1976 – Sara Renner, Canadian skier 1977 – Stephanie Sheh, Taiwanese-American voice actress, director, and producer 1978 – Sir Christus, Finnish guitarist 1979 – Iván Alonso, Uruguayan footballer 1979 – Kenyon Coleman, American football player 1979 – Rachel Corrie, American author and activist (d. 2003) 1979 – Tsuyoshi Domoto, Japanese singer-songwriter and actor 1979 – Sophie Ellis-Bextor, English singer-songwriter 1979 – Peter Kopteff, Finnish footballer 1980 – Sean Avery, Canadian ice hockey player and model 1980 – Charlie Hunnam, English actor 1980 – Shao Jiayi, Chinese footballer 1980 – Kasey Kahne, American race car driver 1980 – Andy Ram, Israeli tennis player 1980 – Bryce Soderberg, American singer-songwriter and bass player 1981 – Laura Bell Bundy, American actress and singer 1981 – Liz McClarnon, English singer and dancer 1981 – Michael Pitt, American actor, model and musician 1981 – Alexei Semenov, Russian ice hockey player 1982 – Andre Ethier, American baseball player 1982 – Chyler Leigh, American actress and singer 1983 – Jamie Chung, American actress 1983 – Andrew Dost, American guitarist and songwriter 1983 – Ryan Merriman, American actor 1983 – Hannes Sigurðsson, Icelandic footballer 1984 – Faustina Agolley, Australian television host 1984 – Jeremy Barrett, American figure skater 1984 – Mandy Moore, American singer-songwriter and actress 1984 – David Obua, Ugandan footballer 1984 – Damien Perquis, French-Polish footballer 1984 – Gonzalo Javier Rodríguez, Argentinian footballer 1985 – Barkhad Abdi, Somali-American actor and director 1985 – Willo Flood, Irish footballer 1985 – Jesús Gámez, Spanish footballer 1985 – Dion Phaneuf, Canadian ice hockey player 1986 – Olivia Borlée, Belgian sprinter 1986 – Fernando Gago, Argentine footballer 1986 – Corey Kluber, American baseball pitcher 1986 – Vincent Kompany, Belgian footballer 1986 – Tore Reginiussen, Norwegian footballer 1987 – Shay Mitchell, Canadian actress and model 1987 – Hayley Westenra, New Zealand soprano 1988 – Chris Heston, American baseball pitcher 1988 – Kareem Jackson, American football player 1988 – Haley Joel Osment, American actor 1990 – Ben Amos, English footballer 1990 – Andile Jali, South African footballer 1990 – Ricky Leutele, Australian-Samoan rugby league player 1990 – Maren Morris, American singer 1990 – Alex Pettyfer, English actor 1991 – AJ Michalka, American actress and singer 1992 – Jack Buchanan, Australian rugby league player 1992 – Sadio Mané, Senegalese footballer 1992 – Daisy Ridley, English actress 1993 – Sofia Carson, American singer and actress 1994 – Siobhan Hunter, Scottish footballer 1995 – Ian Nelson, American actor 1996 – Thanasi Kokkinakis, Australian tennis player 1996 – Audrey Whitby, American actress 1997 – Claire Wineland, American activist and author (d. 2018) 1998 – Anna Pogorilaya, Russian figure skater 2001 – Ky Baldwin, Australian singer and actor 2001 – Noa Kirel, Israeli singer Deaths Pre-1600 879 – Louis the Stammerer, king of West Francia (b. 846) 943 – Landulf I, prince of Benevento and Capua 948 – Hugh of Arles, king of Italy 1008 – Notker of Liège, French bishop (b. 940) 1216 – Eric X, king of Sweden (b. 1180) 1282 – Ahmad Fanakati, chief minister under Kublai Khan 1309 – Elisabeth von Rapperswil, Swiss countess (b. 1261) 1362 – Maud, English noblewoman (b. 1339) 1500 – Michael Tarchaniota Marullus, Greek scholar and poet 1533 – Frederick I, king of Denmark and Norway (b. 1471) 1545 – Costanzo Festa, Italian composer 1585 – Gregory XIII, pope of the Catholic Church (b. 1502) 1598 – Jacopo Mazzoni, Italian philosopher (b. 1548) 1599 – Gabrielle d'Estrées, French mistress of Henry IV of France (b. 1571) 1601–1900 1601 – Mark Alexander Boyd, Scottish soldier and poet (b. 1562) 1619 – Thomas Jones, English-Irish archbishop and politician, Lord Chancellor of Ireland (b. 1550) 1640 – Agostino Agazzari, Italian composer and theorist (b. 1578) 1644 – William Brewster, English official and pilgrim leader (b. 1566) 1646 – Santino Solari, Swiss architect and sculptor (b. 1576) 1667 – Jan Marek Marci, Czech physician and author (b. 1595) 1704 – Wilhelm Egon von Fürstenberg, German cardinal (b. 1629) 1756 – Giacomo Antonio Perti, Italian composer (b. 1661) 1760 – Jean Lebeuf, French historian and author (b. 1687) 1786 – John Byron, English admiral and politician, 24th Commodore Governor of Newfoundland (b. 1723) 1806 – Horatio Gates, English-American general (b. 1727) 1813 – Joseph-Louis Lagrange, Italian mathematician and astronomer (b. 1736) 1823 – Karl Leonhard Reinhold, Austrian philosopher and academic (b. 1757) 1871 – Lucio Norberto Mansilla, Argentinian general and politician (b. 1789) 1889 – William Crichton, Scottish engineer and shipbuilder (b. 1827) 1901–present 1909 – Algernon Charles Swinburne, English poet, playwright, novelist, and critic (b. 1837) 1919 – Emiliano Zapata, Mexican general (b. 1879) 1920 – Moritz Cantor, German mathematician and historian (b. 1829) 1931 – Kahlil Gibran, Lebanese-American poet, painter, and philosopher (b. 1883) 1935 – Rosa Campbell Praed, Australian novelist (b. 1851) 1938 – King Oliver, American cornet player and bandleader (b. 1885) 1942 – Carl Schenstrøm, Danish actor and director (b. 1881) 1943 – Andreas Faehlmann, Estonian-German sailor and engineer (b. 1898) 1945 – Hendrik Nicolaas Werkman, Dutch printer and typographer (b. 1882) 1947 – Charles Nordhoff, English-American lieutenant and author (b. 1887) 1950 – Fevzi Çakmak, Turkish field marshal and politician, 2nd Prime Minister of Turkey (b. 1876) 1954 – Auguste Lumière, French director and producer (b. 1862) 1954 – Oscar Mathisen, Norwegian speed skater (b. 1888) 1955 – Pierre Teilhard de Chardin, French priest, theologian, and philosopher (b. 1881) 1958 – Chuck Willis, American singer-songwriter (b. 1928) 1960 – André Berthomieu, French director and screenwriter (b. 1903) 1962 – Michael Curtiz, Hungarian-American director, producer, and screenwriter (b. 1886) 1962 – Stuart Sutcliffe, Scottish artist and musician (b. 1940) 1965 – Lloyd Casner, American race car driver, founded Casner Motor Racing Division (b. 1928) 1965 – Linda Darnell, American actress (b. 1923) 1966 – Evelyn Waugh, English soldier, novelist, journalist and critic (b. 1903) 1968 – Gustavs Celmiņš, Latvian lieutenant and politician (b. 1899) 1969 – Harley Earl, American businessman (b. 1893) 1975 – Walker Evans, American photographer (b. 1903) 1975 – Marjorie Main, American actress (b. 1890) 1978 – Hjalmar Mäe, Estonian politician (b. 1901) 1979 – Nino Rota, Italian pianist, composer, and conductor (b. 1911) 1980 – Kay Medford, American actress and singer (b. 1919) 1981 – Howard Thurman, American author, philosopher and civil rights activist (b. 1899) 1983 – Issam Sartawi, Palestinian activist (b. 1935) 1985 – Zisis Verros, Greek chieftain of the Macedonian Struggle (b. 1880) 1986 – Linda Creed, American singer-songwriter (b. 1948) 1991 – Kevin Peter Hall, American actor (b. 1955) 1991 – Martin Hannett, English guitarist and producer (b. 1948) 1991 – Natalie Schafer, American actress (b. 1900) 1992 – Sam Kinison, American comedian and actor (b. 1953) 1993 – Chris Hani, South African activist and politician (b. 1942) 1994 – Sam B. Hall, Jr., American lawyer, judge, and politician (b. 1924) 1995 – Morarji Desai, Indian politician, 4th Prime Minister of
Emiliano Zapata is ambushed and shot dead by government forces in Morelos. 1925 – The Great Gatsby by F. Scott Fitzgerald is first published in New York City, by Charles Scribner's Sons. 1938 – The 1938 German parliamentary election and referendum seeks approval for a single list of Nazi candidates and the recent annexation of Austria. 1939 – Alcoholics Anonymous, A.A.'s "Big Book", is first published. 1941 – World War II: The Axis powers establish the Independent State of Croatia. 1944 – Rudolf Vrba and Alfréd Wetzler escape from Birkenau death camp. 1963 – One hundred twenty-nine American sailors die when the submarine sinks at sea. 1968 – The TEV Wahine, a New Zealand ferry sinks in Wellington harbour due to a fierce storm – the strongest winds ever in Wellington. Out of the 734 people on board, fifty-three died. 1970 – Paul McCartney announces that he is leaving The Beatles for personal and professional reasons. 1971 – Ping-pong diplomacy: In an attempt to thaw relations with the United States, China hosts the U.S. table tennis team for a week-long visit. 1972 – Tombs containing bamboo slips, among them Sun Tzu's Art of War and Sun Bin's lost military treatise, are accidentally discovered by construction workers in Shandong. 1972 – Vietnam War: For the first time since November 1967, American B-52 bombers reportedly begin bombing North Vietnam. 1973 – Invicta International Airlines Flight 435 crashes in a snowstorm on approach to Basel, Switzerland, killing 108 people. 1979 – Red River Valley tornado outbreak: A tornado lands in Wichita Falls, Texas killing 42 people. 1988 – The Ojhri Camp explosion kills or injures more than 1,000 people in Rawalpindi and Islamabad, Pakistan. 1991 – Italian ferry collides with an oil tanker in dense fog off Livorno, Italy, killing 140. 1991 – A rare tropical storm develops in the South Atlantic Ocean near Angola; the first to be documented by satellites. 1998 – The Good Friday Agreement is signed in Northern Ireland. 2009 – President of Fiji Ratu Josefa Iloilo announces the abrogation of the constitution and assumes all governance in the country, creating a constitutional crisis. 2010 – Polish Air Force Tu-154M crashes near Smolensk, Russia, killing 96 people, including Polish President Lech Kaczyński, his wife, and dozens of other senior officials and dignitaries. 2016 – The Paravur temple accident in which a devastating fire caused by the explosion of firecrackers stored for Vishu, kills more than one hundred people out of the thousands gathered for seventh day of Bhadrakali worship. 2016 – An earthquake of 6.6 magnitude strikes 39 km west-southwest of Ashkasham, shakes up India, Afghanistan, Tajikistan, Srinagar and Pakistan. 2019 – Scientists from the Event Horizon Telescope project announce the first ever image of a black hole, which was located in the centre of the M87 galaxy. Births Pre-1600 401 – Theodosius II, Roman emperor (d. 450) 1018 – Nizam al-Mulk, Persian scholar and vizier (d. 1092) 1472 – Margaret of York, English princess (d. 1472) 1480 – Philibert II, duke of Savoy (d. 1504) 1487 – William I, count of Nassau-Dillenburg (d. 1559) 1512 – James V, king of Scotland (d. 1542) 1579 – Augustus II, duke of Brunswick-Lüneburg (d. 1666) 1583 – Hugo Grotius, Dutch philosopher and jurist (d. 1645) 1601–1900 1603 – Christian, Prince-Elect of Denmark (d. 1647) 1651 – Ehrenfried Walther von Tschirnhaus, German mathematician, physicist, and physician (d. 1708) 1656 – René Lepage de Sainte-Claire, French-Canadian settler, founded Rimouski (d. 1718) 1704 – Benjamin Heath, English scholar and author (d. 1766) 1707 – Michel Corrette, French organist, composer, and author (d. 1795) 1713 – John Whitehurst, English geologist and clockmaker (d. 1788) 1755 – Samuel Hahnemann, German-French physician and academic (d. 1843) 1762 – Giovanni Aldini, Italian physicist and academic (d. 1834) 1769 – Jean Lannes, French marshal (d. 1809) 1778 – William Hazlitt, English essayist and critic (d. 1830) 1794 – Matthew C. Perry, English-Scottish American commander (d. 1858) 1806 – Juliette Drouet, French actress (d. 1883) 1806 – Leonidas Polk, Scottish-American general and bishop (d. 1884) 1827 – Lew Wallace, American general, lawyer, and politician, 11th Governor of New Mexico Territory (d. 1905) 1829 – William Booth, English minister, founded The Salvation Army (d. 1912) 1847 – Joseph Pulitzer, Hungarian-American journalist, publisher, and politician, founded Pulitzer, Inc. (d. 1911) 1864 – Eugen d'Albert, Scottish-German pianist and composer (d. 1932) 1865 – Jack Miner, American-Canadian farmer, hunter, and environmentalist (d. 1944) 1867 – George William Russell, Irish author, poet, and painter (d. 1935) 1868 – George Arliss, English actor and playwright (d. 1946) 1868 – Asriel Günzig, Moravian rabbi (d. 1931) 1873 – Kyösti Kallio, Finnish farmer, banker, and politician, 4th President of Finland (d. 1940) 1875 – George Clawley, English footballer (d. 1920) 1877 – Alfred Kubin, Austrian author and illustrator (d. 1959) 1879 – Bernhard Gregory, Estonian-German chess player (d. 1939) 1879 – Coenraad Hiebendaal, Dutch rower and physician (d. 1921) 1880 – Frances Perkins, American sociologist, academic, and politician, 4th United States Secretary of Labor (d. 1965) 1880 – Montague Summers, English clergyman and author (d. 1948) 1886 – Johnny Hayes, American runner and trainer (d. 1965) 1887 – Bernardo Houssay, Argentinian physiologist and academic, Nobel Prize laureate (d. 1971) 1889 – Louis Rougier, French philosopher from the Vienna Circle (d. 1982) 1891 – Frank Barson, English footballer and coach (d. 1968) 1893 – Otto Steinböck, Austrian zoologist (d. 1969) 1894 – Ben Nicholson, British painter (d. 1982) 1897 – Prafulla Chandra Sen, Indian accountant and politician, 3rd Chief Minister of West Bengal (d. 1990) 1900 – Arnold Orville Beckman, American chemist, inventor, and philanthropist (d. 2004) 1901–present 1901 – Dhananjay Ramchandra Gadgil, Indian economist (d. 1971) 1903 – Clare Turlay Newberry, American author and illustrator (d. 1970) 1906 – Steve Anderson, American hurdler (d. 1988) 1910 – Margaret Clapp, American scholar and academic (d. 1974) 1910 – Helenio Herrera, Argentinian footballer and manager (d. 1997) 1910 – Paul Sweezy, American economist and publisher, founded the Monthly Review (d. 2004) 1911 – Martin Denny, American pianist and composer (d. 2005) 1911 – Maurice Schumann, French journalist and politician, Minister of Foreign and European Affairs for France (d. 1998) 1912 – Boris Kidrič, Austrian-Slovenian politician, 1st Prime Minister of Slovenia (d. 1953) 1913 – Stefan Heym, German-American soldier and author (d. 2001) 1914 – Jack Badcock, Australian cricketer (d. 1982) 1915 – Harry Morgan, American actor and director (d. 2011) 1915 – Leo Vroman, Dutch-American hematologist, poet, and illustrator (d. 2014) 1916 – Lee Jung-seob, Korean painter (d. 1956) 1917 – Jagjit Singh Lyallpuri, Indian politician (d. 2013) 1917 – Robert Burns Woodward, American chemist and academic, Nobel Prize laureate (d. 1979) 1919 – John Houbolt, American engineer and academic (d. 2014) 1921 – Chuck Connors, American baseball player and actor (d. 1992) 1921 – Jake Warren, Canadian soldier and diplomat, Canadian Ambassador to the United States (d. 2008) 1921 – Sheb Wooley, American singer-songwriter and actor (d. 2003) 1923 – Roger Gaillard, Haitian historian and author (d. 2000) 1923 – Jane Kean, American actress and
in the north east of the county is notable for its tidal basin. Angus's coast is fairly regular, the most prominent features being the headlands of Scurdie Ness and Buddon Ness. The main bodies of water in the county are Loch Lee, Loch Brandy, Carlochy, Loch Wharral, Den of Ogil Reservoir, Loch of Forfar, Loch Fithie, Rescobie Loch, Balgavies Loch, Crombie Reservoir, Monikie Reservoirs, Long Loch, Lundie Loch, Loch of Kinnordy, Loch of Lintrathen, Backwater Reservoir, Auchintaple Loch, Loch Shandra, and Loch Esk. Demography Population structure In the 2001 census, the population of Angus was recorded as 108,400. 20.14% were under the age of 16, 63.15% were between 16 and 65 and 18.05% were aged 65 or above. Of the 16 to 74 age group, 32.84% had no formal qualifications, 27.08% were educated to 'O' Grade/Standard Grade level, 14.38% to Higher level, 7.64% to HND or equivalent level and 18.06% to degree level. Language in Angus The most recent available census results (2001) show that Gaelic is spoken by 0.45% of the Angus population. This, similar to other lowland areas, is lower than the national average of 1.16%. These figures are self-reported and are not broken down into levels of fluency. Meanwhile, the 2011 census found that 38.4% of the population in Angus can speak Scots, above the Scottish average of 30.1%. This puts Angus as the council area with the sixth highest proficiency in Scots, behind only Shetland, Orkney, Moray, Aberdeenshire, and East Ayrshire. Historically, the dominant language in Angus was Pictish until the sixth to seventh centuries AD when the area became progressively gaelicised, with Pictish extinct by the mid-ninth century. Gaelic/Middle Irish began to retreat from lowland areas in the late-eleventh century and was absent from the Eastern lowlands by the fourteenth century. It was replaced there by Middle Scots, the contemporary local South Northern dialect of Modern Scots, while Gaelic persisted as a majority language in the highland Glens until the 19th century. Angus Council are planning to raise the status of Gaelic in the county by adopting a series of measures, including bilingual road signage, communications, vehicle livery and staffing. Government Local government The Local Government (Scotland) Act 1889 established a uniform system of county councils in Scotland and realigned the boundaries of many of Scotland's counties. Subsequently, Angus County Council was created in 1890. In May 1975 the county council was abolished and its functions were transferred to Tayside Regional Council: the local area was served by Angus District Council. The county council was based at the County Buildings in Market Street in Forfar. Angus Council is one of the 32 local government council areas of Scotland after the two-tier local government council was abolished and Angus was established as one of the replacement single-tier Council Areas in 1996. As of May 2017 there are 28 seats on the council. From the May 2017 elections the seats are held as follows – Independent 9, SNP 9, Conservative 8, Liberal Democrat 2. The council's civic head is the Provost of Angus. There have been six Provosts since its establishment in 1996 – Frances Duncan, Bill Middleton, Ruth Leslie-Melville, Helen Oswald and Alex King. On 16 May 2017 Cllr Ronnie Proctor was appointed Provost from the councillors elected in Angus at the 2017 elections. As Angus is a county area the Lord Lieutenant of Angus is separate role. The council has had four Chief Executives since its formation – Sandy Watson 1996–2006, David Sawers 2006–2011, Richard Stiff 2011–2017 and Margo Williamson 2017 to date. Margo Williamson is the first female Chief Executive since the council was formed. The council's main offices are located at Angus House at Orchardbank in Forfar and at Bruce House in Arbroath while council meetings are held in Forfar Town and County Hall in The Cross. The boundaries of the present council area are the same as those of the historic county minus the City of Dundee. The council area borders Aberdeenshire, Dundee City and Perth and Kinross. Angus is divided into 25 community council areas and all apart from Friockheim district have an active council. The areas are: Aberlemno; Auchterhouse; Carnoustie; City of Brechin & District; Ferryden & Craig; Friockheim & District; Glamis; Hillside, Dun, & Logie Pert; Inverarity; Inveresk; Kirriemuir; Kirriemuir Landward East; Kirriemuir Landward West; Letham & District;
structure In the 2001 census, the population of Angus was recorded as 108,400. 20.14% were under the age of 16, 63.15% were between 16 and 65 and 18.05% were aged 65 or above. Of the 16 to 74 age group, 32.84% had no formal qualifications, 27.08% were educated to 'O' Grade/Standard Grade level, 14.38% to Higher level, 7.64% to HND or equivalent level and 18.06% to degree level. Language in Angus The most recent available census results (2001) show that Gaelic is spoken by 0.45% of the Angus population. This, similar to other lowland areas, is lower than the national average of 1.16%. These figures are self-reported and are not broken down into levels of fluency. Meanwhile, the 2011 census found that 38.4% of the population in Angus can speak Scots, above the Scottish average of 30.1%. This puts Angus as the council area with the sixth highest proficiency in Scots, behind only Shetland, Orkney, Moray, Aberdeenshire, and East Ayrshire. Historically, the dominant language in Angus was Pictish until the sixth to seventh centuries AD when the area became progressively gaelicised, with Pictish extinct by the mid-ninth century. Gaelic/Middle Irish began to retreat from lowland areas in the late-eleventh century and was absent from the Eastern lowlands by the fourteenth century. It was replaced there by Middle Scots, the contemporary local South Northern dialect of Modern Scots, while Gaelic persisted as a majority language in the highland Glens until the 19th century. Angus Council are planning to raise the status of Gaelic in the county by adopting a series of measures, including bilingual road signage, communications, vehicle livery and staffing. Government Local government The Local Government (Scotland) Act 1889 established a uniform system of county councils in Scotland and realigned the boundaries of many of Scotland's counties. Subsequently, Angus County Council was created in 1890. In May 1975 the county council was abolished and its functions were transferred to Tayside Regional Council: the local area was served by Angus District Council. The county council was based at the County Buildings in Market Street in Forfar. Angus Council is one of the 32 local government council areas of Scotland after the two-tier local government council was abolished and Angus was established as one of the replacement single-tier Council Areas in 1996. As of May 2017 there are 28 seats on the council. From the May 2017 elections the seats are held as follows – Independent 9, SNP 9, Conservative 8, Liberal Democrat 2. The council's civic head is the Provost of Angus. There have been six Provosts since its establishment in 1996 – Frances Duncan, Bill Middleton, Ruth Leslie-Melville, Helen Oswald and Alex King. On 16 May 2017 Cllr Ronnie Proctor was appointed Provost from the councillors elected in Angus at the 2017 elections. As Angus is a county area the Lord Lieutenant of Angus is separate role. The council has had four Chief Executives since its formation – Sandy Watson 1996–2006, David Sawers 2006–2011, Richard Stiff 2011–2017 and Margo Williamson 2017 to date. Margo Williamson is the first female Chief Executive since the council was formed. The council's main offices are located at Angus House at Orchardbank in Forfar and at Bruce House in Arbroath while council meetings are held in Forfar Town and County Hall in The Cross. The boundaries of the present council area are the same as those of the historic county minus the City of Dundee. The council area borders Aberdeenshire, Dundee City and Perth and Kinross. Angus is divided into 25 community council areas and all apart from Friockheim district have an active council. The areas are: Aberlemno; Auchterhouse; Carnoustie; City of Brechin & District; Ferryden & Craig; Friockheim & District; Glamis; Hillside, Dun, & Logie Pert; Inverarity; Inveresk; Kirriemuir; Kirriemuir Landward East; Kirriemuir Landward West; Letham & District; Lunanhead & District; Monifieth; Monikie & Newbigging; Montrose; Muirhead, Birkhill and Liff; Murroes & Wellbank; Newtyle & Eassie; Royal Burgh of Arbroath; Royal Burgh of Forfar; Strathmartine; and
most beloved "babyfaces" throughout the 1970s and early 1980s. As such, Gorilla Monsoon often stated that Roussimoff had not been defeated in 15 years by pinfall or submission prior to WrestleMania III; however, he had lost in matches outside of the WWF: pinfall losses to Don Leo Jonathan in Montreal in 1972, a knockout to Jerry Lawler in Memphis in 1975, draw with Bobo Brazil at a battle royal in Detroit in 1976, Ronnie Garvin in Knoxville in 1978, and Canek in Mexico in 1984 and submission losses in Japan to Strong Kobayashi in 1972 and Antonio Inoki in 1986. He also had sixty-minute time-limit draws with the two major world champions of the day, Harley Race and Nick Bockwinkel. In 1976, Roussimoff fought professional boxer Chuck Wepner in an unscripted boxer-versus-wrestler fight. The wild fight was shown via telecast as part of the undercard of the Muhammad Ali versus Antonio Inoki fight and ended when he threw Wepner over the top rope and outside the ring and won via count-out. In 1980, he feuded with Hulk Hogan, when, unlike their more famous matches in the late 1980s, Hogan was the villain and Roussimoff was the hero, wrestling him at Shea Stadium's third Showdown at Shea event and in Pennsylvania, where after Roussimoff pinned Hogan to win the match, Hogan bodyslammed him much like their legendary WrestleMania III match in 1987. The feud continued in Japan in 1982 and 1983 with their roles reversed and with Antonio Inoki also involved. One of Roussimoff's feuds pitted him against the "Mongolian Giant" Killer Khan. According to the storyline, Khan snapped Roussimoff's ankle during a match on 2 May 1981 in Rochester, New York by leaping off the top rope and crashing down upon it with his knee-drop. In reality, he had broken his ankle getting out of bed the morning before the match. The injury and subsequent rehabilitation was worked into the existing Roussimoff/Khan storyline. After a stay at Beth Israel Hospital in Boston, Roussimoff returned with payback on his mind. The two battled on 20 July 1981, at Madison Square Garden in a match that resulted in a double disqualification. Their feud continued as fans filled arenas up and down the east coast to witness their matches. On 14 November 1981 at the Philadelphia Spectrum, he decisively defeated Khan in what was billed as a "Mongolian stretcher match", in which the loser must be taken to the dressing room on a stretcher. The same type of match was also held in Toronto. In early 1982 the two also fought in a series of matches in Japan with Arnold Skaaland in Roussimoff's corner. World Wrestling Federation (1984–1991) Feud with the Heenan Family (1984–1987) In 1982, Vincent J. McMahon sold the World Wide Wrestling Federation to his son, Vince McMahon As McMahon began to expand his newly acquired promotion to the national level, he required his wrestlers to appear exclusively for him. McMahon signed Roussimoff to these terms in 1984, although he still allowed him to work in Japan for New Japan Pro-Wrestling (NJPW). Roussimoff feuded with Big John Studd over which of the two men was the "true giant" of wrestling. Throughout the early to mid-1980s, Roussimoff and Studd fought all over the world, battling to try to determine who the real giant of wrestling was. In 1984, Studd took the feud to a new level when he and partner Ken Patera knocked out Roussimoff during a televised tag-team match and proceeded to cut off his hair. After gaining revenge on Patera, Roussimoff met Studd in a "body slam challenge" at the first WrestleMania, held 31 March 1985, at Madison Square Garden in New York City. Roussimoff slammed Studd to win the match and collect the $15,000 prize, then proceeded to throw cash to the fans before having the bag taken from him by Studd's manager, Bobby "The Brain" Heenan. At WrestleMania 2 on 7 April 1986, Roussimoff continued to display his dominance by winning a twenty-man battle royal which featured top National Football League stars and wrestlers. He last eliminated Bret Hart to win the contest. Following a final tour with New Japan Pro-Wrestling in mid-1986, Roussimoff began appearing exclusively with the World Wrestling Federation. After WrestleMania 2, Roussimoff continued his feud with Studd and King Kong Bundy. Around this time, Roussimoff requested a leave of absence to tend to his health, since the effects from his acromegaly were beginning to take their toll, as well as to tour Japan. He had also been cast in the film The Princess Bride. To explain his absence, a storyline was developed in which Heenan—suggesting that Roussimoff was secretly afraid of Studd and Bundy, whom Heenan bragged were unbeatable—challenged Roussimoff and a partner of his choosing to wrestle Studd and Bundy in a televised tag-team match. When Roussimoff failed to show, WWF president Jack Tunney indefinitely suspended him. Later in the summer of 1986, upon Roussimoff's return to the United States, he began wearing a mask and competing as the "Giant Machine" in a stable known as the Machines. Big Machine and Super Machine were the other members; Hulk Hogan (as "Hulk Machine") and Roddy Piper (as "Piper Machine") were also one-time members. The WWF's television announcers sold the Machines—a gimmick that was copied from the New Japan Pro-Wrestling character "Super Strong Machine", played by Japanese wrestler Junji Hirata, —as "a new tag-team from Japan" and claimed not to know the identities of the wrestlers, even though it was obvious to fans that it was Roussimoff competing as the Giant Machine. Heenan, Studd, and Bundy complained to Tunney, who eventually told Heenan that if it could be proven that Roussimoff and the Giant Machine were the same person, Roussimoff would be fired. Roussimoff thwarted Heenan, Studd, and Bundy at every turn. Then, in late 1986, the Giant Machine "disappeared" and Roussimoff was reinstated. Foreshadowing Roussimoff's heel turn, Heenan expressed his approval of the reinstatement but did not explain why. WWF Champion; various rivalries (1987–1989) Roussimoff agreed to turn heel in early 1987 to be the counter to the biggest "babyface" in professional wrestling at that time, Hulk Hogan. On an edition of Piper's Pit in 1987, Hogan was presented a trophy for being the WWF World Heavyweight Champion for three years; Roussimoff came out to congratulate him, shaking Hogan's hand with a strong grip, which surprised the Hulkster. On the following week's Piper's Pit, Roussimoff was presented a slightly smaller trophy for being "the only undefeated wrestler in wrestling history." Although he had suffered a handful of countout and disqualification losses in WWF, he had never been pinned or forced to submit in a WWF ring. Hogan came out to congratulate him and ended up being the focal point of the interview. Apparently annoyed, he walked out in the midst of Hogan's speech. A discussion between Roussimoff and Hogan was scheduled, and on a Piper's Pit that aired 7 February 1987, the two met. Hogan was introduced first, followed by Roussimoff, who was led by longtime rival Bobby Heenan. Speaking on behalf of his new protégé, Heenan accused Hogan of being Roussimoff's friend only so he would not have to defend his title against him. Hogan tried to reason with Roussimoff, but his pleas were ignored as he challenged Hogan to a match for the WWF World Heavyweight Championship at WrestleMania III. Hogan was still seemingly in disbelief as to what Roussimoff was doing, prompting Heenan to say "You can't believe it, maybe you'll believe this, Hogan" before Roussimoff ripped off the T-shirt and crucifix from Hogan, with the crucifix scratching Hogan's chest, causing him to bleed. Following Hogan's acceptance of his challenge on a later edition of Piper's Pit, the two were part of a 20-man over-the-top-rope battle-royal on 14 March edition of Saturday Night's Main Event X at the Joe Louis Arena in Detroit. Although the battle royal was won by Hercules, Roussimoff claimed to have gained a psychological advantage over Hogan when he threw the WWF World Heavyweight Champion over the top rope. The match, which was actually taped on 21 February 1987, aired only two weeks before WrestleMania III to make it seem like Hogan had met his match in André the Giant. At WrestleMania III, he was billed at , and the stress of such immense weight on his bones and joints resulted in constant pain. After recent back surgery, he was also wearing a brace underneath his wrestling singlet. In front of a record crowd, Hogan won the match after body-slamming Roussimoff (later dubbed "the bodyslam heard around the world"), followed by Hogan's running leg drop finisher. Years later, Hogan claimed that Roussimoff was so heavy, he felt more like , and that he tore his latissimus dorsi muscle when slamming him. Another myth about the match is that no one, not even WWF owner Vince McMahon, knew until the day of the event whether Roussimoff would lose the match. In reality, he agreed to lose the match sometime before, mostly for health reasons. Contrary to popular belief, it was not the first time that Hogan had successfully body-slammed him in a WWF match. A then-heel Hogan had slammed a then-face Roussimoff following their match at the Showdown at Shea on 9 August 1980, though Roussimoff was somewhat lighter (around ) and more athletic at the time (Hogan also slammed him in a match in Hamburg, Pennsylvania, a month later). This took place in the territorial days of American wrestling three years before WWF began national expansion, so many of those who watched WrestleMania III had never seen the Giant slammed (Roussimoff had also previously allowed Harley Race, El Canek and Stan Hansen, among others, to slam him). By the time of WrestleMania III, the WWF went national, giving more meaning to the Roussimoff–Hogan match that took place then. The feud between Roussimoff and Hogan simmered during the summer of 1987, as Roussimoff's health declined. The feud began heating up again when wrestlers were named the captains of rival teams at the inaugural Survivor Series event. During their approximately one minute of battling each other during the match, Hogan dominated Roussimoff and was on the brink of knocking him from the ring, but was tripped up by his partners, Bundy and One Man Gang, and would be counted out. Roussimoff went on to be the sole survivor of the match, pinning Bam Bam Bigelow before Hogan returned to the ring to attack André and knock him out of the ring. Roussimoff later got revenge when, after Hogan won a match against Bundy on Saturday Night's Main Event, he snuck up from behind and began choking Hogan to the brink of unconsciousness, not letting go even after an army of seven face-aligned wrestlers ran to the ring to try to pull him away; it took Hacksaw Jim Duggan breaking a piece of wood over his back (which he no-sold) for him to let go, after which Hogan was pulled to safety. As was the case with the SNME battle royal a year earlier, the series of events was one of the pieces that helped build interest in a possible one-on-one rematch between Hogan and Roussimoff, and to make it seem that Roussimoff was certain to win easily when they did meet. In the meantime, the "Million Dollar Man" Ted DiBiase failed to persuade Hogan to sell him the WWF World Heavyweight Championship. After failing to defeat Hogan in a subsequent series of matches, DiBiase turned to Roussimoff to win it for him. He and DiBiase had teamed several times in the past, including in Japan and in the WWF in the late 1970s and early 1980s when both were faces, but this was not acknowledged during this new storyline. The earlier attack and DiBiase's insertion into the feud set up the Hogan-Roussimoff rematch on The Main Event, to air 5 February 1988, on a live broadcast on NBC. Acting as his hired gun, Roussimoff won the WWF World Heavyweight Championship from Hogan (his first singles title) in a match where it was later revealed that appointed referee Dave Hebner was "detained backstage", and a replacement (whom Hogan afterwards initially accused of having been paid by DiBiase to get plastic surgery to look like Dave, but was revealed to have been his evil twin brother, Earl Hebner), made a three count on Hogan while his shoulders were off the mat. After winning, Roussimoff "sold" the title to DiBiase; the transaction was declared invalid by then-WWF president Jack Tunney and the title was declared vacant. This was shown on WWF's NBC program The Main Event. At WrestleMania IV, Roussimoff and Hulk Hogan fought to a double disqualification in a WWF title tournament match (with the idea in the storyline saying that Roussimoff was again working on DiBiase's behalf in giving DiBiase a clearer path in the tournament). Afterward, Roussimoff and Hogan's feud died down after a steel cage match held at WrestleFest on 31 July 1988, in Milwaukee. Hogan was the winner. At the inaugural SummerSlam pay-per-view held at Madison Square Garden, Roussimoff and DiBiase (billed as The Mega Bucks) faced Hogan and WWF World Heavyweight Champion "Macho Man" Randy Savage (known as The Mega Powers) in the main event, with Jesse "The Body" Ventura as the special guest referee. During the match, the Mega Powers' manager, Miss Elizabeth, distracted the Mega Bucks and Ventura when she climbed up on the ring apron, removed her yellow skirt and walked around in a pair of red panties. This allowed Hogan and Savage time to recover and eventually win the match with Hogan pinning DiBiase. Savage forced Ventura's hand down for the final three-count, due to Ventura's character historically being at odds with Hogan, and his unwillingness to count the fall. Concurrent with the developing feud with the Mega Powers, Roussimoff was placed in a feud with Jim Duggan, which began after Duggan knocked out Roussimoff with a two-by-four board during a television taping. Despite Duggan's popularity with fans, Roussimoff regularly got the upper hand in the feud. Roussimoff's next major feud was against Jake "The Snake" Roberts. In this storyline, it was said Roussimoff was afraid of snakes, something Roberts exposed on Saturday Night's Main Event when he threw his snake, Damien, on the frightened Roussimoff; as a result, he suffered a kayfabe mild heart attack and vowed revenge. During the next few weeks, Roberts frequently walked to ringside carrying his snake in its bag during Roussimoff's matches, causing the latter to run from the ring in fright. Throughout their feud (which culminated at WrestleMania V), Roberts constantly used Damien to gain a psychological edge over the much larger and stronger Roussimoff. In 1989, Roussimoff and the returning Big John Studd briefly reprised their feud, beginning at WrestleMania V, when Studd was the referee in the match with Roberts, this time with Studd as a face and Roussimoff as the heel. During the late summer and Autumn of 1989, he engaged in a brief feud, consisting almost entirely of house shows (non-televised events), with then-Intercontinental Champion The Ultimate Warrior. The younger Warrior, WWF's rising star, regularly squashed the aging Roussimoff in an attempt to showcase his star quality and promote him as the "next big thing". The Colossal Connection (1989–1990) In late 1989, Roussimoff was joined with fellow Heenan Family member Haku to form a new tag team called the Colossal Connection, in part to fill a void left by the departure of Tully Blanchard and Arn Anderson (the Brain Busters, who were also members of Heenan's stable) from the WWF, and also to continue to keep the aging Roussimoff in the main event spotlight. His last singles match was a loss to The Ultimate Warrior in 20 seconds at a house show in Cape Girardeau, Missouri on 11 December 1989. The Colossal Connection immediately targeted WWF Tag Team Champions Demolition (who had recently won the belts from the Brain Busters). At a television taping on 13 December 1989, the Colossal Connection defeated Demolition to win the titles. Roussimoff and Haku successfully defended their title, mostly against Demolition, until WrestleMania VI on 1 April 1990, when Demolition took advantage of a mistimed move by the champions to regain the belts. After the match, a furious Heenan blamed Roussimoff for the title loss and after shouting at him, slapped him in the face; an angry Roussimoff responded with a slap of his own that sent Heenan staggering from the ring. Roussimoff also caught Haku's kick attempt, sending him reeling from the ring as well, prompting support for Roussimoff and turning him face for the first time since 1987. Due to his ongoing health issues, Roussimoff was not able to wrestle at the time of Wrestlemania VI and Haku actually wrestled the entire match against Demolition without tagging him in. On weekend television shows following WrestleMania VI, Bobby Heenan vowed to spit in Roussimoff's face when he came crawling back to the Heenan Family. However Roussimoff would wrestle one more time with Haku, teaming up to face Demolition on a house show in Honolulu, HI, on 10 April, Roussimoff was knocked out of the ring and The Colossal Connection lost via count-out. After the match, Roussimoff and Haku would fight each other, marking the end of the team. His final WWF match of 1990 came at a combined WWF/All Japan/New Japan show on 13 April in Tokyo, Japan when he teamed with Giant Baba to defeat Demolition in
During the match, the Mega Powers' manager, Miss Elizabeth, distracted the Mega Bucks and Ventura when she climbed up on the ring apron, removed her yellow skirt and walked around in a pair of red panties. This allowed Hogan and Savage time to recover and eventually win the match with Hogan pinning DiBiase. Savage forced Ventura's hand down for the final three-count, due to Ventura's character historically being at odds with Hogan, and his unwillingness to count the fall. Concurrent with the developing feud with the Mega Powers, Roussimoff was placed in a feud with Jim Duggan, which began after Duggan knocked out Roussimoff with a two-by-four board during a television taping. Despite Duggan's popularity with fans, Roussimoff regularly got the upper hand in the feud. Roussimoff's next major feud was against Jake "The Snake" Roberts. In this storyline, it was said Roussimoff was afraid of snakes, something Roberts exposed on Saturday Night's Main Event when he threw his snake, Damien, on the frightened Roussimoff; as a result, he suffered a kayfabe mild heart attack and vowed revenge. During the next few weeks, Roberts frequently walked to ringside carrying his snake in its bag during Roussimoff's matches, causing the latter to run from the ring in fright. Throughout their feud (which culminated at WrestleMania V), Roberts constantly used Damien to gain a psychological edge over the much larger and stronger Roussimoff. In 1989, Roussimoff and the returning Big John Studd briefly reprised their feud, beginning at WrestleMania V, when Studd was the referee in the match with Roberts, this time with Studd as a face and Roussimoff as the heel. During the late summer and Autumn of 1989, he engaged in a brief feud, consisting almost entirely of house shows (non-televised events), with then-Intercontinental Champion The Ultimate Warrior. The younger Warrior, WWF's rising star, regularly squashed the aging Roussimoff in an attempt to showcase his star quality and promote him as the "next big thing". The Colossal Connection (1989–1990) In late 1989, Roussimoff was joined with fellow Heenan Family member Haku to form a new tag team called the Colossal Connection, in part to fill a void left by the departure of Tully Blanchard and Arn Anderson (the Brain Busters, who were also members of Heenan's stable) from the WWF, and also to continue to keep the aging Roussimoff in the main event spotlight. His last singles match was a loss to The Ultimate Warrior in 20 seconds at a house show in Cape Girardeau, Missouri on 11 December 1989. The Colossal Connection immediately targeted WWF Tag Team Champions Demolition (who had recently won the belts from the Brain Busters). At a television taping on 13 December 1989, the Colossal Connection defeated Demolition to win the titles. Roussimoff and Haku successfully defended their title, mostly against Demolition, until WrestleMania VI on 1 April 1990, when Demolition took advantage of a mistimed move by the champions to regain the belts. After the match, a furious Heenan blamed Roussimoff for the title loss and after shouting at him, slapped him in the face; an angry Roussimoff responded with a slap of his own that sent Heenan staggering from the ring. Roussimoff also caught Haku's kick attempt, sending him reeling from the ring as well, prompting support for Roussimoff and turning him face for the first time since 1987. Due to his ongoing health issues, Roussimoff was not able to wrestle at the time of Wrestlemania VI and Haku actually wrestled the entire match against Demolition without tagging him in. On weekend television shows following WrestleMania VI, Bobby Heenan vowed to spit in Roussimoff's face when he came crawling back to the Heenan Family. However Roussimoff would wrestle one more time with Haku, teaming up to face Demolition on a house show in Honolulu, HI, on 10 April, Roussimoff was knocked out of the ring and The Colossal Connection lost via count-out. After the match, Roussimoff and Haku would fight each other, marking the end of the team. His final WWF match of 1990 came at a combined WWF/All Japan/New Japan show on 13 April in Tokyo, Japan when he teamed with Giant Baba to defeat Demolition in a non-title match. Roussimoff would win by gaining the pinfall on Smash. Sporadic appearances (1990–1991) Roussimoff returned in the winter of 1990, but it was not to the World Wrestling Federation. Instead, Roussimoff made an interview appearance for Herb Abrams' fledgling Universal Wrestling Federation on 11 October in Reseda, California. (the segment aired in 1991). He appeared in an interview segment with Captain Lou Albano and put over the UWF. The following month on 30 November at a house show in Miami, Florida, the World Wrestling Federation announced his return as a participant in the 1991 Royal Rumble (to be held in Miami, FL two months later). Roussimoff was also mentioned as a participant on television but would ultimately back out due to a leg injury. His on-air return finally took place at the WWF's Super-Stars & Stripes Forever USA Network special on 17 March 1991, when he came out to shake the hand of The Big Boss Man after an altercation with Mr. Perfect. The following week at WrestleMania VII, he came to the aid of the Boss Man in his match against Mr. Perfect. Roussimoff finally returned to action on 26 April 1991, in a six-man tag-team matchup when he teamed with The Rockers in a winning effort against Mr. Fuji and The Orient Express at a house show in Belfast, Northern Ireland. On 11 May he participated in a 17-man battle-royal at a house show in Detroit, which was won by Kerry Von Erich. This was Andre's final WWF match, although he was involved in several subsequent storylines. His last major WWF storyline following WrestleMania VII had the major heel managers (Bobby Heenan, Sensational Sherri, Slick, and Mr. Fuji) trying to recruit Roussimoff one-by-one, only to be turned down in various humiliating ways (e.g. Heenan had his hand crushed, Sherri received a spanking, Slick got locked in the trunk of the car he was offering to Roussimoff and Mr. Fuji got a pie in his face). Finally, Jimmy Hart appeared live on WWF Superstars to announce that he had successfully signed Roussimoff to tag-team with Earthquake. However, when asked to confirm this by Gene Okerlund, Roussimoff denied the claims. This led to Earthquake's attacking Roussimoff from behind (injuring his knee). Jimmy Hart would later get revenge for the humiliation by secretly signing Tugboat and forming the Natural Disasters. This led to Roussimoff's final major WWF appearance at SummerSlam '91, where he seconded the Bushwhackers in their match against the Disasters. Roussimoff was on crutches at ringside, and after the Disasters won the match, they set out to attack him, but the Legion of Doom made their way to ringside and got in between them and the Giant, who was preparing to defend himself with one of his crutches. The Disasters left the ringside area as they were outnumbered by the Legion of Doom, the Bushwhackers and Roussimoff, who struck both Earthquake and Typhoon (the former Tugboat) with the crutch as they left. His final WWF appearance came at a house show in Paris, France, on 9 October. He was in Davey Boy Smith's corner as the Bulldog faced Earthquake. Davey Boy hit Earthquake with Roussimoff's crutch, allowing Smith to win. All Japan Pro Wrestling; Universal Wrestling Association (1990–1992) After WrestleMania VI, Roussimoff spent the rest of his in-ring career in All Japan Pro Wrestling (AJPW) and Mexico's Universal Wrestling Association (UWA), where he performed under the name "André el Gigante." He toured with AJPW three times per year, from 1990 to 1992, usually teaming with Giant Baba in tag-team matches. Roussimoff made a couple of guest appearances for Herb Abrams' Universal Wrestling Federation, in 1991, feuding with Big John Studd, though he never had a match in the promotion. In his last U.S. television appearance, Andre appeared on World Championship Wrestling's (WCW) Clash of the Champions XX special that aired on TBS on 2 September 1992, where he gave a brief interview. During the same event, he appeared alongside Gordon Solie and was later seen talking with him during the gala celebrating the 20th anniversary of wrestling on TBS. He did his final tour of Mexico in 1992 in a selection of six-man tag matches alongside Bam Bam Bigelow and a variety of Lucha Libre stars facing among others Bad News Allen and future WWF Champions Mick Foley & Yokozuna. Roussimoff made his final tour with AJPW from October to December 1992; he wrestled what became the final match of his career on 4 December 1992, teaming with Giant Baba and Rusher Kimura to defeat Haruka Eigen, Masanobu Fuchi, and Motoshi Okuma. Acting career Roussimoff branched out into acting again in the 1970s and 1980s, after a 1967 French boxing film, making his USA acting debut playing a Sasquatch ("Bigfoot") in a two-part episode aired in 1976 on the television series The Six Million Dollar Man. He appeared in other television shows, including The Greatest American Hero, B. J. and the Bear, The Fall Guy and 1990's Zorro. Towards the end of his career, Roussimoff starred in several films. He had an uncredited appearance in the 1984 film Conan the Destroyer as Dagoth, the resurrected horned giant god who is killed by Conan (Arnold Schwarzenegger). That same year, he also made an appearance in Micki & Maude (billed as André Rousimmoff). He appeared most notably as Fezzik, his own favorite role, in the 1987 film The Princess Bride. The fact that Roussimoff found that no one stared at him on set during production was a novel and particularly gratifying experience. Both the film and his performance retain a devoted following. In a shoot interview with Lanny Poffo, he stated that the movie meant so much to André that he made his wrestling pals watch an advanced copy of the VHS with him over and over again while supplying dinner, drinks, and sweetly asking each time, "Did you like my performance?". In his last film, he had a cameo role as a circus giant in the comedy Trading Mom, which was released in 1994, a year after his death. Filmography Personal life Roussimoff was mentioned in the 1974 Guinness Book of World Records as the highest-paid wrestler in history at that time. He earned US$400,000 in one year during the early 1970s. Robin Christensen is Roussimoff's only child. Her mother Jean Christensen (who died in 2008) became acquainted with her father through the wrestling business around 1972 or 1973. Christensen had almost no connection with her father and saw him only five times in her life, despite occasional televised and printed news pieces criticizing his absentee fatherhood. While she gave some interviews about the subject in her childhood, Christensen is reportedly reluctant to discuss her father publicly today. Roussimoff has been unofficially crowned "the greatest drunk on Earth" for once consuming 119 beers (in total, over ) in six hours. On an episode of WWE's Legends of Wrestling, Mike Graham said Roussimoff once drank 156 beers (over ) in one sitting, which was confirmed by Dusty Rhodes. The Fabulous Moolah wrote in her autobiography that Roussimoff drank 127 beers in a Reading, Pennsylvania, hotel bar and later passed out in the lobby. The staff could not move him and had to leave him there until he awoke. In a shoot interview, Ken Patera recalled an occasion where Roussimoff was challenged by Dick Murdoch to a beer drinking contest. After nine or so hours, Roussimoff had drunk 116 beers. A tale recounted by Cary Elwes in his book about the making of The Princess Bride has Roussimoff falling on top of somebody while drunk, after which the NYPD sent an undercover officer to follow Roussimoff around whenever he went out drinking in their city to make sure he did not fall on anyone again. Another story also says prior to his famous WrestleMania III match, Roussimoff drank 14 bottles of wine. An urban legend exists surrounding Roussimoff's 1987 surgery in which his size made it impossible for the anesthesiologist to estimate a dosage via standard methods; consequently, his alcohol tolerance was used as a guideline instead. In 1989, Roussimoff was arrested and charged with assault after he attacked a KCRG-TV cameraman shooting his match with The Ultimate Warrior at Cedar Rapids, Iowa's Five Seasons Center. While acquitted on the assault charge, he was fined $100 for criminal mischief and ordered to pay KCRG $233 in damages to its equipment. William Goldman, the author of the novel and the screenplay of The Princess Bride, wrote in his nonfiction work Which Lie Did I Tell? that Roussimoff was one of the gentlest and most generous people he ever knew. Whenever Roussimoff ate with someone in a restaurant, he would pay, but he would also insist on paying when he was a guest. On one occasion, after Roussimoff attended a dinner with Arnold Schwarzenegger and Wilt Chamberlain, Schwarzenegger had quietly moved to the cashier to pay before Roussimoff could, but then found himself being physically lifted, carried from his table and deposited on top of his car by Roussimoff and Chamberlain. Roussimoff owned a ranch in Ellerbe, North Carolina, looked after by two of his close friends. When he was not on the road, he loved spending time at the ranch, where he tended to his cattle, played with his dogs, and entertained friends. While there were custom-made chairs and a few other modifications in his home to accommodate his size, tales that everything in his home was custom-made for a large man are said to be exaggerated. Since Roussimoff could not easily go shopping due to his fame and size, he was known to spend hours watching QVC and made frequent purchases from the shopping channel. Roussimoff had a passion for card games, mainly cribbage. Death Roussimoff died at age 46 of congestive heart failure in his sleep at a Paris hotel in the morning of Thursday January 27, 1993. He went to play cards with some friends on the night of Wednesday January 26. He came back to his hotel room around 1 A.M. CET on January 27. In the afternoon, his body was found dead in his room by hotel management and his chauffeur. He was in Paris to attend his father's funeral. While there, he decided to stay longer to be with his mother on her birthday. He spent the day before his death visiting and playing cards with some of his oldest friends in Molien. In his will, he specified that his remains should be cremated and "disposed of". Upon his death in Paris, his family in France held a funeral for him, intending to bury him near his father. When they learned of his wish to be cremated, his body was flown to the United States, where he was cremated according to his wishes. His ashes were scattered at his ranch () in Ellerbe, North Carolina. In addition, in accordance with his will, he left his estate to his sole beneficiary: his daughter Robin. Other media Roussimoff made numerous appearances as himself in video games, starting with WWF WrestleMania. He also appears posthumously in Virtual Pro Wrestling 64, WWF No Mercy, Legends of Wrestling, Legends of Wrestling II, Showdown: Legends of Wrestling, WWE SmackDown! vs. Raw, WWE SmackDown! vs. Raw 2006, WWE Legends of WrestleMania, WWE All Stars, WWE 2K14, WWE 2K15, WWE 2K16, WWE 2K17, WWE 2K18, WWE 2K19, WWE 2K20 and many others. In January 2005, WWE released André The Giant, a DVD focusing on the life and career of Roussimoff. The DVD is a reissue of the out-of-print André The Giant VHS made by Coliseum Video in 1985, with commentary by Michael Cole and Tazz replacing Gorilla Monsoon and Jesse Ventura's commentary on his WrestleMania match with Big John Studd. The video is hosted by Lord Alfred Hayes. Later matches, including his battles against Hulk Hogan while a heel, are not included on this VHS. Legacy In 1993, when the then-World Wrestling Federation created the WWF Hall of Fame, André the Giant was the inaugural and sole inductee in the class of 1993. Roussimoff was the inspiration for the 1998 film My Giant, written by his friend Billy Crystal, whom he had met during the filming of The Princess Bride. Paul Wight, better known as Big Show, is more similar in body structure to Roussimoff than any other wrestler since Roussimoff's death. He was originally billed as the son of André during his stint in WCW (when he was known as simply "the Giant") despite there being no biological relationship. While also suffering from acromegaly, unlike Roussimoff, Wight did get surgery on his pituitary gland in the early 1990s, which successfully halted the progress of his condition. The former wrestler Giant González suffered from problems similar to those that Roussimoff had near the end of his life and died in 2010 due to diabetes complications. In 1999, he was the subject of an episode of A&E Biography, titled André the Giant: Larger Than Life. The documentary covered his childhood and early life in France, as well as the beginning of his wrestling career, his struggles with acromegaly, his personal life, and his final years. His brother, Jacques Roussimoff, was interviewed for the documentary, as were fellow wrestling personalities Gorilla Monsoon, Tim White, Arnold Skaaland, Vince McMahon, Freddie Blassie, Killer Kowalski, Rene Goulet, and Frenchy Bernard, as well as wrestling historian Sheldon Goldberg. Several of his longtime hometown friends were interviewed as well. The documentary described Roussimoff as pro wrestling's "first and only international attraction" and that "on his broad shoulders, wrestling rose from its status as a questionable sport to become big business, and some might argue, performance art." The Obey brand icon originated from wheatpaste posters that artist Shepard Fairey created based upon a photo of André the Giant that he had found in a newspaper. Capcom's video game character Hugo, from the Street Fighter series (known as Andore in the Final Fight series) is based on him. The 2014 graphic novel André The Giant: The Life and The Legend (First Second Books), written and drawn by Box Brown, tells the story of his life and career. Research for the book included interviews with his fellow wrestlers and actors such as Christopher Guest, Mandy Patinkin and others. In 2017, Showtime released Waiting for Andre, a semi-fictional movie about the friendship between playwright Samuel Beckett and Roussimoff during the time Beckett lived in Ussy-sur-Marne, outside of Paris. A novel of the movie was published the following year by Steffan Piper ( / 198075621X from Amazon print on demand). On 10 March 2014, episode of Raw, WrestleMania XXX host Hulk Hogan announced that in honor of Roussimoff's legacy, WWE was establishing the André the Giant Memorial Battle Royal, that would take place at the event, with the winner receiving the André the Giant Memorial Trophy (made in the likeness of Roussimoff). On 6 April 2014, at WrestleMania XXX, Cesaro won the match after eliminating Big Show using a body slam similar to the body slam Hulk Hogan used on Roussimoff at WrestleMania III. Biopics On 9 May 2016, it was announced that a movie based on the 2015 authorized graphic novel biography André the Giant: Closer to Heaven was in the plans made by Lion Forge Comics along with producers Scott Steindorff, Dylan Russell and consulted by Roussimoff's daughter, Robin Christensen-Roussimoff. On 10 April 2018, HBO aired a documentary film called André the Giant. Championships and accomplishments 50th State Big Time Wrestling Texas Battle Royal (1977) All Japan Pro Wrestling World's Strongest Tag Determination League East Sports Special Award (1991) – with Giant Baba Championship Wrestling from Florida NWA Florida Tag Team Championship (1 time) – with Dusty Rhodes Fédération Française de Catch Professionnel World Heavyweight Championship (France) (1 time) Houston Wrestling Two-Ring Battle Royal (1974, 1975) International Professional Wrestling Hall of Fame Class of 2021 International Wrestling Enterprise IWA World Tag Team Championship (1 time) – with Michael Nador NWA Hollywood Wrestling Los Angeles Battle Royal (1975, 1980) NWA San Francisco Cow Palace Battle Royal (1977) New Japan Pro-Wrestling International Wrestling Grand Prix (1985) MSG League (1982) MSG Tag League (1981) – with Rene Goulet Sagawa Express Cup (1986) Greatest 18 Club inductee NWA Tri-State NWA United States Tag Team Championship (Tri-State version) (1 time) – with Dusty Rhodes Professional Wrestling Hall of Fame and Museum Class of 2002 Pro Wrestling Illustrated Most Popular Wrestler of the Year (1977, 1982) Match of the Year (1981) vs. Killer Khan on 2 May Match of the Year (1988) vs. Hulk Hogan at The Main Event Most Hated Wrestler of the Year (1988) Editor's Award (1993) Ranked No. 3 of the
water ice with a porosity of 10–15%, and Adrastea may be similar. No surface details of Adrastea are known, due to the low resolution of available images. Orbit Adrastea is the smallest and second-closest member of the inner Jovian satellite family. It orbits Jupiter at a radius of about 129,000 km (1.806 Jupiter radii) at the exterior edge of the planet's Main Ring. Adrastea is one of only three moons in the Solar System known to orbit its planet in less than the length of that planet's day—the other two being Jupiter's innermost moon Metis, and Mars' moon Phobos. The orbit has very small eccentricity and inclination—around 0.0015 and 0.03°, respectively. Inclination is relative to the equator of Jupiter. Due to tidal locking, Adrastea rotates synchronously with its orbital period, keeping one face always looking toward the planet. Its long axis is aligned towards Jupiter, this being the lowest energy configuration. The orbit of Adrastea lies inside Jupiter's synchronous orbit radius (as does Metis's), and as a result, tidal forces are slowly causing its orbit to decay so that it will one day impact Jupiter. If its density is similar to Amalthea's then its orbit would actually lie within the fluid Roche limit. However, since it is not breaking up, it must still lie outside its rigid Roche limit. Adrastea is the second-fastest-moving of Jupiter's moons, with an orbital speed of 31.378 km/s. Relationship with Jupiter's rings Adrastea is the largest contributor to material in Jupiter's rings. This appears to consist primarily of material that is ejected from the surfaces of Jupiter's four small inner satellites by meteorite impacts. It is easy for the impact ejecta to be lost from these satellites into space. This is due to the satellites' low density and their surfaces lying close to the edge of their Roche spheres. It seems that Adrastea is the most copious source of this ring material, as evidenced by the
No surface details of Adrastea are known, due to the low resolution of available images. Orbit Adrastea is the smallest and second-closest member of the inner Jovian satellite family. It orbits Jupiter at a radius of about 129,000 km (1.806 Jupiter radii) at the exterior edge of the planet's Main Ring. Adrastea is one of only three moons in the Solar System known to orbit its planet in less than the length of that planet's day—the other two being Jupiter's innermost moon Metis, and Mars' moon Phobos. The orbit has very small eccentricity and inclination—around 0.0015 and 0.03°, respectively. Inclination is relative to the equator of Jupiter. Due to tidal locking, Adrastea rotates synchronously with its orbital period, keeping one face always looking toward the planet. Its long axis is aligned towards Jupiter, this being the lowest energy configuration. The orbit of Adrastea lies inside Jupiter's synchronous orbit radius (as does Metis's), and as a result, tidal forces are slowly causing its orbit to decay so that it will one day impact Jupiter. If its density is similar to Amalthea's then its orbit would actually lie within the fluid Roche limit. However, since it is not breaking up, it must still lie outside its rigid Roche limit. Adrastea is the second-fastest-moving of Jupiter's moons, with an orbital speed of 31.378 km/s. Relationship with Jupiter's rings Adrastea is the largest contributor to material in Jupiter's rings. This appears to consist primarily
Jersey Cumaean Sibyl or Amalthea, a priestess presiding over the Apollonian oracle at Cumae, a Greek colony near Naples, Italy Amalthea, a ship bombed by Anton Nilson in 1908 Lady
Amalthea (moon), a moon of Jupiter MV Amalthea, a cargo ship 113 Amalthea, a main-belt asteroid Amalthea Cellars, a winery in New Jersey Cumaean Sibyl or Amalthea, a
Greek goddess of fate. Ananke may also refer to: Ananke (moon), a moon of Jupiter Ananke
a group of satellites of Jupiter that follow similar orbits to Ananke "Ananke", a short story by Stanisław
6.85% (for some of Netcraft's other stats Nginx is ahead of Apache), while according to W3Techs, Apache is ranked first at 35.0% and Nginx second at 33.0% and Cloudflare Server third at 17.3%. Name According to The Apache Software Foundation, its name was chosen "from respect for the various Native American nations collectively referred to as Apache, well-known for their superior skills in warfare strategy and their inexhaustible endurance", in a context in which it seemed the thereunto open internet, based on free exchange of open source code, appeared to be soon likely subjected to a kind of conquer by proprietary software vendor Microsoft, Behlendorf seeing his effort somewhat romantically to parallel that of Geronimo, Chief of the last of the free Apache peoples. But it conceded that the name "also makes a cute pun on 'a patchy web server'—a server made from a series of patches". There are other sources for the "patchy" software pun theory, including the project's official documentation in 1995, which stated: "Apache is a cute name which stuck. It was based on some existing code and a series of software patches, a pun on 'A PAtCHy' server." But in an April 2000 interview, Brian Behlendorf, one of the Apache's creators, asserted that the origins of Apache were not a pun, stating: When Apache is running under Unix, its process name is , which is short for "HTTP daemon". Feature overview Apache supports a variety of features, many implemented as compiled modules which extend the core functionality. These can range from authentication schemes to supporting server-side programming languages such as Perl, Python, Tcl and PHP. Popular authentication modules include mod_access, mod_auth, mod_digest, and mod_auth_digest, the successor to mod_digest. A sample of other features include Secure Sockets Layer and Transport Layer Security support (mod_ssl), a proxy module (mod_proxy), a URL rewriting module (mod_rewrite), custom log files (mod_log_config), and filtering support (mod_include and mod_ext_filter). Popular compression methods on Apache include the external extension module, mod_gzip, implemented to help with reduction of the size (weight) of web pages served over HTTP. ModSecurity is an open source intrusion detection and prevention engine for Web applications. Apache logs can be analyzed through a Web browser using free scripts, such as AWStats/W3Perl or Visitors. Virtual hosting allows one Apache installation to serve many different websites. For example, one computer with one Apache installation could simultaneously serve example.com, example.org, test47.test-server.example.edu, etc. Apache features configurable error messages, DBMS-based authentication databases, content negotiation and supports several graphical user interfaces (GUIs). It supports password authentication and digital certificate authentication. Because the source code is freely available, anyone can adapt the server for specific needs, and there is a large public library of Apache add-ons. A more detailed list of features is provided below: Loadable Dynamic Modules Multiple Request Processing modes (MPMs) including Event-based/Async, Threaded and Prefork. Highly scalable (easily handles more than 10,000 simultaneous connections) Handling of static files, index files, auto-indexing and content negotiation .htaccess per-directory configuration support Reverse proxy with caching Load balancing with in-band health checks Multiple load balancing mechanisms Fault tolerance and Failover with automatic recovery WebSocket, FastCGI, SCGI, AJP and uWSGI support with caching Dynamic configuration TLS/SSL with SNI and OCSP stapling support, via OpenSSL or wolfSSL. Name- and IP address-based virtual servers IPv6-compatible HTTP/2 support Fine-grained authentication and authorization access control gzip compression and decompression URL rewriting Headers and content rewriting Custom logging with rotation Concurrent connection limiting Request processing rate limiting Bandwidth throttling Server Side Includes IP address-based geolocation User and Session tracking WebDAV Embedded Perl, PHP and Lua scripting CGI support public_html per-user web-pages Generic expression parser Real-time status views FTP support (by a separate module) Performance Instead of implementing a single architecture, Apache provides a variety of MultiProcessing Modules (MPMs), which allow it to run in either a process-based mode, a hybrid (process and thread) mode, or an event-hybrid mode, in order to better match the demands of each particular infrastructure. Choice of MPM and configuration is therefore important. Where compromises in performance must be made, Apache is designed to reduce latency and increase throughput relative to simply handling more requests, thus ensuring consistent and reliable processing of requests within reasonable time-frames. For delivering static pages, Apache 2.2 series was considered significantly slower than nginx and varnish. To address this issue, the Apache developers created the
and mod_ext_filter). Popular compression methods on Apache include the external extension module, mod_gzip, implemented to help with reduction of the size (weight) of web pages served over HTTP. ModSecurity is an open source intrusion detection and prevention engine for Web applications. Apache logs can be analyzed through a Web browser using free scripts, such as AWStats/W3Perl or Visitors. Virtual hosting allows one Apache installation to serve many different websites. For example, one computer with one Apache installation could simultaneously serve example.com, example.org, test47.test-server.example.edu, etc. Apache features configurable error messages, DBMS-based authentication databases, content negotiation and supports several graphical user interfaces (GUIs). It supports password authentication and digital certificate authentication. Because the source code is freely available, anyone can adapt the server for specific needs, and there is a large public library of Apache add-ons. A more detailed list of features is provided below: Loadable Dynamic Modules Multiple Request Processing modes (MPMs) including Event-based/Async, Threaded and Prefork. Highly scalable (easily handles more than 10,000 simultaneous connections) Handling of static files, index files, auto-indexing and content negotiation .htaccess per-directory configuration support Reverse proxy with caching Load balancing with in-band health checks Multiple load balancing mechanisms Fault tolerance and Failover with automatic recovery WebSocket, FastCGI, SCGI, AJP and uWSGI support with caching Dynamic configuration TLS/SSL with SNI and OCSP stapling support, via OpenSSL or wolfSSL. Name- and IP address-based virtual servers IPv6-compatible HTTP/2 support Fine-grained authentication and authorization access control gzip compression and decompression URL rewriting Headers and content rewriting Custom logging with rotation Concurrent connection limiting Request processing rate limiting Bandwidth throttling Server Side Includes IP address-based geolocation User and Session tracking WebDAV Embedded Perl, PHP and Lua scripting CGI support public_html per-user web-pages Generic expression parser Real-time status views FTP support (by a separate module) Performance Instead of implementing a single architecture, Apache provides a variety of MultiProcessing Modules (MPMs), which allow it to run in either a process-based mode, a hybrid (process and thread) mode, or an event-hybrid mode, in order to better match the demands of each particular infrastructure. Choice of MPM and configuration is therefore important. Where compromises in performance must be made, Apache is designed to reduce latency and increase throughput relative to simply handling more requests, thus ensuring consistent and reliable processing of requests within reasonable time-frames. For delivering static pages, Apache 2.2 series was considered significantly slower than nginx and varnish. To address this issue, the Apache developers created the Event MPM, which mixes the use of several processes and several threads per process in an asynchronous event-based loop. This architecture as implemented in the Apache 2.4 series performs at least as well as event-based web servers, according to Jim Jagielski and other independent sources. However, some independent but significantly outdated benchmarks show that it is still half as fast as nginx, e.g. Licensing The Apache HTTP Server codebase was relicensed to the Apache 2.0 License (from the previous 1.1 license) in January 2004, and Apache HTTP Server 1.3.31 and 2.0.49 were the first releases using the new license. The OpenBSD project did not like the change and continued the use of pre-2.0 Apache versions, effectively forking Apache 1.3.x for its purposes. They initially replaced it with Nginx, and soon after made their own replacement, OpenBSD Httpd, based on the Relayd project. Versions Version 1.1: The Apache License 1.1 was approved by the ASF in 2000: The primary change from the 1.0 license is in the 'advertising clause' (section 3 of the 1.0 license); derived products are no longer required to include attribution in their advertising materials, only in their documentation. Version 2.0: The ASF adopted the Apache License 2.0 in January 2004. The stated goals of the license included making the license easier for non-ASF projects to use, improving compatibility with GPL-based software, allowing the license
to: Alpheus River, a river on the Peloponnese Alph River, a river in Antarctica Alph Lake, a lake in Antarctica Alph, a fictional river in
fictional river in the poem Kubla Khan by Samuel Taylor Coleridge Alph, a character from Luminous
was originally lit up at night as a beacon for mariners. It is known locally as the 'Round O', and from this tradition inhabitants of Arbroath are colloquially known as 'Reid Lichties' (Scots reid = red). Little remains of the claustral buildings of the Abbey except for the impressive gatehouse, which stretches between the south-west corner of the church and a defensive tower on the High Street, and the still complete Abbot's House, a building of the 13th, 15th and 16th centuries, which is the best preserved of its type in Scotland. In the summer of 2001, a new visitors' centre was opened to the public beside the Abbey's west front. This red sandstone-clad building, with its distinctive 'wave-shaped' organic roof, planted with sedum, houses displays on the history of the Abbey and some of the best surviving stonework and other relics. The upper storey features a scale model of the Abbey complex, a computer-generated 'fly-through' reconstruction of the church as it was when complete, and a viewing gallery with excellent views of the ruins. The centre won the 2002 Angus Design Award. An archaeological investigation of the site of the visitors' centre before building started revealed the foundations of the medieval precinct wall, with a gateway, and stonework discarded during manufacture, showing that the area was the site of the masons' yard while the Abbey was being built. See also Abbot of Arbroath, for a list of abbots and commendators 1950 removal of the Stone of Scone References External links Undiscovered Scotland's detailed history https://www.webcitation.org/6Mh6OWXuH?url=http://www.angus.gov.uk/history/features/buildings/arbabbey.htm http://www.arbroathabbeypageant.com 2002 Angus Design Award 1178 establishments 12th century in Scotland Buildings and structures in Angus History of Angus Tironensian monasteries Category A listed buildings in Angus
Arbroath Abbey campaign was launched. The campaign seeks to gain World Heritage Status for the iconic Angus landmark that was the birthplace of one of Scotland's most significant document, The Declaration of Arbroath. Campaigners believe that the Abbey's historical pronouncement makes it a prime candidate to achieve World Heritage Status. MSP Alex Johnstone wrote "Clearly, the Declaration of Arbroath is a literary work of outstanding universal significance by any stretch of the imagination" In 2008, the Campaign Group Chairman, Councillor Jim Millar launched a public petition to reinforce the bid explaining "We're simply asking people to, local people especially, to sign up to the campaign to have the Declaration of Arbroath and Arbroath Abbey recognised by the United Nations. Essentially we need local people to sign up to this campaign simply because the United Nations demand it." Architectural description The Abbey was built over some sixty years using local red sandstone, but gives the impression of a single coherent, mainly 'Early English' architectural design, though the round-arched processional doorway in the western front looks back to late Norman or transitional work. The triforium (open arcade) above the door is unique in Scottish medieval architecture. It is flanked by twin towers decorated with blind arcading. The cruciform church measured long by wide. What remains of it today are the sacristy, added by Abbot Paniter in the 15th century, the southern transept, which features Scotland's largest lancet windows, part of the choir and presbytery, the southern half of the nave, parts of the western towers
reports with time spans that vary widely, but it also encompasses future-oriented reports such as budgets. Management accounting reports often include financial and non financial information, and may, for example, focus on specific products and departments. Auditing Auditing is the verification of assertions made by others regarding a payoff, and in the context of accounting it is the "unbiased examination and evaluation of the financial statements of an organization". Audit is a professional service that is systematic and conventional. An audit of financial statements aims to express or disclaim an independent opinion on the financial statements. The auditor expresses an independent opinion on the fairness with which the financial statements presents the financial position, results of operations, and cash flows of an entity, in accordance with the generally accepted accounting principles (GAAP) and "in all material respects". An auditor is also required to identify circumstances in which the generally accepted accounting principles (GAAP) have not been consistently observed. Information systems An accounting information system is a part of an organization's information system used for processing accounting data. Many corporations use artificial intelligence-based information systems. The banking and finance industry uses AI in fraud detection. The retail industry uses AI for customer services. AI is also used in the cybersecurity industry. It involves computer hardware and software systems using statistics and modeling. Many accounting practices have been simplified with the help of accounting computer-based software. An enterprise resource planning (ERP) system is commonly used for a large organisation and it provides a comprehensive, centralized, integrated source of information that companies can use to manage all major business processes, from purchasing to manufacturing to human resources. These systems can be cloud based and available on demand via application or browser, or available as software installed on specific computers or local servers, often referred to as on-premise. Tax accounting Tax accounting in the United States concentrates on the preparation, analysis and presentation of tax payments and tax returns. The U.S. tax system requires the use of specialised accounting principles for tax purposes which can differ from the generally accepted accounting principles (GAAP) for financial reporting. U.S. tax law covers four basic forms of business ownership: sole proprietorship, partnership, corporation, and limited liability company. Corporate and personal income are taxed at different rates, both varying according to income levels and including varying marginal rates (taxed on each additional dollar of income) and average rates (set as a percentage of overall income). Forensic accounting Forensic accounting is a specialty practice area of accounting that describes engagements that result from actual or anticipated disputes or litigation. "Forensic" means "suitable for use in a court of law", and it is to that standard and potential outcome that forensic accountants generally have to work. Political campaign accounting Political campaign accounting deals with the development and implementation of financial systems and the accounting of financial transactions in compliance with laws governing political campaign operations. This branch of accounting was first formally introduced in the March 1976 issue of The Journal of Accountancy. Organizations Professional bodies Professional accounting bodies include the American Institute of Certified Public Accountants (AICPA) and the other 179 members of the International Federation of Accountants (IFAC), including Institute of Chartered Accountants of Scotland (ICAS), Institute of Chartered Accountants of Pakistan (ICAP), CPA Australia, Institute of Chartered Accountants of India, Association of Chartered Certified Accountants (ACCA) and Institute of Chartered Accountants in England and Wales (ICAEW). Some countries have a single professional accounting body (e.g. Brazil) and, in some other countries, professional bodies for subfields of the accounting professions also exist, for example the Chartered Institute of Management Accountants (CIMA) in the UK and Institute of management accountants in the United States. Many of these professional bodies offer education and training including qualification and administration for various accounting designations, such as certified public accountant (AICPA) and chartered accountant. Firms Depending on its size, a company may be legally required to have their financial statements audited by a qualified auditor, and audits are usually carried out by accounting firms. Accounting firms grew in the United States and Europe in the late nineteenth and early twentieth century, and through several mergers there were large international accounting firms by the mid-twentieth century. Further large mergers in the late twentieth century led to the dominance of the auditing market by the "Big Five" accounting firms: Arthur Andersen, Deloitte, Ernst & Young, KPMG and PricewaterhouseCoopers. The demise of Arthur Andersen following the Enron scandal reduced the Big Five to the Big Four. Standard-setters Generally accepted accounting principles (GAAP) are accounting standards issued by national regulatory bodies. In addition, the International Accounting Standards Board (IASB) issues the International Financial Reporting Standards (IFRS) implemented by 147 countries. Standards for international audit and assurance, ethics, education, and public sector accounting are all set by independent standard settings boards supported by IFAC. The International Auditing and Assurance Standards Board sets international standards for auditing, assurance, and quality control; the International Ethics Standards Board for Accountants (IESBA) sets the internationally appropriate principles-based Code of Ethics for Professional Accountants; the International Accounting Education Standards Board (IAESB) sets professional accounting education standards; and International Public Sector Accounting Standards Board (IPSASB) sets accrual-based international public sector accounting standards Organizations in individual countries may issue accounting standards unique to the countries. For example, in the United States the Financial Accounting Standards Board (FASB) issues the Statements of Financial Accounting Standards, which form the basis of US GAAP, and in the United Kingdom the Financial Reporting Council (FRC) sets accounting standards. However, as of 2012 "all major economies" have plans to converge towards or adopt the IFRS. Education, training and qualifications Degrees At least a bachelor's degree in accounting or a related field is required for most accountant and auditor job positions, and some employers prefer applicants with a master's degree. A degree in accounting may also be required for, or may be used to fulfill the requirements for, membership to professional accounting bodies. For example, the education during an accounting degree can be used to fulfill the American Institute of CPA's (AICPA) 150 semester hour requirement, and associate membership with the Certified Public Accountants Association of the UK is available after gaining a degree in finance or accounting. A doctorate is required in order to pursue a career in accounting academia, for example, to work as a university professor in accounting. The Doctor of Philosophy (PhD) and the Doctor of Business Administration (DBA) are the most popular degrees. The PhD is the most common degree for those wishing to pursue a career in academia, while DBA programs generally focus on equipping business executives for business or public careers requiring research skills and qualifications. Professional qualifications Professional accounting qualifications include the Chartered Accountant designations and other qualifications including certificates and diplomas. In Scotland, chartered accountants of ICAS undergo Continuous Professional Development and abide by the ICAS code of ethics. In England and Wales, chartered accountants of the ICAEW undergo annual training, and are bound by the ICAEW's code of ethics and subject to its disciplinary procedures. In the United States, the requirements for joining the AICPA as a Certified Public Accountant are set by the Board of Accountancy of each state, and members agree to abide by the AICPA's Code of Professional Conduct and Bylaws. The ACCA is the largest global accountancy body with over 320,000 members, and the organisation provides an ‘IFRS stream’ and a ‘UK stream’. Students must pass a total of 14 exams, which are arranged across three levels. Research Accounting research is research in the effects of economic events on the process of accounting, the effects of reported information on economic events, and the roles of accounting in organizations and society. It encompasses a broad range of research areas including financial accounting, management accounting, auditing and taxation. Accounting research is carried out both by academic researchers and practicing accountants. Methodologies in academic accounting research include archival research, which examines "objective data
of overall income). Forensic accounting Forensic accounting is a specialty practice area of accounting that describes engagements that result from actual or anticipated disputes or litigation. "Forensic" means "suitable for use in a court of law", and it is to that standard and potential outcome that forensic accountants generally have to work. Political campaign accounting Political campaign accounting deals with the development and implementation of financial systems and the accounting of financial transactions in compliance with laws governing political campaign operations. This branch of accounting was first formally introduced in the March 1976 issue of The Journal of Accountancy. Organizations Professional bodies Professional accounting bodies include the American Institute of Certified Public Accountants (AICPA) and the other 179 members of the International Federation of Accountants (IFAC), including Institute of Chartered Accountants of Scotland (ICAS), Institute of Chartered Accountants of Pakistan (ICAP), CPA Australia, Institute of Chartered Accountants of India, Association of Chartered Certified Accountants (ACCA) and Institute of Chartered Accountants in England and Wales (ICAEW). Some countries have a single professional accounting body (e.g. Brazil) and, in some other countries, professional bodies for subfields of the accounting professions also exist, for example the Chartered Institute of Management Accountants (CIMA) in the UK and Institute of management accountants in the United States. Many of these professional bodies offer education and training including qualification and administration for various accounting designations, such as certified public accountant (AICPA) and chartered accountant. Firms Depending on its size, a company may be legally required to have their financial statements audited by a qualified auditor, and audits are usually carried out by accounting firms. Accounting firms grew in the United States and Europe in the late nineteenth and early twentieth century, and through several mergers there were large international accounting firms by the mid-twentieth century. Further large mergers in the late twentieth century led to the dominance of the auditing market by the "Big Five" accounting firms: Arthur Andersen, Deloitte, Ernst & Young, KPMG and PricewaterhouseCoopers. The demise of Arthur Andersen following the Enron scandal reduced the Big Five to the Big Four. Standard-setters Generally accepted accounting principles (GAAP) are accounting standards issued by national regulatory bodies. In addition, the International Accounting Standards Board (IASB) issues the International Financial Reporting Standards (IFRS) implemented by 147 countries. Standards for international audit and assurance, ethics, education, and public sector accounting are all set by independent standard settings boards supported by IFAC. The International Auditing and Assurance Standards Board sets international standards for auditing, assurance, and quality control; the International Ethics Standards Board for Accountants (IESBA) sets the internationally appropriate principles-based Code of Ethics for Professional Accountants; the International Accounting Education Standards Board (IAESB) sets professional accounting education standards; and International Public Sector Accounting Standards Board (IPSASB) sets accrual-based international public sector accounting standards Organizations in individual countries may issue accounting standards unique to the countries. For example, in the United States the Financial Accounting Standards Board (FASB) issues the Statements of Financial Accounting Standards, which form the basis of US GAAP, and in the United Kingdom the Financial Reporting Council (FRC) sets accounting standards. However, as of 2012 "all major economies" have plans to converge towards or adopt the IFRS. Education, training and qualifications Degrees At least a bachelor's degree in accounting or a related field is required for most accountant and auditor job positions, and some employers prefer applicants with a master's degree. A degree in accounting may also be required for, or may be used to fulfill the requirements for, membership to professional accounting bodies. For example, the education during an accounting degree can be used to fulfill the American Institute of CPA's (AICPA) 150 semester hour requirement, and associate membership with the Certified Public Accountants Association of the UK is available after gaining a degree in finance or accounting. A doctorate is required in order to pursue a career in accounting academia, for example, to work as a university professor in accounting. The Doctor of Philosophy (PhD) and the Doctor of Business Administration (DBA) are the most popular degrees. The PhD is the most common degree for those wishing to pursue a career in academia, while DBA programs generally focus on equipping business executives for business or public careers requiring research skills and qualifications. Professional qualifications Professional accounting qualifications include the Chartered Accountant designations and other qualifications including certificates and diplomas. In Scotland, chartered accountants of ICAS undergo Continuous Professional Development and abide by the ICAS code of ethics. In England and Wales, chartered accountants of the ICAEW undergo annual training, and are bound by the ICAEW's code of ethics and subject to its disciplinary procedures. In the United States, the requirements for joining the AICPA as a Certified Public Accountant are set by the Board of Accountancy of each state, and members agree to abide by the AICPA's Code of Professional Conduct and Bylaws. The ACCA is the largest global accountancy body with over 320,000 members, and the organisation provides an ‘IFRS stream’ and a ‘UK stream’. Students must pass a total of 14 exams, which are arranged across three levels. Research Accounting research is research in the effects of economic events on the process of accounting, the effects of reported information on economic events, and the roles of accounting in organizations and society. It encompasses a broad range of research areas including financial accounting, management accounting, auditing and taxation. Accounting research is carried out both by academic researchers and practicing accountants. Methodologies in academic accounting research include archival research, which examines "objective data collected from repositories"; experimental research, which examines data "the researcher gathered by administering treatments to subjects"; analytical research, which is "based on the act of formally modeling theories or substantiating ideas in mathematical terms"; interpretive research, which emphasizes the role of language, interpretation and understanding in accounting practice, "highlighting the symbolic structures and taken-for-granted themes which pattern the world in distinct ways"; critical research, which emphasizes the role of power and conflict in accounting practice; case studies; computer simulation; and field research. Empirical studies document that leading accounting journals publish in total fewer research articles than comparable journals in economics and other business disciplines, and consequently, accounting scholars are relatively less successful in academic publishing than their business school peers. Due to different publication rates between accounting and other business disciplines, a recent study based on academic author rankings concludes that the competitive value of a single publication in a top-ranked journal is highest in accounting and lowest in marketing. Scandals The year 2001 witnessed a series of financial information frauds involving Enron, auditing firm Arthur Andersen, the telecommunications company WorldCom, Qwest and Sunbeam,
immediately. They enlarge the nest, forage for food, and care for the other eggs. Species that have multiple queens may have a queen leaving the nest along with some workers to found a colony at a new site, a process akin to swarming in honeybees. Behaviour and ecology Communication Ants communicate with each other using pheromones, sounds, and touch. The use of pheromones as chemical signals is more developed in ants, such as the red harvester ant, than in other hymenopteran groups. Like other insects, ants perceive smells with their long, thin, and mobile antennae. The paired antennae provide information about the direction and intensity of scents. Since most ants live on the ground, they use the soil surface to leave pheromone trails that may be followed by other ants. In species that forage in groups, a forager that finds food marks a trail on the way back to the colony; this trail is followed by other ants, these ants then reinforce the trail when they head back with food to the colony. When the food source is exhausted, no new trails are marked by returning ants and the scent slowly dissipates. This behaviour helps ants deal with changes in their environment. For instance, when an established path to a food source is blocked by an obstacle, the foragers leave the path to explore new routes. If an ant is successful, it leaves a new trail marking the shortest route on its return. Successful trails are followed by more ants, reinforcing better routes and gradually identifying the best path. Ants use pheromones for more than just making trails. A crushed ant emits an alarm pheromone that sends nearby ants into an attack frenzy and attracts more ants from farther away. Several ant species even use "propaganda pheromones" to confuse enemy ants and make them fight among themselves. Pheromones are produced by a wide range of structures including Dufour's glands, poison glands and glands on the hindgut, pygidium, rectum, sternum, and hind tibia. Pheromones also are exchanged, mixed with food, and passed by trophallaxis, transferring information within the colony. This allows other ants to detect what task group (e.g., foraging or nest maintenance) other colony members belong to. In ant species with queen castes, when the dominant queen stops producing a specific pheromone, workers begin to raise new queens in the colony. Some ants produce sounds by stridulation, using the gaster segments and their mandibles. Sounds may be used to communicate with colony members or with other species. Defence Ants attack and defend themselves by biting and, in many species, by stinging, often injecting or spraying chemicals, such as formic acid in the case of formicine ants, alkaloids and piperidines in fire ants, and a variety of protein components in other ants. Bullet ants (Paraponera), located in Central and South America, are considered to have the most painful sting of any insect, although it is usually not fatal to humans. This sting is given the highest rating on the Schmidt sting pain index. The sting of jack jumper ants can be fatal, and an antivenom has been developed for it. Fire ants, Solenopsis spp., are unique in having a venom sac containing piperidine alkaloids. Their stings are painful and can be dangerous to hypersensitive people. Trap-jaw ants of the genus Odontomachus are equipped with mandibles called trap-jaws, which snap shut faster than any other predatory appendages within the animal kingdom. One study of Odontomachus bauri recorded peak speeds of between , with the jaws closing within 130 microseconds on average. The ants were also observed to use their jaws as a catapult to eject intruders or fling themselves backward to escape a threat. Before striking, the ant opens its mandibles extremely widely and locks them in this position by an internal mechanism. Energy is stored in a thick band of muscle and explosively released when triggered by the stimulation of sensory organs resembling hairs on the inside of the mandibles. The mandibles also permit slow and fine movements for other tasks. Trap-jaws also are seen in other ponerines such as Anochetus, as well as some genera in the tribe Attini, such as Daceton, Orectognathus, and Strumigenys, which are viewed as examples of convergent evolution. A Malaysian species of ant in the Camponotus cylindricus group has enlarged mandibular glands that extend into their gaster. If combat takes a turn for the worse, a worker may perform a final act of suicidal altruism by rupturing the membrane of its gaster, causing the content of its mandibular glands to burst from the anterior region of its head, spraying a poisonous, corrosive secretion containing acetophenones and other chemicals that immobilise small insect attackers. The worker subsequently dies. Suicidal defences by workers are also noted in a Brazilian ant, Forelius pusillus, where a small group of ants leaves the security of the nest after sealing the entrance from the outside each evening. In addition to defence against predators, ants need to protect their colonies from pathogens. Some worker ants maintain the hygiene of the colony and their activities include undertaking or necrophory, the disposal of dead nest-mates. Oleic acid has been identified as the compound released from dead ants that triggers necrophoric behaviour in Atta mexicana while workers of Linepithema humile react to the absence of characteristic chemicals (dolichodial and iridomyrmecin) present on the cuticle of their living nestmates to trigger similar behaviour. Nests may be protected from physical threats such as flooding and overheating by elaborate nest architecture. Workers of Cataulacus muticus, an arboreal species that lives in plant hollows, respond to flooding by drinking water inside the nest, and excreting it outside. Camponotus anderseni, which nests in the cavities of wood in mangrove habitats, deals with submergence under water by switching to anaerobic respiration. Learning Many animals can learn behaviours by imitation, but ants may be the only group apart from mammals where interactive teaching has been observed. A knowledgeable forager of Temnothorax albipennis can lead a naïve nest-mate to newly discovered food by the process of tandem running. The follower obtains knowledge through its leading tutor. The leader is acutely sensitive to the progress of the follower and slows down when the follower lags and speeds up when the follower gets too close. Controlled experiments with colonies of Cerapachys biroi suggest that an individual may choose nest roles based on her previous experience. An entire generation of identical workers was divided into two groups whose outcome in food foraging was controlled. One group was continually rewarded with prey, while it was made certain that the other failed. As a result, members of the successful group intensified their foraging attempts while the unsuccessful group ventured out fewer and fewer times. A month later, the successful foragers continued in their role while the others had moved to specialise in brood care. Nest construction Complex nests are built by many ant species, but other species are nomadic and do not build permanent structures. Ants may form subterranean nests or build them on trees. These nests may be found in the ground, under stones or logs, inside logs, hollow stems, or even acorns. The materials used for construction include soil and plant matter, and ants carefully select their nest sites; Temnothorax albipennis will avoid sites with dead ants, as these may indicate the presence of pests or disease. They are quick to abandon established nests at the first sign of threats. The army ants of South America, such as the Eciton burchellii species, and the driver ants of Africa do not build permanent nests, but instead, alternate between nomadism and stages where the workers form a temporary nest (bivouac) from their own bodies, by holding each other together. Weaver ant (Oecophylla spp.) workers build nests in trees by attaching leaves together, first pulling them together with bridges of workers and then inducing their larvae to produce silk as they are moved along the leaf edges. Similar forms of nest construction are seen in some species of Polyrhachis. Formica polyctena, among other ant species, constructs nests that maintain a relatively constant interior temperature that aids in the development of larvae. The ants maintain the nest temperature by choosing the location, nest materials, controlling ventilation and maintaining the heat from solar radiation, worker activity and metabolism, and in some moist nests, microbial activity in the nest materials. Some ant species, such as those that use natural cavities, can be opportunistic and make use of the controlled micro-climate provided inside human dwellings and other artificial structures to house their colonies and nest structures. Cultivation of food Most ants are generalist predators, scavengers, and indirect herbivores, but a few have evolved specialised ways of obtaining nutrition. It is believed that many ant species that engage in indirect herbivory rely on specialized symbiosis with their gut microbes to upgrade the nutritional value of the food they collect and allow them to survive in nitrogen poor regions, such as rainforest canopies. Leafcutter ants (Atta and Acromyrmex) feed exclusively on a fungus that grows only within their colonies. They continually collect leaves which are taken to the colony, cut into tiny pieces and placed in fungal gardens. Ergates specialise in related tasks according to their sizes. The largest ants cut stalks, smaller workers chew the leaves and the smallest tend the fungus. Leafcutter ants are sensitive enough to recognise the reaction of the fungus to different plant material, apparently detecting chemical signals from the fungus. If a particular type of leaf is found to be toxic to the fungus, the colony will no longer collect it. The ants feed on structures produced by the fungi called gongylidia. Symbiotic bacteria on the exterior surface of the ants produce antibiotics that kill bacteria introduced into the nest that may harm the fungi. Navigation Foraging ants travel distances of up to from their nest and scent trails allow them to find their way back even in the dark. In hot and arid regions, day-foraging ants face death by desiccation, so the ability to find the shortest route back to the nest reduces that risk. Diurnal desert ants of the genus Cataglyphis such as the Sahara desert ant navigate by keeping track of direction as well as distance travelled. Distances travelled are measured using an internal pedometer that keeps count of the steps taken and also by evaluating the movement of objects in their visual field (optical flow). Directions are measured using the position of the sun. They integrate this information to find the shortest route back to their nest. Like all ants, they can also make use of visual landmarks when available as well as olfactory and tactile cues to navigate. Some species of ant are able to use the Earth's magnetic field for navigation. The compound eyes of ants have specialised cells that detect polarised light from the Sun, which is used to determine direction. These polarization detectors are sensitive in the ultraviolet region of the light spectrum. In some army ant species, a group of foragers who become separated from the main column may sometimes turn back on themselves and form a circular ant mill. The workers may then run around continuously until they die of exhaustion. Locomotion The female worker ants do not have wings and reproductive females lose their wings after their mating flights in order to begin their colonies. Therefore, unlike their wasp ancestors, most ants travel by walking. Some species are capable of leaping. For example, Jerdon's jumping ant (Harpegnathos saltator) is able to jump by synchronising the action of its mid and hind pairs of legs. There are several species of gliding ant including Cephalotes atratus; this may be a common trait among arboreal ants with small colonies. Ants with this ability are able to control their horizontal movement so as to catch tree trunks when they fall from atop the forest canopy. Other species of ants can form chains to bridge gaps over water, underground, or through spaces in vegetation. Some species also form floating rafts that help them survive floods. These rafts may also have a role in allowing ants to colonise islands. Polyrhachis sokolova, a species of ant found in Australian mangrove swamps, can swim and live in underwater nests. Since they lack gills, they go to trapped pockets of air in the submerged nests to breathe. Cooperation and competition Not all ants have the same kind of societies. The Australian bulldog ants are among the biggest and most basal of ants. Like virtually all ants, they are eusocial, but their social behaviour is poorly developed compared to other species. Each individual hunts alone, using her large eyes instead of chemical senses to find prey. Some species (such as Tetramorium caespitum) attack and take over neighbouring ant colonies. Others are less expansionist, but just as aggressive; they invade colonies to steal eggs or larvae, which they either eat or raise as workers or slaves. Extreme specialists among these slave-raiding ants, such as the Amazon ants, are incapable of feeding themselves and need captured workers to survive. Captured workers of enslaved Temnothorax species have evolved a counter-strategy, destroying just the female pupae of the slave-making Temnothorax americanus, but sparing the males (who do not take part in slave-raiding as adults). Ants identify kin and nestmates through their scent, which comes from hydrocarbon-laced secretions that coat their exoskeletons. If an ant is separated from its original colony, it will eventually lose the colony scent. Any ant that enters a colony without a matching scent will be attacked. Also, the reason why two separate colonies of ants will attack each other even if they are of the same species is because the genes responsible for pheromone production are different between them. The Argentine ant, however, does not have this characteristic, due to lack of genetic diversity, and has become a global pest because of it. Parasitic ant species enter the colonies of host ants and establish themselves as social parasites; species such as Strumigenys xenos are entirely parasitic and do not have workers, but instead, rely on the food gathered by their Strumigenys perplexa hosts. This form of parasitism is seen across many ant genera, but the parasitic ant is usually a species that is closely related to its host. A variety of methods are employed to enter the nest of the host ant. A parasitic queen may enter the host nest before the first brood has hatched, establishing herself prior to development of a colony scent. Other species use pheromones to confuse the host ants or to trick them into carrying the parasitic queen into the nest. Some simply fight their way into the nest. A conflict between the sexes of a species is seen in some species of ants with these reproducers apparently competing to produce offspring that are as closely related to them as possible. The most extreme form involves the production of clonal offspring. An extreme of sexual conflict is seen in Wasmannia auropunctata, where the queens produce diploid daughters by thelytokous parthenogenesis and males produce clones by a process whereby a diploid egg loses its maternal contribution to produce haploid males who are clones of the father. Disposing of their dead Ants either separate the bodies of their dead from the rest of the colony, or they bury them. Workers do this job in species that have them, or the queen might do it new colonies. This is done for health reasons. Relationships with other organisms Ants form symbiotic associations with a range of species, including other ant species, other insects, plants, and fungi. They also are preyed on by many animals and even certain fungi. Some arthropod species spend part of their lives within ant nests, either preying on ants, their larvae, and eggs, consuming the food stores of the ants, or avoiding predators. These inquilines may bear a close resemblance to ants. The nature of this ant mimicry (myrmecomorphy) varies, with some cases involving Batesian mimicry, where the mimic reduces the risk of predation. Others show Wasmannian mimicry, a form of mimicry seen only in inquilines. Aphids and other hemipteran insects secrete a sweet liquid called honeydew, when they feed on plant sap. The sugars in honeydew are a high-energy food source, which many ant species collect. In some cases, the aphids secrete the honeydew in response to ants tapping them with their antennae. The ants in turn keep predators away from the aphids and will move them from one feeding location to another. When migrating to a new area, many colonies will take the aphids with them, to ensure a continued supply of honeydew. Ants also tend mealybugs to harvest their honeydew. Mealybugs may become a serious pest of pineapples if ants are present to protect mealybugs from their natural enemies. Myrmecophilous (ant-loving) caterpillars of the butterfly family Lycaenidae (e.g., blues, coppers, or hairstreaks) are herded by the ants, led to feeding areas in the daytime, and brought inside the ants' nest at night. The caterpillars have a gland which secretes honeydew when the ants massage them. Some caterpillars produce vibrations and sounds that are perceived by the ants. A similar adaptation can be seen in Grizzled skipper butterflies that emit vibrations by expanding their wings in order to communicate with ants, which are natural predators of these butterflies. Other caterpillars have evolved from ant-loving to ant-eating: these myrmecophagous caterpillars secrete a pheromone that makes the ants act as if the caterpillar is one of their own larvae. The caterpillar is then taken into the ant nest where it feeds on the ant larvae. A number of specialized bacteria have been found as endosymbionts in ant guts. Some of the dominant bacteria belong to the order Hyphomicrobiales whose members are known for being nitrogen-fixing symbionts in legumes but the species found in ant lack the ability to fix nitrogen. Fungus-growing ants that make up the tribe Attini, including leafcutter ants, cultivate certain species of fungus in the genera Leucoagaricus or Leucocoprinus of the family Agaricaceae. In this ant-fungus mutualism, both species depend on each other for survival. The ant Allomerus decemarticulatus has evolved a three-way association with the host plant, Hirtella physophora (Chrysobalanaceae), and a sticky fungus which is used to trap their insect prey. Lemon ants make devil's gardens by killing surrounding plants with their stings and leaving a pure patch of lemon ant trees, (Duroia hirsuta). This modification of the forest provides the ants with more nesting sites inside the stems of the Duroia trees. Although some ants obtain nectar from flowers, pollination by ants is somewhat rare, one example being of the pollination of the orchid Leporella fimbriata which induces male Myrmecia urens to pseudocopulate with the flowers, transferring pollen in the process. One theory that has been proposed for the rarity of pollination is that the secretions of the metapleural gland inactivate and reduce the viability of pollen. Some plants have special nectar exuding structures, extrafloral nectaries, that provide food for ants, which in turn protect the plant from more damaging herbivorous insects. Species such as the bullhorn acacia (Acacia cornigera) in Central America have hollow thorns that house colonies of stinging ants (Pseudomyrmex ferruginea) who defend the tree against insects, browsing mammals, and epiphytic vines. Isotopic labelling studies suggest that plants also obtain nitrogen from the ants. In return, the ants obtain food from protein- and lipid-rich Beltian bodies. In Fiji Philidris nagasau (Dolichoderinae) are known to selectively grow species of epiphytic Squamellaria (Rubiaceae) which produce large domatia inside which the ant colonies nest. The ants plant the seeds and the domatia of young seedling are immediately occupied and the ant faeces in them contribute to rapid growth. Similar dispersal associations are found with other dolichoderines in the region as well. Another example of this type of ectosymbiosis comes from the Macaranga tree, which has stems adapted to house colonies of Crematogaster ants. Many plant species have seeds that are adapted for dispersal by ants. Seed dispersal by ants or myrmecochory is widespread, and new estimates suggest that nearly 9% of all plant species may have such ant associations. Often, seed-dispersing ants perform directed dispersal, depositing the seeds in locations that increase the likelihood of seed survival to reproduction. Some plants in arid, fire-prone systems are particularly dependent on ants for their survival and dispersal as the seeds are transported to safety below the ground. Many ant-dispersed seeds have special external structures, elaiosomes, that are sought after by ants as food. Ants can substantially alter rate of decomposition and nutrient cycling in their nest. By myrmecochory and modification of soil conditions they substantially alter vegetation and nutrient cycling in surrounding ecosystem. A convergence, possibly a form of mimicry, is seen in the eggs of stick insects. They have an edible elaiosome-like structure and are taken into the ant nest where the young hatch. Most ants are predatory and some prey on and obtain food from other social insects including other ants. Some species specialise in preying on termites (Megaponera and Termitopone) while a few Cerapachyinae prey on other ants. Some termites, including Nasutitermes corniger, form associations with certain ant species to keep away predatory ant species. The tropical wasp Mischocyttarus drewseni coats the pedicel of its nest with an ant-repellent chemical. It is suggested that many tropical wasps may build their nests in trees and cover them to protect themselves from ants. Other wasps, such as A. multipicta, defend against ants by blasting them off the nest with bursts of wing buzzing. Stingless bees (Trigona and Melipona) use chemical defences against ants. Flies in the Old World genus Bengalia (Calliphoridae) prey on ants and are kleptoparasites, snatching prey or brood from the mandibles of adult ants. Wingless and legless females of the Malaysian phorid fly (Vestigipoda myrmolarvoidea) live in the nests of ants of the genus Aenictus and are cared for by the ants. Fungi in the genera Cordyceps and Ophiocordyceps infect ants. Ants react to their infection by climbing up plants and sinking their mandibles into plant tissue. The fungus kills the ants, grows on their remains, and produces a fruiting body. It appears that the fungus alters the behaviour of the ant to help disperse its spores in a microhabitat that best suits the fungus. Strepsipteran parasites also manipulate their ant host to climb grass stems, to help the parasite find mates. A nematode (Myrmeconema neotropicum) that infects canopy ants (Cephalotes atratus) causes the black-coloured gasters of workers to turn red. The parasite also alters the behaviour of the ant, causing them to carry their gasters high. The conspicuous red gasters are mistaken by birds for ripe fruits, such as Hyeronima alchorneoides, and eaten. The droppings of the bird are collected by other ants and fed to their young, leading to further spread of the nematode. A study of Temnothorax nylanderi colonies in Germany found that workers parasitized by the tapeworm Anomotaenia brevis (ants are intermediate hosts, the definitive hosts are woodpeckers) lived much longer than unparasitized workers and had a reduced mortality rate, comparable to that of the queens of the same species, which live for as long as two decades. South American poison dart frogs in the genus Dendrobates feed mainly on ants, and
touch. The use of pheromones as chemical signals is more developed in ants, such as the red harvester ant, than in other hymenopteran groups. Like other insects, ants perceive smells with their long, thin, and mobile antennae. The paired antennae provide information about the direction and intensity of scents. Since most ants live on the ground, they use the soil surface to leave pheromone trails that may be followed by other ants. In species that forage in groups, a forager that finds food marks a trail on the way back to the colony; this trail is followed by other ants, these ants then reinforce the trail when they head back with food to the colony. When the food source is exhausted, no new trails are marked by returning ants and the scent slowly dissipates. This behaviour helps ants deal with changes in their environment. For instance, when an established path to a food source is blocked by an obstacle, the foragers leave the path to explore new routes. If an ant is successful, it leaves a new trail marking the shortest route on its return. Successful trails are followed by more ants, reinforcing better routes and gradually identifying the best path. Ants use pheromones for more than just making trails. A crushed ant emits an alarm pheromone that sends nearby ants into an attack frenzy and attracts more ants from farther away. Several ant species even use "propaganda pheromones" to confuse enemy ants and make them fight among themselves. Pheromones are produced by a wide range of structures including Dufour's glands, poison glands and glands on the hindgut, pygidium, rectum, sternum, and hind tibia. Pheromones also are exchanged, mixed with food, and passed by trophallaxis, transferring information within the colony. This allows other ants to detect what task group (e.g., foraging or nest maintenance) other colony members belong to. In ant species with queen castes, when the dominant queen stops producing a specific pheromone, workers begin to raise new queens in the colony. Some ants produce sounds by stridulation, using the gaster segments and their mandibles. Sounds may be used to communicate with colony members or with other species. Defence Ants attack and defend themselves by biting and, in many species, by stinging, often injecting or spraying chemicals, such as formic acid in the case of formicine ants, alkaloids and piperidines in fire ants, and a variety of protein components in other ants. Bullet ants (Paraponera), located in Central and South America, are considered to have the most painful sting of any insect, although it is usually not fatal to humans. This sting is given the highest rating on the Schmidt sting pain index. The sting of jack jumper ants can be fatal, and an antivenom has been developed for it. Fire ants, Solenopsis spp., are unique in having a venom sac containing piperidine alkaloids. Their stings are painful and can be dangerous to hypersensitive people. Trap-jaw ants of the genus Odontomachus are equipped with mandibles called trap-jaws, which snap shut faster than any other predatory appendages within the animal kingdom. One study of Odontomachus bauri recorded peak speeds of between , with the jaws closing within 130 microseconds on average. The ants were also observed to use their jaws as a catapult to eject intruders or fling themselves backward to escape a threat. Before striking, the ant opens its mandibles extremely widely and locks them in this position by an internal mechanism. Energy is stored in a thick band of muscle and explosively released when triggered by the stimulation of sensory organs resembling hairs on the inside of the mandibles. The mandibles also permit slow and fine movements for other tasks. Trap-jaws also are seen in other ponerines such as Anochetus, as well as some genera in the tribe Attini, such as Daceton, Orectognathus, and Strumigenys, which are viewed as examples of convergent evolution. A Malaysian species of ant in the Camponotus cylindricus group has enlarged mandibular glands that extend into their gaster. If combat takes a turn for the worse, a worker may perform a final act of suicidal altruism by rupturing the membrane of its gaster, causing the content of its mandibular glands to burst from the anterior region of its head, spraying a poisonous, corrosive secretion containing acetophenones and other chemicals that immobilise small insect attackers. The worker subsequently dies. Suicidal defences by workers are also noted in a Brazilian ant, Forelius pusillus, where a small group of ants leaves the security of the nest after sealing the entrance from the outside each evening. In addition to defence against predators, ants need to protect their colonies from pathogens. Some worker ants maintain the hygiene of the colony and their activities include undertaking or necrophory, the disposal of dead nest-mates. Oleic acid has been identified as the compound released from dead ants that triggers necrophoric behaviour in Atta mexicana while workers of Linepithema humile react to the absence of characteristic chemicals (dolichodial and iridomyrmecin) present on the cuticle of their living nestmates to trigger similar behaviour. Nests may be protected from physical threats such as flooding and overheating by elaborate nest architecture. Workers of Cataulacus muticus, an arboreal species that lives in plant hollows, respond to flooding by drinking water inside the nest, and excreting it outside. Camponotus anderseni, which nests in the cavities of wood in mangrove habitats, deals with submergence under water by switching to anaerobic respiration. Learning Many animals can learn behaviours by imitation, but ants may be the only group apart from mammals where interactive teaching has been observed. A knowledgeable forager of Temnothorax albipennis can lead a naïve nest-mate to newly discovered food by the process of tandem running. The follower obtains knowledge through its leading tutor. The leader is acutely sensitive to the progress of the follower and slows down when the follower lags and speeds up when the follower gets too close. Controlled experiments with colonies of Cerapachys biroi suggest that an individual may choose nest roles based on her previous experience. An entire generation of identical workers was divided into two groups whose outcome in food foraging was controlled. One group was continually rewarded with prey, while it was made certain that the other failed. As a result, members of the successful group intensified their foraging attempts while the unsuccessful group ventured out fewer and fewer times. A month later, the successful foragers continued in their role while the others had moved to specialise in brood care. Nest construction Complex nests are built by many ant species, but other species are nomadic and do not build permanent structures. Ants may form subterranean nests or build them on trees. These nests may be found in the ground, under stones or logs, inside logs, hollow stems, or even acorns. The materials used for construction include soil and plant matter, and ants carefully select their nest sites; Temnothorax albipennis will avoid sites with dead ants, as these may indicate the presence of pests or disease. They are quick to abandon established nests at the first sign of threats. The army ants of South America, such as the Eciton burchellii species, and the driver ants of Africa do not build permanent nests, but instead, alternate between nomadism and stages where the workers form a temporary nest (bivouac) from their own bodies, by holding each other together. Weaver ant (Oecophylla spp.) workers build nests in trees by attaching leaves together, first pulling them together with bridges of workers and then inducing their larvae to produce silk as they are moved along the leaf edges. Similar forms of nest construction are seen in some species of Polyrhachis. Formica polyctena, among other ant species, constructs nests that maintain a relatively constant interior temperature that aids in the development of larvae. The ants maintain the nest temperature by choosing the location, nest materials, controlling ventilation and maintaining the heat from solar radiation, worker activity and metabolism, and in some moist nests, microbial activity in the nest materials. Some ant species, such as those that use natural cavities, can be opportunistic and make use of the controlled micro-climate provided inside human dwellings and other artificial structures to house their colonies and nest structures. Cultivation of food Most ants are generalist predators, scavengers, and indirect herbivores, but a few have evolved specialised ways of obtaining nutrition. It is believed that many ant species that engage in indirect herbivory rely on specialized symbiosis with their gut microbes to upgrade the nutritional value of the food they collect and allow them to survive in nitrogen poor regions, such as rainforest canopies. Leafcutter ants (Atta and Acromyrmex) feed exclusively on a fungus that grows only within their colonies. They continually collect leaves which are taken to the colony, cut into tiny pieces and placed in fungal gardens. Ergates specialise in related tasks according to their sizes. The largest ants cut stalks, smaller workers chew the leaves and the smallest tend the fungus. Leafcutter ants are sensitive enough to recognise the reaction of the fungus to different plant material, apparently detecting chemical signals from the fungus. If a particular type of leaf is found to be toxic to the fungus, the colony will no longer collect it. The ants feed on structures produced by the fungi called gongylidia. Symbiotic bacteria on the exterior surface of the ants produce antibiotics that kill bacteria introduced into the nest that may harm the fungi. Navigation Foraging ants travel distances of up to from their nest and scent trails allow them to find their way back even in the dark. In hot and arid regions, day-foraging ants face death by desiccation, so the ability to find the shortest route back to the nest reduces that risk. Diurnal desert ants of the genus Cataglyphis such as the Sahara desert ant navigate by keeping track of direction as well as distance travelled. Distances travelled are measured using an internal pedometer that keeps count of the steps taken and also by evaluating the movement of objects in their visual field (optical flow). Directions are measured using the position of the sun. They integrate this information to find the shortest route back to their nest. Like all ants, they can also make use of visual landmarks when available as well as olfactory and tactile cues to navigate. Some species of ant are able to use the Earth's magnetic field for navigation. The compound eyes of ants have specialised cells that detect polarised light from the Sun, which is used to determine direction. These polarization detectors are sensitive in the ultraviolet region of the light spectrum. In some army ant species, a group of foragers who become separated from the main column may sometimes turn back on themselves and form a circular ant mill. The workers may then run around continuously until they die of exhaustion. Locomotion The female worker ants do not have wings and reproductive females lose their wings after their mating flights in order to begin their colonies. Therefore, unlike their wasp ancestors, most ants travel by walking. Some species are capable of leaping. For example, Jerdon's jumping ant (Harpegnathos saltator) is able to jump by synchronising the action of its mid and hind pairs of legs. There are several species of gliding ant including Cephalotes atratus; this may be a common trait among arboreal ants with small colonies. Ants with this ability are able to control their horizontal movement so as to catch tree trunks when they fall from atop the forest canopy. Other species of ants can form chains to bridge gaps over water, underground, or through spaces in vegetation. Some species also form floating rafts that help them survive floods. These rafts may also have a role in allowing ants to colonise islands. Polyrhachis sokolova, a species of ant found in Australian mangrove swamps, can swim and live in underwater nests. Since they lack gills, they go to trapped pockets of air in the submerged nests to breathe. Cooperation and competition Not all ants have the same kind of societies. The Australian bulldog ants are among the biggest and most basal of ants. Like virtually all ants, they are eusocial, but their social behaviour is poorly developed compared to other species. Each individual hunts alone, using her large eyes instead of chemical senses to find prey. Some species (such as Tetramorium caespitum) attack and take over neighbouring ant colonies. Others are less expansionist, but just as aggressive; they invade colonies to steal eggs or larvae, which they either eat or raise as workers or slaves. Extreme specialists among these slave-raiding ants, such as the Amazon ants, are incapable of feeding themselves and need captured workers to survive. Captured workers of enslaved Temnothorax species have evolved a counter-strategy, destroying just the female pupae of the slave-making Temnothorax americanus, but sparing the males (who do not take part in slave-raiding as adults). Ants identify kin and nestmates through their scent, which comes from hydrocarbon-laced secretions that coat their exoskeletons. If an ant is separated from its original colony, it will eventually lose the colony scent. Any ant that enters a colony without a matching scent will be attacked. Also, the reason why two separate colonies of ants will attack each other even if they are of the same species is because the genes responsible for pheromone production are different between them. The Argentine ant, however, does not have this characteristic, due to lack of genetic diversity, and has become a global pest because of it. Parasitic ant species enter the colonies of host ants and establish themselves as social parasites; species such as Strumigenys xenos are entirely parasitic and do not have workers, but instead, rely on the food gathered by their Strumigenys perplexa hosts. This form of parasitism is seen across many ant genera, but the parasitic ant is usually a species that is closely related to its host. A variety of methods are employed to enter the nest of the host ant. A parasitic queen may enter the host nest before the first brood has hatched, establishing herself prior to development of a colony scent. Other species use pheromones to confuse the host ants or to trick them into carrying the parasitic queen into the nest. Some simply fight their way into the nest. A conflict between the sexes of a species is seen in some species of ants with these reproducers apparently competing to produce offspring that are as closely related to them as possible. The most extreme form involves the production of clonal offspring. An extreme of sexual conflict is seen in Wasmannia auropunctata, where the queens produce diploid daughters by thelytokous parthenogenesis and males produce clones by a process whereby a diploid egg loses its maternal contribution to produce haploid males who are clones of the father. Disposing of their dead Ants either separate the bodies of their dead from the rest of the colony, or they bury them. Workers do this job in species that have them, or the queen might do it new colonies. This is done for health reasons. Relationships with other organisms Ants form symbiotic associations with a range of species, including other ant species, other insects, plants, and fungi. They also are preyed on by many animals and even certain fungi. Some arthropod species spend part of their lives within ant nests, either preying on ants, their larvae, and eggs, consuming the food stores of the ants, or avoiding predators. These inquilines may bear a close resemblance to ants. The nature of this ant mimicry (myrmecomorphy) varies, with some cases involving Batesian mimicry, where the mimic reduces the risk of predation. Others show Wasmannian mimicry, a form of mimicry seen only in inquilines. Aphids and other hemipteran insects secrete a sweet liquid called honeydew, when they feed on plant sap. The sugars in honeydew are a high-energy food source, which many ant species collect. In some cases, the aphids secrete the honeydew in response to ants tapping them with their antennae. The ants in turn keep predators away from the aphids and will move them from one feeding location to another. When migrating to a new area, many colonies will take the aphids with them, to ensure a continued supply of honeydew. Ants also tend mealybugs to harvest their honeydew. Mealybugs may become a serious pest of pineapples if ants are present to protect mealybugs from their natural enemies. Myrmecophilous (ant-loving) caterpillars of the butterfly family Lycaenidae (e.g., blues, coppers, or hairstreaks) are herded by the ants, led to feeding areas in the daytime, and brought inside the ants' nest at night. The caterpillars have a gland which secretes honeydew when the ants massage them. Some caterpillars produce vibrations and sounds that are perceived by the ants. A similar adaptation can be seen in Grizzled skipper butterflies that emit vibrations by expanding their wings in order to communicate with ants, which are natural predators of these butterflies. Other caterpillars have evolved from ant-loving to ant-eating: these myrmecophagous caterpillars secrete a pheromone that makes the ants act as if the caterpillar is one of their own larvae. The caterpillar is then taken into the ant nest where it feeds on the ant larvae. A number of specialized bacteria have been found as endosymbionts in ant guts. Some of the dominant bacteria belong to the order Hyphomicrobiales whose members are known for being nitrogen-fixing symbionts in legumes but the species found in ant lack the ability to fix nitrogen. Fungus-growing ants that make up the tribe Attini, including leafcutter ants, cultivate certain species of fungus in the genera Leucoagaricus or Leucocoprinus of the family Agaricaceae. In this ant-fungus mutualism, both species depend on each other for survival. The ant Allomerus decemarticulatus has evolved a three-way association with the host plant, Hirtella physophora (Chrysobalanaceae), and a sticky fungus which is used to trap their insect prey. Lemon ants make devil's gardens by killing surrounding plants with their stings and leaving a pure patch of lemon ant trees, (Duroia hirsuta). This modification of the forest provides the ants with more nesting sites inside the stems of the Duroia trees. Although some ants obtain nectar from flowers, pollination by ants is somewhat rare, one example being of the pollination of the orchid Leporella fimbriata which induces male Myrmecia urens to pseudocopulate with the flowers, transferring pollen in the process. One theory that has been proposed for the rarity of pollination is that the secretions of the metapleural gland inactivate and reduce the viability of pollen. Some plants have special nectar exuding structures, extrafloral nectaries, that provide food for ants, which in turn protect the plant from more damaging herbivorous insects. Species such as the bullhorn acacia (Acacia cornigera) in Central America have hollow thorns that house colonies of stinging ants (Pseudomyrmex ferruginea) who defend the tree against insects, browsing mammals, and epiphytic vines. Isotopic labelling studies suggest that plants also obtain nitrogen from the ants. In return, the ants obtain food from protein- and lipid-rich Beltian bodies. In Fiji Philidris nagasau (Dolichoderinae) are known to selectively grow species of epiphytic Squamellaria (Rubiaceae) which produce large domatia inside which the ant colonies nest. The ants plant the seeds and the domatia of young seedling are immediately occupied and the ant faeces in them contribute to rapid growth. Similar dispersal associations are found with other dolichoderines in the region as well. Another example of this type of ectosymbiosis comes from the Macaranga tree, which has stems adapted to house colonies of Crematogaster ants. Many plant species have seeds that are adapted for dispersal by ants. Seed dispersal by ants or myrmecochory is widespread, and new estimates suggest that nearly 9% of all plant species may have such ant associations. Often, seed-dispersing ants perform directed dispersal, depositing the seeds in locations that increase the likelihood of seed survival to reproduction. Some plants in arid, fire-prone systems are particularly dependent on ants for their survival and dispersal as the seeds are transported to safety below the ground. Many ant-dispersed seeds have special external structures, elaiosomes, that are sought after by ants as food. Ants can substantially alter rate of decomposition and nutrient cycling in their nest. By myrmecochory and modification of soil conditions they substantially alter vegetation and nutrient cycling in surrounding ecosystem. A convergence, possibly a form of mimicry, is seen in the eggs of stick insects. They have an edible elaiosome-like structure and are taken into the ant nest where the young hatch. Most ants are predatory and some prey on and obtain food from other social insects including other ants. Some species specialise in preying on termites (Megaponera and Termitopone) while a few Cerapachyinae prey on other ants. Some termites, including Nasutitermes corniger, form associations with certain ant species to keep away predatory ant species. The tropical wasp Mischocyttarus drewseni coats the pedicel of its nest with an ant-repellent chemical. It is suggested that many tropical wasps may build their nests in trees and cover them to protect themselves from ants. Other wasps, such as A. multipicta, defend against ants by blasting them off the nest with bursts of wing buzzing. Stingless bees (Trigona and Melipona) use chemical defences against ants. Flies in the Old World genus Bengalia (Calliphoridae) prey on ants and are kleptoparasites, snatching prey or brood from the mandibles of adult ants. Wingless and legless females of the Malaysian phorid fly (Vestigipoda myrmolarvoidea) live in the nests of ants of the genus Aenictus and are cared for by the ants. Fungi in the genera Cordyceps and Ophiocordyceps infect ants. Ants react to their infection by climbing up plants and
interest arbitration. The United Steelworkers of America adopted an elaborate form of interest arbitration, known as the Experimental Negotiating Agreement, in the 1970s as a means of avoiding the long and costly strikes that had made the industry vulnerable to foreign competition. Major League Baseball uses a variant of interest arbitration, in which an arbitrator chooses between the two sides' final offers, to set the terms for contracts for players who are not eligible for free agency. Interest arbitration is now most frequently used by public employees who have no right to strike (for example, law enforcement and firefighters). Grievance arbitration Unions and employers have also employed arbitration to resolve employee and union grievances arising under a collective bargaining agreement. The Amalgamated Clothing Workers of America made arbitration a central element of the Protocol of Peace it negotiated with garment manufacturers in the second decade of the twentieth century. Grievance arbitration became even more popular during World War II, when most unions had adopted a no-strike pledge. The War Labor Board, which attempted to mediate disputes over contract terms, pressed for inclusion of grievance arbitration in collective bargaining agreements. The Supreme Court subsequently made labor arbitration a key aspect of federal labor policy in three cases which came to be known as the Steelworkers' Trilogy. The Court held that grievance arbitration was a preferred dispute resolution technique and that courts could not overturn arbitrators' awards unless the award does not draw its essence from the collective bargaining agreement. State and federal statutes may allow vacating an award on narrow grounds (e.g., fraud). These protections for arbitrator awards are premised on the union-management system, which provides both parties with due process. Due process in this context means that both parties have experienced representation throughout the process, and that the arbitrators practice only as neutrals. See National Academy of Arbitrators. Securities arbitration In the United States securities industry, arbitration has long been the preferred method of resolving disputes between brokerage firms, and between firms and their customers. The arbitration process operates under its own rules, as defined by contract. Securities arbitrations are held primarily by the Financial Industry Regulatory Authority. The securities industry uses pre-dispute arbitration agreements, through which the parties agree to arbitrate their disputes before any such dispute arises. Those agreements were upheld by the United States Supreme Court in Shearson v. MacMahon, 482 U.S. 220 (1987) and today nearly all disputes involving brokerage firms, other than Securities class action claims, are resolved in arbitration. The SEC has come under fire from members of the Senate Judiciary Committee for not fulfilling statutory duty to protect individual investors, because all brokers require arbitration, and arbitration does not provide a court-supervised discovery process, require arbitrators to follow rules of evidence or result in written opinions establishing precedence, or case law, or provide the efficiency gains it once did. Arbitrator selection bias, hidden conflicts of interest, and a case where an arbitration panel refused to follow instructions handed down from a judge, were also raised as issues. Judicial arbitration Some state court systems have promulgated court-ordered arbitration; family law (particularly child custody) is the most prominent example. Judicial arbitration is often merely advisory dispute resolution technique, serving as the first step toward resolution, but not binding either side and allowing for trial de novo. Litigation attorneys present their side of the case to an independent tertiary lawyer, who issues an opinion on settlement. Should the parties in question decide to continue to dispute resolution process, there can be some sanctions imposed from the initial arbitration per terms of the contract. Validity of arbitration clauses Although properly drafted arbitration clauses are generally valid, they are subject to challenge in court for compliance with laws and public policy. Arbitration clauses may potentially be challenged as unconscionable and, therefore, unenforceable. Typically, the validity of an arbitration clause is decided by a court rather than an arbitrator. However, if the validity of the entire arbitration agreement is in dispute, then the issue is decided by the arbitrators in the first instance. This is known as the principle of separability. For example, in Rent-A-Center, West, Inc. v. Jackson, the Supreme Court of the United States held that "under the FAA, where an agreement to arbitrate includes an agreement that the arbitrator will determine the enforceability of the agreement, if a party challenges specifically the enforceability of that particular agreement, the district court considers the challenge, but if a party challenges the enforceability of the agreement as a whole, the challenge is for the arbitrator." In other words, the law typically allows federal courts to decide these types of "gateway" or validity questions, but the Supreme Court ruled that since Jackson targeted the entire contract rather than a specific clause, the arbitrator decided the validity. Public Citizen, an advocacy organization opposed to the enforcement of pre-dispute arbitration agreements, characterized the decision negatively: "the court said that companies can write their contracts so that the companies' own arbitrator decides whether it's fair to submit a case to that arbitrator." In insurance law, arbitration is complicated by the fact that insurance is regulated at the state level under the McCarran–Ferguson Act. From a federal perspective, however, a circuit court ruling has determined that McCarran-Ferguson requires a state statute rather than administrative interpretations. The Missouri Department of Insurance attempted to block a binding arbitration agreement under its state authority, but since this action was based only on a policy of the department and not on a state statute, the United States district court found that the Department of Insurance did not have the authority to invalidate the arbitration agreement. In AT&T Mobility v. Concepcion (2011), the Supreme Court of the United States upheld an arbitration clause in a consumer standard form contract which waived the right to a lawsuit and class action. However, this clause was relatively generous in that the business paid all fees unless the action was determined to be frivolous and a small-claims court action remained available; these types of protections are recommended for the contract to remain enforceable and not unconscionable. Proceedings Various bodies of rules have been developed that can be used for arbitration proceedings. The rules to be followed by the arbitrator are specified by the agreement establishing the arbitration. Enforcement of award In some cases, a party may comply with an award voluntarily. However, in other cases a party will have to petition to receive a court judgment for enforcement through various means such as a writ of execution, garnishment, or lien. If the property is in another state, then a sister-state judgment (relying on the Full Faith and Credit Clause) can be received by filing a form in the state where the property is located. Vacatur Under the Federal Arbitration Act, courts can only vacate awards for limited reasons set out in statute with similar language in the state model Uniform Arbitration Act. The court will generally not change the arbitrator's findings of fact but will decide only whether the arbitrator was guilty of malfeasance, or whether the arbitrator exceeded the limits of his or her authority in the arbitral award or whether the award was made in manifest disregard of law or conflicts with well-established public policy. Arbitrators Arbitrators have wide latitude in crafting remedies in the arbitral decision, with the only real limitation being that they may not exceed the
a tort). However, third-party non-signatories can be bound by arbitration agreements based on theories of estoppel, agency relationships with a party, assumption of the contract containing the arbitration agreement, third-party beneficiary status under the contract, or piercing the corporate veil. The question of whether two parties have actually agreed to arbitrate any disputes is one for judicial determination, because if the parties have not agreed to arbitrate then the arbitrator would have no authority. Where there is an arbitration agreement, doubts concerning "the scope of arbitrable issues should be resolved in favor of arbitration", but issues regarding whether a claim falls within the scope of arbitrable issues is a judicial matter, unless the parties have expressly agreed that the arbitrator may decide the scope of his or her own authority. Most courts hold that general arbitration clauses, such as an agreement to refer to arbitration any dispute "arising from" or "related to" a particular contract, do not authorize an arbitrator to determine whether a particular issue arises from or relates to the contract concerned. A minority view embraced by some courts is that this broad language can evidence the parties' clear and unmistakable intention to delegate the resolution of all issues to the arbitrator, including issues regarding arbitrability. Labor arbitration Arbitration may be used as a means of resolving labor disputes, an alternative to strikes and lockouts. Labor arbitration comes in two varieties: interest arbitration, which provides a method for resolving disputes about the terms to be included in a new contract when the parties are unable to agree, and grievance arbitration, which provides a method for resolving disputes over the interpretation and application of a collective bargaining agreement. Arbitration has also been used as a means of resolving labor disputes for more than a century. Labor organizations in the United States, such as the National Labor Union, called for arbitration as early as 1866 as an alternative to strikes to resolve disputes over the wages, benefits and other rights that workers would enjoy. Interest arbitration Governments have relied on arbitration to resolve particularly large labor disputes, such as the Coal Strike of 1902. This type of arbitration, wherein a neutral arbitrator decides the terms of the collective bargaining agreement, is commonly known as interest arbitration. The United Steelworkers of America adopted an elaborate form of interest arbitration, known as the Experimental Negotiating Agreement, in the 1970s as a means of avoiding the long and costly strikes that had made the industry vulnerable to foreign competition. Major League Baseball uses a variant of interest arbitration, in which an arbitrator chooses between the two sides' final offers, to set the terms for contracts for players who are not eligible for free agency. Interest arbitration is now most frequently used by public employees who have no right to strike (for example, law enforcement and firefighters). Grievance arbitration Unions and employers have also employed arbitration to resolve employee and union grievances arising under a collective bargaining agreement. The Amalgamated Clothing Workers of America made arbitration a central element of the Protocol of Peace it negotiated with garment manufacturers in the second decade of the twentieth century. Grievance arbitration became even more popular during World War II, when most unions had adopted a no-strike pledge. The War Labor Board, which attempted to mediate disputes over contract terms, pressed for inclusion of grievance arbitration in collective bargaining agreements. The Supreme Court subsequently made labor arbitration a key aspect of federal labor policy in three cases which came to be known as the Steelworkers' Trilogy. The Court held that grievance arbitration was a preferred dispute resolution technique and that courts could not overturn arbitrators' awards unless the award does not draw its essence from the collective bargaining agreement. State and federal statutes may allow vacating an award on narrow grounds (e.g., fraud). These protections for arbitrator awards are premised on the union-management system, which provides both parties with due process. Due process in this context means that both parties have experienced representation throughout the process, and that the arbitrators practice only as neutrals. See National Academy of Arbitrators. Securities arbitration In the United States securities industry, arbitration has long been the preferred method of resolving disputes between brokerage firms, and between firms and their customers. The arbitration process operates under its own rules, as defined by contract. Securities arbitrations are held primarily by the Financial Industry Regulatory Authority. The securities industry uses pre-dispute arbitration agreements, through which the parties agree to arbitrate their disputes before any such dispute arises. Those agreements were upheld by the United States Supreme Court in Shearson v. MacMahon, 482 U.S. 220 (1987) and today nearly all disputes involving brokerage firms, other than Securities class action claims, are resolved in arbitration. The SEC has come under fire from members of the Senate Judiciary Committee for not fulfilling statutory duty to protect individual investors, because all brokers require arbitration, and arbitration does not provide a court-supervised discovery process, require arbitrators to follow rules of evidence or result in written opinions establishing precedence, or case law, or provide the efficiency gains it once did. Arbitrator selection bias, hidden conflicts of interest, and a case where an arbitration panel refused to follow instructions handed down from a judge, were also raised as issues. Judicial arbitration Some state court systems have promulgated court-ordered arbitration; family law (particularly child custody) is the most prominent example. Judicial arbitration is often merely advisory dispute resolution technique, serving as the first step toward resolution, but not binding either side and allowing for trial de novo. Litigation attorneys present their side of the case to an independent tertiary lawyer, who issues an opinion on settlement. Should the parties in question decide to continue to dispute resolution process, there can be some sanctions imposed from the initial arbitration per terms of the contract. Validity of arbitration clauses Although properly drafted arbitration clauses are generally valid, they are subject to challenge in court for compliance with laws and public policy. Arbitration clauses may potentially be challenged as unconscionable and, therefore, unenforceable. Typically, the validity of an arbitration clause is decided by a court rather than an arbitrator. However, if the validity of the entire arbitration agreement is in dispute, then the issue is decided by the arbitrators in the first instance. This is known as the principle of separability. For example, in Rent-A-Center, West, Inc. v. Jackson, the Supreme Court of the United States held that "under the FAA, where an agreement to arbitrate includes an agreement that the arbitrator will determine the enforceability of the agreement, if a party challenges specifically the enforceability of that particular agreement, the district court considers the challenge, but if a party challenges the enforceability of the agreement as a whole, the challenge is for the arbitrator." In other words, the law typically allows federal courts to decide these types of "gateway" or validity questions, but the Supreme Court ruled that since Jackson targeted the entire contract rather than a specific clause, the arbitrator decided the validity. Public Citizen, an advocacy organization opposed to the enforcement of pre-dispute arbitration agreements, characterized the decision negatively: "the court said that companies can write their contracts so that the companies' own arbitrator decides whether it's fair to submit a case to that arbitrator." In insurance law, arbitration is complicated by the fact that insurance is regulated at the state level under the McCarran–Ferguson Act. From a federal perspective, however, a circuit court ruling has determined that McCarran-Ferguson requires a state statute rather than administrative interpretations. The Missouri Department of Insurance attempted to block a binding arbitration agreement under its state authority, but since this action was based only on a
the prosecutor and not given under oath. This allows the defendant to explain their side of the case without being subject to cross-examination by a skilled opposition. However, this is mainly because it is not the prosecutor but the judges who question the defendant. The concept of "cross"-examination is entirely due to adversarial structure of the common law. Judges in an adversarial system are impartial in ensuring the fair play of due process, or fundamental justice. Such judges decide, often when called upon by counsel rather than of their own motion, what evidence is to be admitted when there is a dispute; though in some common law jurisdictions judges play more of a role in deciding what evidence to admit into the record or reject. At worst, abusing judicial discretion would actually pave the way to a biased decision, rendering obsolete the judicial process in question—rule of law being illicitly subordinated by rule of man under such discriminating circumstances. The rules of evidence are also developed based upon the system of objections of adversaries and on what basis it may tend to prejudice the trier of fact which may be the judge or the jury. In a way the rules of evidence can function to give a judge limited inquisitorial powers as the judge may exclude evidence he/she believes is not trustworthy or irrelevant to the legal issue at hand. Peter Murphy in his Practical Guide to Evidence recounts an instructive example. A frustrated judge in an English (adversarial) court finally asked a barrister after witnesses had produced conflicting accounts, 'Am I never to hear the truth?' 'No, my lord, merely the evidence', replied counsel. The name "adversarial system" may be misleading in that it implies it is only within this type of system in which there are opposing prosecution and defense. This is not the case, and both modern adversarial and inquisitorial systems have the powers of the state separated between a prosecutor and the judge and allow the defendant the right to counsel. Indeed, the European Convention on Human Rights and Fundamental Freedoms in Article 6 requires these features in the legal systems of its signatory states. The right to counsel in criminal trials was initially not accepted in some adversarial systems. It was believed that the facts should speak for themselves, and that lawyers would just blur the matters. As a consequence, it was only in 1836 that England gave suspects of felonies the formal right to have legal counsel (the Prisoners' Counsel Act 1836), although in practice English courts routinely allowed defendants to be represented by counsel from the mid-18th century. During the second half of the 18th century advocates like Sir William Garrow and Thomas Erskine, 1st Baron Erskine helped usher in the adversarial court system used in most common law countries today. In the United States, however, personally retained counsel have had a right to appear in all federal criminal cases since the adoption of the Constitution and in state cases at least since the end of the Civil War, although nearly all provided this right in their state constitutions or laws much earlier. Appointment of counsel for indigent defendants was nearly universal in federal felony cases, though it varied considerably in state cases. It was not until 1963 that the U.S. Supreme Court declared that legal counsel must be provided at the expense of the state for indigent felony defendants, under the federal Sixth Amendment, in state courts.
that is entered into evidence, and a confession by the defendant does not remove the requirement that the prosecution present a full case. This allows for plea bargaining in adversarial systems in a way that is difficult or impossible in inquisitional system, and many felony cases in the United States are handled without trial through such plea bargains. In some adversarial legislative systems, the court is permitted to make inferences on an accused's failure to face cross-examination or to answer a particular question. This obviously limits the usefulness of silence as a tactic by the defense. In the United States, the Fifth Amendment has been interpreted to prohibit a jury from drawing a negative inference based on the defendant's invocation of his right not to testify, and the jury must be so instructed if the defendant requests. Lord Devlin in The Judge said: "It can also be argued that two prejudiced searchers starting from opposite ends of the field will between them be less likely to miss anything than the impartial searcher starting at the middle." Comparisons with the inquisitorial approach There are many differences in the way cases are reviewed. It is questionable that the results would be different if cases were conducted under the differing approaches; in fact no statistics exist that can show whether or not these systems would come to the same results. However, these approaches are often a matter of national pride and there are opinions amongst jurists about the merits of the differing approaches and their drawbacks as well. Proponents of the adversarial system often argue that the system is more fair and less prone to abuse than the inquisitional approach, because it allows less room for the state to be biased against the defendant. It also allows most private litigants to settle their disputes in an amicable manner through discovery and pre-trial settlements in which non-contested facts are agreed upon and not dealt with during the trial process. The discovery process can be abused as one party will not provide the evidence as for by the opposing party. In addition, adversarial procedure defenders argue that the inquisitorial court systems are overly institutionalized and removed from the average citizen. The common law trial lawyer has ample opportunity to uncover the truth in the courtroom. Most cases that go to trial are carefully prepared through a discovery process that aids in the review of evidence and testimony before it is presented to judge or jury. The lawyers involved have a very good idea of the scope of agreement and disagreement of the issues to present at trial which develops much in the same way as the role of investigative judges. Proponents of inquisitorial justice dispute these points. They point out that many cases in adversarial systems, and most cases in the United States, are actually resolved by plea bargain or settlement. Plea bargain as a system does not exist in an inquisitorial system. Many legal cases in adversarial systems, and most in the United States, do not go to trial, which may lead to injustice when the defendant has an unskilled or overworked attorney, which is likely to be the case when the defendant is poor. In addition, proponents of inquisitorial systems argue that the plea bargain system causes the participants in the system to act in perverse ways, in that it encourages prosecutors to bring charges far in excess of what is warranted and defendants to plead guilty even
(in 1901 it was only 4,556). The town's hot springs and mud baths are an important economic resource. The waters have a temperature of about . History The baths were known to the Romans as Aponi fons or Aquae Patavinae. A description of them is given in a letter to Theodoric, the king of the Ostrogoths, from Cassiodorus. Some remains of the ancient baths have been discovered (S. Mandruzzato, Trattato dei Bagni d'Abano, Padua, 1789). An oracle of Geryon lay near, and the so-called sortes Praenestinae (C.I.L. i., Berlin, 1863; 1438–1454), small bronze cylinders inscribed, and used as oracles, were perhaps found here in the 16th century. The baths were destroyed by the Lombards in the 6th century, but they were rebuilt and enlarged when Abano became an autonomous comune in the 12th century and, again, in the late 14th century. The city was under the Republic of Venice from 1405 to 1797. Main sights Abano Cathedral, or the cathedral (duomo) of St. Lawrence. The current edifice was erected in 1780 over a pre-existing church which was allegedly destroyed by Cangrande della Scala. The bell tower has parts from the 9th/10th and 14th centuries. The Montirone Gallery, housing works of Il
Abano Bagni until 1924) is a town and comune in the province of Padua, in the Veneto region, Italy, on the eastern slope of the Colli Euganei; it is southwest by rail from Padua. Abano Terme's population is 19,062 (2001) (in 1901 it was only 4,556). The town's hot springs and mud baths are an important economic resource. The waters have a temperature of about . History The baths were known to the Romans as Aponi fons or Aquae Patavinae. A description of them is given in a letter to Theodoric, the king of the Ostrogoths, from Cassiodorus. Some remains of the ancient baths have been discovered (S. Mandruzzato, Trattato dei Bagni d'Abano, Padua, 1789). An oracle of Geryon lay near, and the so-called sortes Praenestinae (C.I.L. i., Berlin, 1863; 1438–1454), small bronze cylinders inscribed, and used as oracles, were perhaps found here in the 16th century. The baths were destroyed by the Lombards in the 6th
round the letters so as to leave the letters or ornament in relief. References
those portions which are sunk beneath the surface, as in inscriptions where the ground is sunk
people with the surname include: Antonio Abati (died 1667), Italian poet Baldo Angelo Abati (sixteenth century), Italian naturalist Joaquín Abati (1865–1936), Spanish writer Joël Abati (born 1970), French handball player Megliore degli Abati (thirteenth century), Italian poet Niccolò dell'Abbate (1509 or
used by an ancient noble family of Florence. Notable people with the surname include: Antonio Abati (died 1667), Italian poet Baldo Angelo Abati (sixteenth century), Italian naturalist Joaquín Abati (1865–1936), Spanish writer Joël Abati (born 1970), French handball player Megliore degli Abati (thirteenth century), Italian poet Niccolò dell'Abbate (1509
languages it is known as zaseka, a position behind sharpened objects. History There is evidence it was used as early as the Roman Imperial period, and as recently as the American Civil War and the Anglo-Zulu War of 1879. A classic use of an abatis was at the Battle of Carillon (1758) during the Seven Years' War. The 3,600 French troops defeated a massive army of 16,000 British and Colonial troops by fronting their defensive positions with an extremely dense abatis. The British found the defences almost impossible to breach and were forced to withdraw with some 2,600 casualties. Other uses of an abatis can be found at the Battle of the Chateauguay, 26 October 1813, when approximately 1,300 Canadian Voltigeurs, under the command of Charles-Michel de Salaberry, defeated an American corps of approximately 4,000 men, or at the Battle of Plattsburgh. Construction An important weakness of abatis, in contrast to barbed wire, is that it can be destroyed by
4,000 men, or at the Battle of Plattsburgh. Construction An important weakness of abatis, in contrast to barbed wire, is that it can be destroyed by fire. Also, if laced together with rope instead of wire, the rope can be very quickly destroyed by such fires, after which the abatis can be quickly pulled apart by grappling hooks thrown from a safe distance. An important advantage is that an improvised abatis can be quickly formed in forested areas. This can be done by simply cutting down a row of trees so that they fall with their tops toward the enemy. An alternative is to place explosives so as to blow the trees down. Modern use Abatis are rarely seen nowadays, having been largely replaced by wire obstacles. However, it may be used as a replacement or supplement when barbed wire is in short supply. A form of giant abatis, using whole trees instead of branches, can be used as an improvised anti-tank obstacle. Though rarely used by modern conventional military units, abatises are still officially maintained in United States Army and Marine Corps training. Current US training instructs engineers or other constructors of such obstacles to fell trees, leaving a stump, in such a manner as the trees fall interlocked pointing at a 45-degree angle
with notes on the geography, geology, archaeology, and natural history of the region. Antoine became involved in various controversies relating both to his geographical results and his political intrigues. He was especially attacked by Charles Tilstone Beke, who impugned his veracity, especially with reference to the journey to Kana. But time and the investigations of subsequent explorers have shown that Abbadie was quite trustworthy as to his facts, though wrong in his assertion — hotly contested by Beke — that the Blue Nile was the main stream. The topographical results of his explorations were published in Paris between 1860 and 1873 in Géodésie d'Éthiopie, full of the most valuable information and illustrated by ten maps. Of the Géographie de l'Éthiopie (Paris, 1890) only one volume was published. In Un Catalogue raisonné de manuscrits éthiopiens (Paris, 1859) is a description of 234 Ethiopian manuscripts collected by Antoine. He also compiled various vocabularies, including a Dictionnaire de la langue amariñña (Paris, 1881), and prepared an edition of the Shepherd of Hermas, with the Latin version, in 1860. He published numerous papers dealing with the geography of Ethiopia, Ethiopian coins and ancient inscriptions. Under the title of Reconnaissances magnétiques he published in 1890 an account of the magnetic observations made by him in the course of several journeys to the Red Sea and the Levant. The general account of the travels of the two brothers was published by Arnaud in 1868 under the title of Douze ans dans la Haute Ethiopie. Antoine was responsible for streamlining techniques in geodesy, along with inventing a new theodolite for measuring angles. Basque and bascophile Basque through his father, Abbadie developed a particular interest in the Basque Language after meeting Prince Louis Lucien Bonaparte in London. He started his academic work on Basque in 1852. A speaker of both Souletin and Lapurdian, a resident of Lapurdi, Abbadie considered himself a Basque from Soule. The popularity of the motto Zazpiak Bat
half a million stars within fifty years. Science and explorations In 1835 the French Academy sent Antoine on a scientific mission to Brazil, the results being published at a later date (1873) under the title of Observations relatives à la physique du globe faites au Brésil et en Éthiopie. In 1837, the two brothers started for Ethiopia, landing at Massawa in February 1838. They journeyed throughout Ethiopia, travelling as far south as the Kingdom of Kaffa, sometimes together and sometimes separately. In addition to his studies in the sciences, he delved into the political fray exerting influence in favour of France and the Catholic missionaries. The two brothers returned to France in 1848 with notes on the geography, geology, archaeology, and natural history of the region. Antoine became involved in various controversies relating both to his geographical results and his political intrigues. He was especially attacked by Charles Tilstone Beke, who impugned his veracity, especially with reference to the journey to Kana. But time and the investigations of subsequent explorers have shown that Abbadie was quite trustworthy as to his facts, though wrong in his assertion — hotly contested by Beke — that the Blue Nile was the main stream. The topographical results of his explorations were published in Paris between 1860 and 1873 in Géodésie d'Éthiopie, full of the most valuable information and illustrated by ten maps. Of the Géographie de l'Éthiopie (Paris, 1890) only one volume was published. In Un Catalogue raisonné de manuscrits éthiopiens (Paris, 1859) is a description of 234 Ethiopian manuscripts collected by Antoine. He also compiled various vocabularies, including a Dictionnaire de la langue amariñña (Paris, 1881), and prepared an edition of the Shepherd of Hermas, with the Latin version, in 1860. He published numerous papers dealing with the geography of Ethiopia, Ethiopian coins and ancient inscriptions. Under
the study of philosophy and science before due maturity in age and in rabbinical knowledge. On a Sabbath in September, 1304, the letter was to be read before the congregation, when Jacob Machir Don Profiat Tibbon, the renowned astronomical and mathematical writer, entered his protest against such unlawful interference by the Barcelona rabbis, and a schism ensued. Twenty-eight members signed Abba Mari's letter of approval; the others, under Tibbon's leadership, addressed another letter to Ben Adret, rebuking him and his colleagues for condemning a whole community without knowledge of the local conditions. Finally, the agitation for and against the liberal ideas brought about a schism in the entire Jewish population in southern France and Spain. Encouraged, however, by letters signed by the rabbis of Argentière and Lunel, and particularly by the support of Kalonymus ben Todros, the nasi of Narbonne, and of the eminent Talmudist Asheri of Toledo, Ben Adret issued a decree, signed by thirty-three rabbis of Barcelona, excommunicating those who should, within the next fifty years, study physics or metaphysics before their thirtieth year of age (basing his action on the principle laid down by Maimonides, Guide for the Perplexed part one chapter 34), and had the order promulgated in the synagogue on Sabbath, July 26, 1305. When this heresy-decree, to be made effective, was forwarded to other congregations for approval, the friends of liberal thought, under the leadership of the Tibbonites, issued a counter-ban, and the conflict threatened to assume a serious character, as blind party zeal (this time on the liberal side) did not shrink from asking the civil powers to intervene. But an unlooked-for calamity brought the warfare to an end. The expulsion of the Jews from France by Philip IV ("the Fair"), in, caused the Jews of Montpellier to take refuge, partly in Provence, partly in Perpignan and partly in Majorca. Consequently, Abba Mari removed first to Arles, and, within the same year, to Perpignan, where he finally settled and disappeared from public view. There he published his correspondence with Ben Adret and his colleagues. Minchat Kenaot Abba Mari collected the correspondence and added to each letter a few explanatory notes. Of this collection, called Minchat Kenaot, several manuscript copies survive (at Oxford; Paris; Günzburg Libr., Saint Petersburg; Parma; Ramsgate Montefiore College Library; and Turin). Some of these are mere fragments. The printed edition (Presburg, 1838), prepared by M. L. Bislichis, contains: (1) Preface; (2) a treatise of eighteen chapters on the incorporeality of God; (3) correspondence; (4) a treatise, called Sefer ha-Yarḥi, included also in letter 58; (5) a defense of The Guide and its author by Shem-Tob Palquera. As the three cardinal doctrines of Judaism, Abba Mari accentuates: (1) Recognition of God's existence and of His absolute sovereignty, eternity, unity, and incorporeality, as taught in revelation, especially in the Ten Commandments; (2) the world's creation by Him out of nothing, as evidenced particularly by the Sabbath; (3) special Divine providence, as manifested in the Biblical miracles. In the preface, Abba Mari explains his object in collecting the correspondence; and in the treatise which follows he shows that the study of philosophy, useful in itself as a help toward the acquisition of the knowledge of God, requires great caution, lest we be misled by the Aristotelian philosophy or its false interpretation, as regards the principles of creatio ex nihilo and divine individual providence. The manuscripts include twelve letters which are not included in the printed edition of Minḥat Ḳenaot. The correspondence refers mainly to the proposed restriction of the study of the Aristotelian philosophy. Casually, other theological questions are discussed. For example, letters 1, 5, and 8 contain a discussion on the question, whether the use of a piece of metal with the figure of a lion, as a talisman, is permitted by Jewish law for medicinal purposes, or is prohibited as idolatrous. In letter 131, Abba Mari mourns the death of Ben Adret, and in letter 132 he sends words of sympathy to the congregation of Perpignan, on the death of Don
of the works of Maimonides, threatened the authority of the Old Testament, obedience to the law, and the belief in miracles and revelation. He therefore, in a series of letters (afterwards collected under the title Minhat Kenaot, i.e., "Offering of Zealotry") called upon the famous rabbi Solomon ben Aderet of Barcelona to come to the aid of orthodoxy. Ben Aderet, with the approval of other prominent Spanish rabbis, sent a letter to the community at Montpellier proposing to forbid the study of philosophy to those who were less than twenty-five years of age, and, in spite of keen opposition from the liberal section, a decree in this sense was issued by Ben Aderet in 1305. The result was a great schism among the Jews of Spain and southern France, and a new impulse was given to the study of philosophy by the unauthorized interference of the Spanish rabbis. Upon the expulsion of the Jews from France by Philip IV in 1306, Abba Mari settled at Perpignan, where he published the letters connected with the controversy. His subsequent history is unknown. Beside the letters, he was the author of liturgical poetry and works on civil law. Defender of Law and Tradition Leader of the opposition to the rationalism of the Maimonists in the Montpellier controversy of 1303–1306; born at Lunel—hence his name, Yarḥi (from Yeraḥ = Moon = Lune). He was a descendant of Meshullam ben Jacob of Lunel, one of whose five sons was Joseph, the grandfather of Abba Mari, who, like his son Moses, the father of Abba Mari, was highly respected for both his rabbinical learning and his general erudition. Abba Mari moved to Montpellier, where, to his chagrin, he found the study of rabbinical lore greatly neglected by the young, who devoted all of their time and zeal to science and philosophy. The rationalistic method pursued by the new school of Maimonists (including Levi ben Abraham ben Chayyim of Villefranche, near the town of Perpignan, and Jacob Anatolio) especially provoked his indignation; for the sermons preached and the works published by them seemed to resolve the entire Scriptures into allegory and threatened to undermine the Jewish faith and the observance of the Law and tradition. He was not without some philosophical training. He mentions even with reverence the name of Maimonides, whose work he possessed and studied; but he was more inclined toward the mysticism of Nachmanides. Above all, he was a thorough believer in revelation and in a divine providence, and was a sincere, law-observing follower of rabbinical Judaism. He would not allow Aristotle, "the searcher after God among the heathen," to be ranked with Moses. Opponent of Rationalism Abba Mari possessed considerable Talmudic knowledge and some poetical talent; but his zeal for the Law made him an agitator and a persecutor of all the advocates of liberal thought. Being himself without sufficient authority, he appealed in a number of letters, afterward published under the title of Minḥat Ḳenaot (Jealousy Offering), to Solomon ben Adret of Barcelona, the most influential rabbi of the time, to use his powerful authority to check the source of evil by hurling his anathema against both the study of philosophy and the allegorical interpretations of the Bible, which did away with all belief in miracles. Ben Adret, while reluctant to interfere in the affairs of other congregations, was in perfect accord with Abba Mari as to the danger of the new rationalistic systems, and advised him to organize the conservative forces in defense of the Law. Abba Mari, through Ben Adret's aid, obtained allies eager to take up his cause, among whom were Don Bonafoux Vidal of Barcelona and his brother, Don Crescas Vidal, then in Perpignan. The proposition of the latter to prohibit, under penalty of excommunication, the study of philosophy and any of the sciences except medicine, by one under thirty years of age, met with the approval of Ben Adret. Accordingly, Ben Adret addressed to the congregation of Montpellier a letter, signed by fifteen other rabbis, proposing to issue a decree pronouncing the anathema against all those who should pursue the study of philosophy and science before due maturity in age and in rabbinical knowledge. On a Sabbath in September, 1304, the letter was to be read before the congregation, when Jacob Machir Don Profiat Tibbon, the renowned astronomical and
his ailing prime minister with an Egyptian nationalist. At Cromer's behest, Lord Rosebery, the British foreign secretary, sent Abbas II a letter stating that the Khedive was obliged to consult the British consul on such issues as cabinet appointments. In January 1894 Abbas II made an inspection tour of Sudanese and Egyptian frontier troops stationed near the southern border, the Mahdists being at the time still in control of the Sudan. At Wadi Halfa the Khedive made public remarks disparaging the Egyptian army units commanded by British officers. The British commander of the Egyptian army, Sir Herbert Kitchener, immediately threatened to resign. Kitchener further insisted on the dismissal of a nationalist under-secretary of war appointed by Abbas II and that an apology be made for the Khedive's criticism of the army and its officers. By 1899 he had come to accept British counsels. Also in 1899, British diplomat Alfred Mitchell-Innes was appointed Under-Secretary of State for Finance in Egypt, and in 1900 Abbas II paid a second visit to Britain, during which he said he thought the British had done good work in Egypt, and declared himself ready to cooperate with the British officials administering Egypt and Sudan. He gave his formal approval for the establishment of a sound system of justice for Egyptian nationals, a significant reduction in taxation, increased affordable and sound education, the inauguration of the substantial irrigation works such as the Aswan Low Dam and the Assiut Barrage, and the reconquest of Sudan. He displayed more interest in agriculture than in statecraft. His farm of cattle and horses at Qubbah, near Cairo, was a model for agricultural science in Egypt, and he created a similar establishment at Muntazah, just east of downtown Alexandria. He married the Princess Ikbal Hanem and had several children. Muhammad Abdul Moneim, the heir-apparent, was born on 20 February 1899. Although Abbas II no longer publicly opposed the British, he secretly created, supported and sustained the Egyptian nationalist movement, which came to be led by Mustafa Kamil. He also funded the anti-British newspaper Al-Mu'ayyad. As Kamil's thrust was increasingly aimed at winning popular support for a nationalist political party, Khedive Abbas publicly distanced himself from the Nationalists. Their demand for a constitutional government in 1906 was rebuffed by Abbas II, and the following year he formed the National Party, led by Mustafa Kamil Pasha, to counter the Ummah Party of the Egyptian moderates. However, in general, he had no real political power. When the Egyptian Army was sent to fight Abd al-Rahman al-Mahdi in Sudan in 1896, he only found out about it because the Austro-Hungarian Archduke Francis Ferdinand was in Egypt and told him after being informed of it by a British Army officer. His relations with Cromer's successor, Sir Eldon Gorst, however, were excellent, and they co-operated in appointing the cabinets headed by Butrus Ghali in 1908 and Muhammad Sa'id in 1910 and in checking the power of the National Party. The appointment of Kitchener to succeed Gorst in 1912 displeased Abbas II, and relations between the Khedive and the British deteriorated. Kitchener, who exiled or imprisoned the leaders of the National Party, often complained about "that wicked little Khedive" and wanted to depose him. On 25 July 1914, at the onset of World War I, Abbas II was in Constantinople and was wounded in his hands and cheeks during a failed assassination attempt. On 5 November 1914 when Great Britain declared war on Turkey, he was accused of deserting Egypt by not promptly returning home. The British also believed that he was plotting against their rule, as he had attempted to appeal
Britain, during which he said he thought the British had done good work in Egypt, and declared himself ready to cooperate with the British officials administering Egypt and Sudan. He gave his formal approval for the establishment of a sound system of justice for Egyptian nationals, a significant reduction in taxation, increased affordable and sound education, the inauguration of the substantial irrigation works such as the Aswan Low Dam and the Assiut Barrage, and the reconquest of Sudan. He displayed more interest in agriculture than in statecraft. His farm of cattle and horses at Qubbah, near Cairo, was a model for agricultural science in Egypt, and he created a similar establishment at Muntazah, just east of downtown Alexandria. He married the Princess Ikbal Hanem and had several children. Muhammad Abdul Moneim, the heir-apparent, was born on 20 February 1899. Although Abbas II no longer publicly opposed the British, he secretly created, supported and sustained the Egyptian nationalist movement, which came to be led by Mustafa Kamil. He also funded the anti-British newspaper Al-Mu'ayyad. As Kamil's thrust was increasingly aimed at winning popular support for a nationalist political party, Khedive Abbas publicly distanced himself from the Nationalists. Their demand for a constitutional government in 1906 was rebuffed by Abbas II, and the following year he formed the National Party, led by Mustafa Kamil Pasha, to counter the Ummah Party of the Egyptian moderates. However, in general, he had no real political power. When the Egyptian Army was sent to fight Abd al-Rahman al-Mahdi in Sudan in 1896, he only found out about it because the Austro-Hungarian Archduke Francis Ferdinand was in Egypt and told him after being informed of it by a British Army officer. His relations with Cromer's successor, Sir Eldon Gorst, however, were excellent, and they co-operated in appointing the cabinets headed by Butrus Ghali in 1908 and Muhammad Sa'id in 1910 and in checking the power of the National Party. The appointment of Kitchener to succeed Gorst in 1912 displeased Abbas II, and relations between the Khedive and the British deteriorated. Kitchener, who exiled or imprisoned the leaders of the National Party, often complained about "that wicked little Khedive" and wanted to depose him. On 25 July 1914, at the onset of World War I, Abbas II was in Constantinople and was wounded in his hands and cheeks during a failed assassination attempt. On 5 November 1914 when Great Britain declared war on Turkey, he was accused of deserting Egypt by not promptly returning home. The British also believed that he was plotting against their rule, as he had attempted to appeal to Egyptians and Sudanese to support the Central Powers against the British. So when the Ottoman Empire joined the Central Powers in World War I, the United Kingdom declared Egypt a Sultanate under British protection on 18 December 1914 and deposed Abbas II. During the war, Abbas II supported the Ottomans, including leading an attack on the Suez Canal. He was replaced by the British by his uncle Hussein Kamel from 1914 to 1917, with the title of Sultan of Egypt. Hussein Kamel issued a series of restrictive orders to strip Abbas II of property in Egypt and Sudan and forbade contributions to him. These also barred Abbas from entering Egyptian territory and stripped him of the right to sue in Egyptian courts. This did not prevent his progeny, however, from exercising their rights. Abbas
in conformity with the 1813 Treaty of Gulistan and the 1828 Treaty of Turkmenchay, following the outcomes of the 1804–1813 and 1826–1828 wars. Biography Abbas Mirza was born on August 20, 1789 in Nava, Mazandaran. He was a younger son of Fath Ali Shah, but on account of his mother's royal birth was destined by his father to succeed him. Considered the favorite son by his father, he was named governor (beglarbeg) of the Azerbaijan region of Persia, in approximately 1798, when he was 10 years old. In 1801, three years after Agha Mohammad Khan's death, the Russians capitalized on the moment, and annexed Kartli-Kakheti. As (Eastern) Georgia had been under intermittent Iranian suzerainty since the early 16th century, this act by the Russians was seen as intrusion into Iranian territory. In 1804, eager to take the rest of Iran's territories, the Russian army led by general Pavel Tsitsianov, besieged, captured and sacked the city of Ganja, thereby initiating the Russo-Persian War (1804–13). Fath-Ali Shah appointed Abbas Mirza as commander of the expeditionary force of 30,000 men. His aid was eagerly solicited by both England and Napoleon, anxious to checkmate one another in the East, especially as Persia bordered a common rival, namely Imperial Russia. Preferring the friendship of France, Abbas Mirza continued the war against Russia's young General Kotlyarevsky, aged only twenty-nine but his new ally could give him very little assistance. The early stages of the war following Fath Ali Shah's orders to invade and regain Georgia and the northern parts of the contemporary Azerbaijani Republic ended up in years of relatively territorial stale warfare. However, as Prof. Alexander Mikaberidze adds, Abbas Mirza led the army in an overall disastrous campaign against the Russians, suffering defeats at Gyumri, Kalagiri, the Zagam River (1805), Karakapet (1806), Karababa (1808), Ganja (1809), Meghri, the Aras River, and Akhalkalaki (1810). The tide started to decisively turn as Russia was sending more and more advanced weaponry and increasing numbers of soldiers. Commanding the southernmost Russian divisions during the long war, Kotlyarevsky defeated the numerically superior Persian army in the Battle of Aslanduz (1812) and in early 1813 stormed and took Lankaran. The Russians were encamped on the opposite bank of River Aras when his two British advisers Capt Christie and Lt Pottinger told him to post sentry pickets in short order, but Mirza ignored the warnings. Christie and other British officers tried to rally an army retreating in panic; for days the Russians launched fierce assaults, but at last Christie fell, and Mirza ordered a full retreat. Complacency cost 10,000 Persian lives; Mirza believing wrongly in the weight of superior numbers. In spite of the absence of leadership, The Persians at Lenkoran held out for weeks until, breaking through, the Russians slaughtered the
and regain Georgia and the northern parts of the contemporary Azerbaijani Republic ended up in years of relatively territorial stale warfare. However, as Prof. Alexander Mikaberidze adds, Abbas Mirza led the army in an overall disastrous campaign against the Russians, suffering defeats at Gyumri, Kalagiri, the Zagam River (1805), Karakapet (1806), Karababa (1808), Ganja (1809), Meghri, the Aras River, and Akhalkalaki (1810). The tide started to decisively turn as Russia was sending more and more advanced weaponry and increasing numbers of soldiers. Commanding the southernmost Russian divisions during the long war, Kotlyarevsky defeated the numerically superior Persian army in the Battle of Aslanduz (1812) and in early 1813 stormed and took Lankaran. The Russians were encamped on the opposite bank of River Aras when his two British advisers Capt Christie and Lt Pottinger told him to post sentry pickets in short order, but Mirza ignored the warnings. Christie and other British officers tried to rally an army retreating in panic; for days the Russians launched fierce assaults, but at last Christie fell, and Mirza ordered a full retreat. Complacency cost 10,000 Persian lives; Mirza believing wrongly in the weight of superior numbers. In spite of the absence of leadership, The Persians at Lenkoran held out for weeks until, breaking through, the Russians slaughtered the garrison of 4,000 officers and men. In October 1813, with Abbas Mirza still commander-in-chief, Persia was compelled to make a severely disadvantageous peace known as the Treaty of Gulistan, irrevocably ceding swaths of its territory in the Caucasus, comprising present-day Georgia, Dagestan, and most of what most recently became the Republic of Azerbaijan. The only promise the Shah received in return was a lukewarm guarantee the Mirza would succeed to his throne, without let or hindrance. Persia's dire losses attracted the attention of the British Empire; following the reversal of initial successes, the Russians now posed a serious threat from the Caucasus. The drastic losses suffered by his forces made him realize that he needed to train Persia's military in the European style of war, and he started sending his students to Europe for military training. By introducing European-style regiments, Abbas Mirza believed it would enable Iran to gain the upper hand over Russia and to reclaim its lost territories. Influenced by Sultan Selim III's reforms, Abbas Mirza set out to create an Iranian version of the Ottoman Nizam-ı Cedid, and reduce the Qajar dependence on tribal and provincial forces. In 1811 and 1815, two groups were sent to Britain, and in 1812 a printing press was finished in Tabriz as a means to reproduce European military handbooks. Tabriz also saw a gunpowder factory and a munitions depot. The training continued with constant
of the Lady Frances Howard against Robert Devereux, 3rd Earl of Essex, and again in 1618 when, at Croydon, he forbade the reading of the Declaration of Sports listing the permitted Sunday recreations. He was naturally, therefore, a promoter of the match between the king's daughter, Princess Elizabeth, and Frederick V, Elector Palatine, and a firm opponent of the projected marriage of the new Prince of Wales (later Charles I) and the Spanish Infanta, Maria Anna. This policy brought upon the archbishop the hatred of William Laud (with whom he had previously come into collision at Oxford) and the king's court, although the King himself never forsook Abbot. In July 1621, while hunting in Lord Zouch's park at Bramshill in Hampshire, a bolt from his cross-bow aimed at a deer happened to strike one of the keepers, who died within an hour, and Abbot was so greatly distressed by the event that he fell into a state of settled melancholia. His enemies maintained that the fatal issue of this accident disqualified him for his office, and argued that, though the homicide was involuntary, the sport of hunting which had led to it was one in which no clerical person could lawfully indulge. The King had to refer the matter to a commission of ten, though he said that "an angel might have miscarried after this sort." The commission was equally divided, and the King gave a casting vote in the Archbishop's favour, though signing also a formal pardon or dispensation. Gustavus Paine notes that Abbot was both the "only translator of the 1611 Bible and the only Archbishop of Canterbury ever to kill a human being." After this the Archbishop seldom appeared at the council, chiefly on account of his infirmities. In 1625 he attended the King constantly, however, in his last illness, and performed the ceremony of the coronation of King Charles I as king of England. His refusal to license the assize sermon preached by Dr Robert Sibthorp at Northampton on 22 February 1627, in which cheerful obedience was urged to the king's demand for a general loan, and the duty proclaimed of absolute non-resistance even to the most arbitrary royal commands, led Charles to deprive him of his functions as primate, putting them in commission. The need of summoning parliament, however, soon brought about a nominal restoration of the Archbishop's powers. His presence being unwelcome at court, he lived from that time in retirement, leaving Laud and his party in undisputed ascendancy. He died at Croydon on 4 August 1633, and was buried at Guildford, his native place, where he had endowed Abbot's Hospital with lands to the value of £300 a year. Legacy Abbot was a conscientious prelate, though narrow in view and often harsh towards both separatists and Roman Catholics. He wrote a large number of works, the most interesting being his discursive Exposition on the Prophet Jonah (1600), which was
that, though the homicide was involuntary, the sport of hunting which had led to it was one in which no clerical person could lawfully indulge. The King had to refer the matter to a commission of ten, though he said that "an angel might have miscarried after this sort." The commission was equally divided, and the King gave a casting vote in the Archbishop's favour, though signing also a formal pardon or dispensation. Gustavus Paine notes that Abbot was both the "only translator of the 1611 Bible and the only Archbishop of Canterbury ever to kill a human being." After this the Archbishop seldom appeared at the council, chiefly on account of his infirmities. In 1625 he attended the King constantly, however, in his last illness, and performed the ceremony of the coronation of King Charles I as king of England. His refusal to license the assize sermon preached by Dr Robert Sibthorp at Northampton on 22 February 1627, in which cheerful obedience was urged to the king's demand for a general loan, and the duty proclaimed of absolute non-resistance even to the most arbitrary royal commands, led Charles to deprive him of his functions as primate, putting them in commission. The need of summoning parliament, however, soon brought about a nominal restoration of the Archbishop's powers. His presence being unwelcome at court, he lived from that time in retirement, leaving Laud and his party in undisputed ascendancy. He died at Croydon on 4 August 1633, and was buried at Guildford, his native place, where he had endowed Abbot's Hospital with lands to the value of £300 a year. Legacy Abbot was a conscientious prelate, though narrow in view and often harsh towards both separatists and Roman Catholics. He wrote a large number of works, the most interesting being his discursive Exposition on the Prophet Jonah (1600), which was reprinted in 1845. His Geography, or a Brief Description of the Whole World (1599), passed through numerous editions. The newest edition, edited by the current Master of the Abbot's Hospital, was published by Goldenford Publishers Ltd on 20 June 2011, to commemorate the 400th anniversary of his enthronement as Archbishop of Canterbury. Guildford remembers the Archbishop with his hospital, a statue in the High Street, a pub and also a secondary school (George Abbot School) named after him. His tomb can be seen in Holy Trinity Church. The best account of Abbot is in Samuel Rawson Gardiner's History of England. Notes References External links 1562 births 1633 deaths People from Guildford 17th-century Anglican archbishops People educated at Royal Grammar School, Guildford Alumni of Balliol College, Oxford Archbishops of Canterbury Bishops of London Bishops of Lichfield Chancellors of the University of Dublin English translators Vice-Chancellors of the University of Oxford Masters of University College, Oxford Translators of the King James Version 17th-century English Anglican priests English diplomats Scottish Episcopal Church Deans of Winchester Burials in Surrey English male
Microsoft Advertising, announced that Windows 8, the major release of the Microsoft Windows operating system, would provide built-in methods for software authors to use advertising support as a business model. The idea had been considered since as early as 2005. Most editions of Windows 10 include adware by default. Software as a service Support by advertising is a popular business model of software as a service (SaaS) on the Web. Notable examples include the email service Gmail and other Google Workspace products (previously called Google Apps and G Suite), and the social network Facebook. Microsoft has also adopted the advertising-supported model for many of its social software SaaS offerings. The Microsoft Office Live service was also available in an advertising-supported mode. Definition of Spyware, Consent, and Ethics In the view of Federal Trade Commission staff, there appears to be general agreement that software should be considered "spyware" only if it is downloaded or installed on a computer without the user's knowledge and consent. However, unresolved issues remain concerning how, what, and when consumers need to be told about software installed on their computers. For instance, distributors often disclose in an end-user license agreement that there is additional software bundled with primary software, but some participants did not view such disclosure as sufficient to infer consent. Much of the discussion on the topic involves the idea of informed consent, the assumption being that this standard eliminates any ethical issues with any given software's behavior. However, if a majority of important software, websites and devices were to adopt similar behavior and only the standard of informed consent is used, then logically a user's only recourse against that behavior would become not using a computer. The contract would become an ultimatum - agree or be ostracized from the modern world. This is a form of psychological coercion and presents an ethical problem with using implied or inferred consent as a standard. There are notable similarities between this situation and binding arbitration clauses which have become inevitable in contracts in the United States. Furthermore, certain forms and strategies of advertising have been shown to lead to psychological harm, especially in children. One example is childhood eating disorders - several studies have reported a positive association between exposure to beauty and fashion magazines and an increased level of weight concerns or eating disorder symptoms in girls. Malware The term adware is frequently used to describe a form of malware (malicious software) which presents unwanted advertisements to the user of a computer. The advertisements produced by adware are sometimes in the form of a pop-up, sometimes in an "unclosable window", and sometimes injected into web pages. When the term is used in this way, the severity of its implication varies. While some sources rate adware only as an "irritant", others classify it as an "online threat" or even rate it as seriously as computer viruses and trojans. The precise definition of the term in this context also varies. Adware that observes the computer user's activities without their consent and reports it to the software's author is called spyware. Adwares may collect personal information of the user, causing privacy concerns. However, most adware operates legally and some adware manufacturers have even sued antivirus companies for blocking adware. Programs have been developed to detect, quarantine, and remove advertisement-displaying malware,
with Special Offers" that display advertisements on the home page and in sleep mode in exchange for substantially lower pricing. In 2012, Microsoft and its advertising division, Microsoft Advertising, announced that Windows 8, the major release of the Microsoft Windows operating system, would provide built-in methods for software authors to use advertising support as a business model. The idea had been considered since as early as 2005. Most editions of Windows 10 include adware by default. Software as a service Support by advertising is a popular business model of software as a service (SaaS) on the Web. Notable examples include the email service Gmail and other Google Workspace products (previously called Google Apps and G Suite), and the social network Facebook. Microsoft has also adopted the advertising-supported model for many of its social software SaaS offerings. The Microsoft Office Live service was also available in an advertising-supported mode. Definition of Spyware, Consent, and Ethics In the view of Federal Trade Commission staff, there appears to be general agreement that software should be considered "spyware" only if it is downloaded or installed on a computer without the user's knowledge and consent. However, unresolved issues remain concerning how, what, and when consumers need to be told about software installed on their computers. For instance, distributors often disclose in an end-user license agreement that there is additional software bundled with primary software, but some participants did not view such disclosure as sufficient to infer consent. Much of the discussion on the topic involves the idea of informed consent, the assumption being that this standard eliminates any ethical issues with any given software's behavior. However, if a majority of important software, websites and devices were to adopt similar behavior and only the standard of informed consent is used, then logically a user's only recourse against that behavior would become not using a computer. The contract would become an ultimatum - agree or be ostracized from the modern world. This is a form of psychological coercion and presents an ethical problem with using implied or inferred consent as a standard. There are notable similarities between this situation and binding arbitration
ruled, or he made the men grow up out of the earth. Ovid, on the other hand, supposed that the island was not uninhabited at the time of the birth of Aeacus, instead stating that during the reign of Aeacus, Hera, jealous of Aegina, ravaged the island bearing the name of the latter by sending a plague or a fearful dragon into it, by which nearly all its inhabitants were carried off. Afterward, Zeus restored the population by changing the ants into men. These legends seem to be a mythical account of the colonization of Aegina, which seems to have been originally inhabited by Pelasgians, and afterwards received colonists from Phthiotis, the seat of the Myrmidons, and from Phlius on the Asopus. While he reigned in Aegina, Aeacus was renowned in all Greece for his justice and piety, and was frequently called upon to settle disputes not only among men, but even among the gods themselves. He was such a favourite with the latter, that when Greece was visited by a drought as a consequence of a murder that had been committed, the oracle of Delphi declared that the calamity would not cease unless Aeacus prayed to the gods to end it. Aeacus prayed, and as a result, the drought ceased. Aeacus then demonstrated his gratitude by erecting a temple to Zeus Panhellenius on Mount Panhellenion, and afterward, the Aeginetans built a sanctuary on their island called Aeaceum, which was a square temple enclosed by walls of white marble. Aeacus was believed in later times to be buried under the altar of this sacred enclosure. Later adventures A legend preserved in Pindar relates that Apollo and Poseidon took Aeacus as their assistant in building the walls of Troy. When the work was completed, three dragons rushed against the wall, and though the two that attacked the sections of the wall built by the gods fell down dead, the third forced its way into the city through the portion of the wall built by Aeacus. Thereafter, Apollo prophesied that Troy would fall at the hands of Aeacus's descendants, the Aeacidae (i.e. his sons Telamon and Peleus joined Heracles when he sieged the city during Laomedon's rule. Later, his great grandson Neoptolemus was present in the wooden horse). Aeacus was also believed by the Aeginetans to have surrounded their island with high cliffs in order to protect it against pirates. Several other incidents connected to the story of Aeacus are mentioned by Ovid. By Endeïs Aeacus had two sons, Telamon (father of Ajax and Teucer) and Peleus (father of Achilles), and by Psamathe a son, Phocus, whom he preferred to the former two sons, both of whom conspired to kill Phocus during a contest, and then subsequently fled from their native island. In the afterlife After his death, Aeacus became one of the three judges in Hades (along with the Cretan brothers Rhadamanthus and Minos) and, according to Plato, was specifically concerned with the shades of Europeans upon their arrival to the underworld. In works of art he was depicted bearing a sceptre and the keys of Hades. Aeacus had sanctuaries in both Athens and in Aegina, and the Aeginetans
of Locris. Aeacus' sons Peleus and Telamon were jealous of Phocus and killed him. When Aeacus learned about the murder, he exiled Peleus and Telamon. Some traditions related that, at the time when Aeacus was born, Aegina was not yet inhabited, and that Zeus either changed the ants (μύρμηκες) of the island into the men (Myrmidons) over whom Aeacus ruled, or he made the men grow up out of the earth. Ovid, on the other hand, supposed that the island was not uninhabited at the time of the birth of Aeacus, instead stating that during the reign of Aeacus, Hera, jealous of Aegina, ravaged the island bearing the name of the latter by sending a plague or a fearful dragon into it, by which nearly all its inhabitants were carried off. Afterward, Zeus restored the population by changing the ants into men. These legends seem to be a mythical account of the colonization of Aegina, which seems to have been originally inhabited by Pelasgians, and afterwards received colonists from Phthiotis, the seat of the Myrmidons, and from Phlius on the Asopus. While he reigned in Aegina, Aeacus was renowned in all Greece for his justice and piety, and was frequently called upon to settle disputes not only among men, but even among the gods themselves. He was such a favourite with the latter, that when Greece was visited by a drought as a consequence of a murder that had been committed, the oracle of Delphi declared that the calamity would not cease unless Aeacus prayed to the gods to end it. Aeacus prayed, and as a result, the drought ceased. Aeacus then demonstrated his gratitude by erecting a temple to Zeus Panhellenius on Mount Panhellenion, and afterward, the Aeginetans built a sanctuary on their island called Aeaceum, which was a square temple enclosed by walls of white marble. Aeacus was believed in later times to be buried under the altar of this sacred enclosure. Later adventures A legend preserved in Pindar relates that Apollo and Poseidon took Aeacus as their assistant in building the walls of Troy. When the work was completed, three dragons rushed against the wall, and though the two that attacked the sections of the wall built by the gods fell down dead, the third forced its way into the city through the portion of the wall built by Aeacus. Thereafter, Apollo prophesied that Troy would fall at the hands of Aeacus's descendants, the Aeacidae (i.e. his sons Telamon and Peleus joined Heracles when he sieged the city during Laomedon's rule. Later, his great grandson Neoptolemus was present in the wooden horse). Aeacus was also believed by the Aeginetans
nearby, leading through Aequum Tuticum to Luceria and through Trivicum to Herdoniae respectively. The road from Aeclanum to Abellinum (modern Atripalda, near Avellino) may also follow an ancient line. Today there are ruins of the city walls, of an aqueduct, baths and an amphitheatre; nearly 400 inscriptions have also been discovered. Excavation has revealed a long history of pre-Roman settlement. History Aeclanum was a town of the Hirpini, although it was never mentioned during the Samnite wars. Sulla captured it in 89 BC by setting on fire the wooden breastwork by which it was defended, and sacked it. It quickly recovered, new fortifications were erected, and it became a municipium. Hadrian, who repaired the Via Appia from Beneventum to this point, made it a colonia (colony). With the Lombard invasion of Italy, in the 6th century AD, it was annexed to the Duchy of Benevento, but was captured and destroyed by Eastern Roman forces under Constans II in 663 and never recovered, being reduced to a small hamlet known as Quintodecimo, a name that referred
Beneventum, on the Via Appia. It lies in Passo di Mirabella, near the modern Mirabella Eclano. It is now an archaeological park. Location Aeclanum was on a promontory naturally defended, to some extent, by a steep slope on the south side down to the river Calore, while the north side lay open towards the crest of the ridge that where the Via Appia ran. This led through Lacus Ampsanctus to Aquilonia and Venusia. Two other routes to Apulia, the and , diverged nearby, leading through Aequum Tuticum to Luceria and through Trivicum to Herdoniae respectively. The road from Aeclanum to Abellinum (modern Atripalda, near Avellino) may also follow an ancient line. Today there are ruins of the city walls, of an aqueduct, baths and an amphitheatre; nearly 400 inscriptions have also been discovered. Excavation has revealed a long history of pre-Roman settlement. History Aeclanum was a town of the Hirpini, although it was never mentioned during the Samnite wars. Sulla captured it in 89 BC by setting on fire the wooden breastwork by which it
he differed from Iamblichus on certain points connected with theurgy and magic. After the death of his master, the school of Syria was dispersed and Aedesius seems to have modified his doctrines out of fear of Constantine II, and took refuge in divination. An oracle in hexameter verse represented a pastoral life as his only retreat, but his disciples, perhaps calming his fears by a metaphorical interpretation, compelled him to resume his instructions. School of philosophy at Pergamon Aedesius founded a school of philosophy at Pergamon, which emphasized theurgy
Roman emperor Julian. After the accession of the latter to the imperial purple he invited Aedesius to continue his instructions, but the declining strength of the sage being unequal to the task, two of his most learned disciples, Chrysanthius and the aforementioned Eusebius, were by his own desire appointed to supply his place. His co-teacher and perhaps consort at the Pergamon school was the female philosopher and mystic, Sosipatra. None of his writings have survived, but there is an extant biography by Eunapius, a Greek sophist and historian of the 4th century who wrote a
frame figures from sacred history in initial letters of illuminated manuscripts. Renaissance aediculae Classicizing architectonic structure and décor all'antica, in the "ancient [Roman] mode", became a fashionable way to frame a painted or bas-relief portrait, or protect an expensive and precious mirror during the High Renaissance; Italian precedents were imitated in France, then in Spain, England and Germany during the later 16th century. Post-Renaissance classicism Aedicular door surrounds that are architecturally treated, with pilasters or columns flanking the doorway and an entablature even with a pediment over it came into use with the 16th century. In the neo-Palladian revival in Britain, architectonic aedicular or tabernacle frames, carved and gilded, are favourite schemes for English Palladian mirror frames of the late 1720s through the 1740s, by such designers as William Kent. Other aediculae Similar small shrines, called naiskoi, are found in Greek religion, but their use was strictly religious. Aediculae exist today in Roman cemeteries as a part of funeral architecture. Presently the most famous aedicule is situated inside the Church of the Holy Sepulchre in city of Jerusalem. Contemporary American architect Charles Moore (1925–1993) used the concept of aediculae in his work to create spaces within spaces and to evoke the spiritual significance of the home. See also Portico Notes References Bibliography Adkins, Lesley & Adkins, Roy A. (1996). Dictionary of Roman Religion. Facts on File, inc. . External links Conservation glossary ´ Ancient Roman
the 4th century Christianization of the Roman Empire onwards such shrines, or the framework enclosing them, are often called by the Biblical term tabernacle, which becomes extended to any elaborated framework for a niche, window or picture. Gothic aediculae In Gothic architecture, too, an aedicula or tabernacle frame is a structural framing device that gives importance to its contents, whether an inscribed plaque, a cult object, a bust or the like, by assuming the tectonic vocabulary of a little building that sets it apart from the wall against which it is placed. A tabernacle frame on a wall serves similar hieratic functions as a free-standing, three-dimensional architectural baldaquin or a ciborium over an altar. In Late Gothic settings, altarpieces and devotional images were customarily crowned with gables and canopies supported by clustered-column piers, echoing in small the architecture of Gothic churches. Painted aediculae frame figures from sacred history in initial letters of illuminated manuscripts. Renaissance aediculae Classicizing architectonic structure and décor all'antica, in the "ancient [Roman] mode", became a fashionable way to frame a painted or bas-relief portrait, or protect an expensive and precious mirror during the High Renaissance; Italian precedents were imitated in France, then in Spain, England and Germany during the later 16th century. Post-Renaissance classicism Aedicular door surrounds that are architecturally treated, with pilasters or columns flanking the doorway and an entablature even with a pediment over it came into use with the 16th century. In the neo-Palladian revival in Britain, architectonic aedicular or tabernacle frames, carved and gilded, are favourite schemes for English Palladian mirror frames of the late 1720s
an appeal to the senate for help; but his mission was unsuccessful. After his arrival in Gaul in 58 BC, Caesar restored the independence of the Aedui. In spite of this, they subsequently joined the Gallic coalition against Caesar (B. G. vii. 42), but after the surrender of Vercingetorix at the Battle of Alesia, the Aedui gladly returned to their allegiance. Augustus dismantled their capital, Bibracte, on Mont Beuvray, and constructed a new town with a half-Roman, half-Gaulish name, Augustodunum (modern Autun). In AD 21, during the reign of Tiberius, the Aedui revolted under Julius Sacrovir, and seized Augustodunum, but they were soon put down by Gaius Silius (Tacitus Ann. iii. 43–46). The Aedui were the first of the Gauls to receive from the emperor Claudius the distinction of jus honorum, thus being the first Gauls permitted to become senators. Until Claudius (41–54 AD), the Aedui were the first northern Gallic people to send senators to Rome. The oration of Eumenius, in which he pleaded for the restoration of the schools of his native Augustodunum, suggests that the district was then neglected. The chief magistrate of the Aedui in Caesar's time was called the Vergobretus (according to Mommsen, "judgment-worker"). He was elected annually, and possessed powers of life and death, but was forbidden to go beyond the frontiers of his territory. Certain clientes, or small communities, were also dependent upon the Aedui. It is possible that the Aedui adopted many of the governmental practices of the Romans, such as electing magistrates and other officials, although it may have been a natural development in their political system. It is thought that other Celtic tribes, such as the Remi and the Baiocasses, also elected their leaders. Religion The Temple of Janus was located just outside the Aedian town of Augustodunum. It probably
the Romans and were honoured with the title of brothers and kinsmen of the Roman people. When the Sequani, their traditional rivals, defeated and massacred the Aedui at the Battle of Magetobriga in 63 BC, with the assistance of the Germanic chieftain Ariovistus, the Aedui sent the druid Diviciacus to Rome with an appeal to the senate for help; but his mission was unsuccessful. After his arrival in Gaul in 58 BC, Caesar restored the independence of the Aedui. In spite of this, they subsequently joined the Gallic coalition against Caesar (B. G. vii. 42), but after the surrender of Vercingetorix at the Battle of Alesia, the Aedui gladly returned to their allegiance. Augustus dismantled their capital, Bibracte, on Mont Beuvray, and constructed a new town with a half-Roman, half-Gaulish name, Augustodunum (modern Autun). In AD 21, during the reign of Tiberius, the Aedui revolted under Julius Sacrovir, and seized Augustodunum, but they were soon put down by Gaius Silius (Tacitus Ann. iii. 43–46). The Aedui were the first of the Gauls to receive from the emperor Claudius the distinction of jus honorum, thus being the first Gauls permitted to become senators. Until Claudius (41–54 AD), the Aedui were the first northern Gallic people to send senators to Rome. The oration of Eumenius, in which he pleaded for the restoration of the schools of his native Augustodunum, suggests that the district was then neglected. The chief magistrate of the Aedui in Caesar's time was called the Vergobretus (according to Mommsen, "judgment-worker"). He was elected annually, and possessed powers of life and death, but was forbidden to go beyond the frontiers of his territory. Certain clientes, or small communities, were also dependent upon the Aedui. It is possible that the Aedui adopted many of the governmental practices of the Romans, such as electing magistrates and other officials, although it may have been a natural development in their political system. It is thought that other Celtic tribes, such as the Remi and the Baiocasses, also elected their leaders. Religion The Temple of Janus was located just outside the Aedian town of Augustodunum. It probably dates back to the second half of the 1st century AD. At the end of the La Tène period, religious convergences occurred between the Aedui and the neighbouring Lingones and Sequani in the Saône-Doubs area, as evidenced by the similarity in the practices at the sanctuaries of Nuits-Saint-Georges (Aedui), Mirebeau-sur-Bèze (Lingones) and
purposes the archipelago constitutes the comune of Favignana in the Province of Trapani. The overall population in 2017 was 4,292. Winter frost is unknown and rainfall is low. The main occupation of the islanders is fishing, and the largest tuna fishery in Sicily is there. History There is evidence of Neolithic and even Paleolithic paintings in caves on Levanzo, and to a lesser extent on Favignana. The islands were the scene of the battle of the Aegates of 241 BC, in which the Carthaginian fleet was defeated by
of Neolithic and even Paleolithic paintings in caves on Levanzo, and to a lesser extent on Favignana. The islands were the scene of the battle of the Aegates of 241 BC, in which the Carthaginian fleet was defeated by the Roman fleet led by Lutatius Catulus; the engagement ended the First Punic War. After the end of Western Roman power in the first millennium AD, the islands, to the extent that they were governed at all, were part
"Treasury of Atreus" had borne silent witness for ages before Heinrich Schliemann's time; but they were supposed only to speak to the Homeric, or, at farthest, a rude Heroic beginning of purely Hellenic civilization. It was not until Schliemann exposed the contents of the graves which lay just inside the gate, that scholars recognized the advanced stage of art which prehistoric dwellers in the Mycenaean citadel had attained. There had been, however, a good deal of other evidence available before 1876, which, had it been collated and seriously studied, might have discounted the sensation that the discovery of the citadel graves eventually made. Although it was recognized that certain tributaries, represented for example, in the XVIIIth Dynasty tomb of Rekhmara at Egyptian Thebes as bearing vases of peculiar forms, were of some Mediterranean race, neither their precise habitat nor the degree of their civilization could be determined while so few actual prehistoric remains were known in the Mediterranean lands. Nor did the Aegean objects which were lying obscurely in museums in 1870, or thereabouts, provide a sufficient test of the real basis underlying the Hellenic myths of the Argolid, the Troad and Crete, to cause these to be taken seriously. Aegean vases have been exhibited both at Sèvres and Neuchatel since about 1840, the provenance (i.e. source or origin) being in the one case Phylakope in Melos, in the other Cephalonia. Ludwig Ross, the German archaeologist appointed Curator of the Antiquities of Athens at the time of the establishment of the Kingdom of Greece, by his explorations in the Greek islands from 1835 onwards, called attention to certain early intaglios, since known as Inselsteine; but it was not until 1878 that C. T. Newton demonstrated these to be no strayed Phoenician products. In 1866 primitive structures were discovered on the island of Therasia by quarrymen extracting pozzolana, a siliceous volcanic ash, for the Suez Canal works. When this discovery was followed up in 1870, on the neighbouring Santorini (Thera), by representatives of the French School at Athens, much pottery of a class now known immediately to precede the typical late Aegean ware, and many stone and metal objects, were found. These were dated by the geologist Ferdinand A. Fouqué, somewhat arbitrarily, to 2000 BC, by consideration of the superincumbent eruptive stratum. Meanwhile, in 1868, tombs at Ialysus in Rhodes had yielded to Alfred Biliotti many fine painted vases of styles which were called later the third and fourth "Mycenaean"; but these, bought by John Ruskin, and presented to the British Museum, excited less attention than they deserved, being supposed to be of some local Asiatic fabric of uncertain date. Nor was a connection immediately detected between them and the objects found four years later in a tomb at Menidi in Attica and a rock-cut "bee-hive" grave near the Argive Heraeum. Even Schliemann's first excavations at Hissarlik in the Troad did not excite surprise. But the "Burnt City" of his second stratum, revealed in 1873, with its fortifications and vases, and a hoard of gold, silver and bronze objects, which the discoverer connected with it, began to arouse a curiosity which was destined presently to spread far outside the narrow circle of scholars. As soon as Schliemann came on the Mycenae graves three years later, light poured from all sides on the prehistoric period of Greece. It was recognized that the character of both the fabric and the decoration of the Mycenaean objects was not that of any well-known art. A wide range in space was proved by the identification of the Inselsteine and the Ialysus vases with the new style, and a wide range in time by collation of the earlier Theraean and Hissarlik discoveries. A relationship between objects of art described by Homer and the Mycenaean treasure was generally allowed, and a correct opinion prevailed that, while certainly posterior, the civilization of the Iliad was reminiscent of the Mycenaean. Schliemann got to work again at Hissarlik in 1878, and greatly increased our knowledge of the lower strata, but did not recognize the Aegean remains in his "Lydian" city of the sixth stratum. These were not to be fully revealed until Dr. Wilhelm Dorpfeld, who had become Schliemann's assistant in 1879, resumed the work at Hissarlik in 1892 after the first explorer's death. But by laying bare in 1884 the upper stratum of remains on the rock of Tiryns, Schliemann made a contribution to our knowledge of prehistoric domestic life which was amplified two years later by Christos Tsountas's discovery of the palace at Mycenae. Schliemann's work at Tiryns was not resumed till 1905, when it was proved, as had long been suspected, that an earlier palace underlies the one he had exposed. From 1886 dates the finding of Mycenaean sepulchres outside the Argolid, from which, and from the continuation of Tsountas's exploration of the buildings and lesser graves at Mycenae, a large treasure, independent of Schliemann's princely gift, has been gathered into the National Museum at Athens. In that year tholos-tombs, most already pillaged but retaining some of their furniture, were excavated at Arkina and Eleusis in Attica, at Dimini near Volos in Thessaly, at Kampos on the west of Mount Taygetus, and at Maskarata in Cephalonia. The richest grave of all was explored at Vaphio in Laconia in 1889, and yielded, besides many gems and miscellaneous goldsmiths' work, two golden goblets chased with scenes of bull-hunting, and certain broken vases painted in a large bold style which remained an enigma until the excavation of Knossos. In 1890 and 1893, Staes cleared out certain less rich tholos-tombs at Thoricus in Attica; and other graves, either rock-cut "bee-hives" or chambers, were found at Spata and Aphidna in Attica, in Aegina and Salamis, at the Argive Heraeum and Nauplia in the Argolid, near Thebes and Delphi, and not far from the Thessalian Larissa. During the Acropolis excavations in Athens, which terminated in 1888, many potsherds of the Mycenaean style were found; but Olympia had yielded either none, or such as had not been recognized before being thrown away, and the temple site at Delphi produced nothing distinctively Aegean (in dating). The American explorations of the Argive Heraeum, concluded in 1895, also failed to prove that site to have been important in the prehistoric time, though, as was to be expected from its neighbourhood to Mycenae itself, there were traces of occupation in the later Aegean periods. Prehistoric research had now begun to extend beyond the Greek mainland. Certain central Aegean islands, Antiparos, Ios, Amorgos, Syros and Siphnos, were all found to be singularly rich in evidence of the Middle-Aegean period. The series of Syran-built graves, containing crouching corpses, is the best and most representative that is known in the Aegean. Melos, long marked as a source of early objects but not systematically excavated until taken in hand by the British School at Athens in 1896, yielded at Phylakope remains of all the Aegean periods, except the Neolithic. A map of Cyprus in the later Bronze Age (such as is given by J. L. Myres and M. O. Richter in Catalogue of the Cyprus Museum) shows more than 25 settlements in and about the Mesaorea district alone, of which one, that at Enkomi, near the site of Salamis, has yielded the richest Aegean treasure in precious metal found outside Mycenae. E. Chantre in 1894 picked up lustreless ware, like that of Hissariik, in central Phtygia and at Pteria, and the English archaeological expeditions, sent subsequently into north-western Anatolia, have never failed to bring back ceramic specimens of Aegean appearance from the valleys of the Rhyndncus,
proved by the distribution of Melian obsidian over all the Aegean area. Cretan vessels appeared to be exported to Melos, Egypt and the Greek mainland. In particular, Melian vases, eventually, found their way to Crete. After 1600 BC, there was very close commerce with Egypt, and Aegean goods found their way to all coasts of the Mediterranean. No traces of currency have come to light, excluding certain axeheads, too slight for practical use, had that character. Standard weights have been found, as well as representations of ingots. The Aegean written documents have not yet proved (by being found outside the area) to be epistolary (letter writing) correspondence with other countries. Representations of ships are not common, but several have been observed on Aegean gems, gem-sealings, frying pans and vases. These vases are of low free-board, with masts and oars. Familiarity with the sea is proved by the free use of marine motifs in decoration. The most detailed illustrations are to be found on the 'ship fresco' at Akrotiri on the island of Thera (Santorini) preserved by the ash fall from the volcanic eruption which destroyed the town there. Discoveries, later in the 20th century, of sunken trading vessels such as those at Uluburun and Cape Gelidonya off the south coast of Turkey have brought forth an enormous amount of new information about that culture. Evidence For details of monumental evidence the articles on Crete, Mycenae, Tiryns, Troad, Cyprus, etc., must be consulted. The most representative site explored up to now is Knossos (see Crete) which has yielded not only the most various but the most continuous evidence from the Neolithic age to the twilight of classical civilization. Next in importance come Hissarlik, Mycenae, Phaestus, Hagia Triada, Tiryns, Phylakope, Palaikastro and Gournia. Internal evidence Structures: Ruins of palaces, palatial villas, houses, built dome- or cist-graves and fortifications (Aegean islands, Greek mainland and northwestern Anatolia), but not distinct temples; small shrines, however, and temene (religious enclosures, remains of one of which were probably found at Petsofa near Palaikastro by J. L. Myres in 1904) are represented on intaglios and frescoes. From the sources and from inlay-work we have also representations of palaces and houses. Structural decoration: Architectural features, such as columns, friezes and various mouldings; mural decoration, such as fresco-paintings, coloured reliefs and mosaic inlay. Roof tiles were also occasionally employed, as at early Helladic Lerna and Akovitika, and later in the Mycenaean towns of Gla and Midea. Furniture: (a) Domestic furniture, such as vessels of all sorts and in many materials, from huge store jars down to tiny unguent pots; culinary and other implements; thrones, seats, tables, etc., these all in stone or plastered terracotta. (b) Sacred furniture, such as models or actual examples of ritual objects; of these we have also numerous pictorial representations. (c) Funerary furniture, for example, coffins in painted terracotta. Art products: for example, plastic objects, carved in stone or ivory, cast or beaten in metals (gold, silver, copper and bronze), or modelled in clay, faience, paste, etc. Very little trace has yet been found of large free-standing sculpture, but many examples exist of sculptors' smaller work. Vases of all kinds, carved in marble or other stones, cast or beaten in metals or fashioned in clay, the latter in enormous number and variety, richly ornamented with coloured schemes, and sometimes bearing moulded decoration. Examples of painting on stone, opaque and transparent. Engraved objects in great number for example, ring-bezels and gems; and an immense quantity of clay impressions, taken from these. Weapons, tools and implements: In stone, clay and bronze, and at the last iron, sometimes richly ornamented or inlaid. Numerous representations also of the same. No actual body armour, except such as was ceremonial and buried with the dead, like the gold breastplates in the circle-graves at Mycenae or the full length body armour from Dendra. Articles of personal use: for example, brooches (fibulae), pins, razors, tweezers, etc., often found as dedications to a deity, for example, in the Dictaean Cavern of Crete. No textiles have survived other than impressions in clay. Written documents: for example, clay tablets and discs (so far in Crete only), but nothing of more perishable nature, such as skin, papyrus, etc.; engraved gems and gem impressions; legends written with pigment on pottery (rare); characters incised on stone or pottery. These show a number of systems of script employing either ideograms or syllabograms (see Linear B). Excavated tombs: Of either the pit, chamber or the tholos kind, in which the dead were laid, together with various objects of use and luxury, without cremation, and in either coffins or loculi or simple wrappings. Public works: Such as paved and stepped roadways, bridges, systems of drainage, etc. External evidence Monuments and records of other contemporary civilizations: for example, representations of alien peoples in Egyptian frescoes; imitation of Aegean fabrics and style in non-Aegean lands; allusions to Mediterranean peoples in Egyptian, Semitic or Babylonian records. Literary traditions of subsequent civilizations: Especially the Hellenic; such as, for example, those embodied in the Homeric poems, the legends concerning Crete, Mycenae, etc.; statements as to the origin of gods, cults and so forth, transmitted to us by Hellenic antiquarians such as Strabo, Pausanias, Diodorus Siculus, etc. Traces of customs, creeds, rituals, etc.: In the Aegean area at a later time, discordant with the civilization in which they were practiced and indicating survival from earlier systems. There are also possible linguistic and even physical survivals to be considered. Mycenae and Tiryns are the two principal sites on which evidence of a prehistoric civilization was remarked long ago by the ancient Greeks. Discovery The curtain-wall and towers of the Mycenaean citadel, its gate with heraldic lions, and the great "Treasury of Atreus" had borne silent witness for ages before Heinrich Schliemann's time; but they were supposed only to speak to the Homeric, or, at farthest, a rude Heroic beginning of purely Hellenic civilization. It was not until Schliemann exposed the contents of the graves which lay just inside the gate, that scholars recognized the advanced stage of art which prehistoric dwellers in the Mycenaean citadel had attained. There had been, however, a good deal of other evidence available before 1876, which, had it been collated and seriously studied, might have discounted the sensation that the discovery of the citadel graves eventually made. Although it was recognized that certain tributaries, represented for example, in the XVIIIth Dynasty tomb of Rekhmara at Egyptian Thebes as bearing vases of peculiar forms, were of some Mediterranean race, neither their precise habitat nor the degree of their civilization could be determined while
daughter of Hoples and his second wife was Chalciope, daughter of Rhexenor, neither of whom bore him any children. He was also credited to be the father of Medus by the witch Medea. In a rare account, Pallas was also said to be the son of Aegeus. Mythology Reign Aegeus was born in Megara where his father Pandion had settled after being expelled from Athens by the sons of Metion who seized the throne. After the death of Pandion, now king of Megara, Aegeus in conjunction with his three brothers successfully attacked Athens, took control over the government and expelled the usurpers, the Metionids. Then, they divide the power among themselves but Aegeus obtained the sovereignty of Attica, succeeding Pandion to the throne. It has been said that Megara was at the time a part of Attica, and that Nisus received his part when he became king of that city. Lycus became king of Euboea whereas Pallas received the southern part of the territory. Aegeus, being the eldest of the brothers, received what they all regarded as the best part: Athens. The division of the land was explained further in the following text by the geographer Strabo: ... when Attica was divided into four parts, Nisus obtained Megaris as his portion and founded Nisaea. Now, according to Philochorus, his rule extended from the Isthmus to the Pythium, but according to Andron, only as far as Eleusis and the Thriasian Plain. Although different writers have stated the division into four parts in different ways, it suffices to take the following from Sophocles: Aegeus says that his father ordered him to depart to the shorelands, assigning to him as the eldest the best portion of this land; then to Lycus he assigns Euboea's garden that lies side by side therewith; and for Nisus he selects the neighboring land of Sceiron's shore; and the southerly part of the land fell to this rugged Pallas, breeder of giants. Later on, Lycus was driven from the territory by Aegeus himself, and had to seek refuge in Arene, Messenia which was ruled by King Aphareus. Pallas and his fifty sons revolted at a later time, being crushed by Aegeus' son Theseus. Heirless King Still without a male heir with his previous marriages, Aegeus asked the oracle at Delphi for advice. According to Pausanias, Aegeus ascribed this misfortune to the anger of Aphrodite and in order to conciliate her introduced her worship as Aphrodite Urania (Heavenly) in Athens. The cryptic words of the oracle were "Do not loosen the bulging mouth of the wineskin until you have reached the height of Athens, lest you die of grief." Aegeus did not understand the prophecy and was disappointed. This puzzling oracle forced Aegeus to visit Pittheus, king of Troezen, who was famous for his wisdom and skill at expounding oracles. Pittheus understood the prophecy and introduced Aegeus to his daughter, Aethra, when Aegeus was drunk. They lay with each other, and then in some versions, Aethra waded to the island of Sphairia (a.k.a. Calauria) and bedded Poseidon. When Aethra became pregnant, Aegeus decided to return to Athens. Before leaving, he buried his sandal, shield, and sword under a huge rock and told her that, when their son grew up, he should move the rock and bring the weapons to his father, who would acknowledge him. Upon his return to Athens, Aegeus married Medea, who had fled from Corinth and the wrath of Jason. Aegeus and Medea had one son named Medus. When Theseus grew up, he found his father's belongings left for him and went to Athens to claim his birthright. Aegeus recognized him as his son by his sword, shield, and sandals. Medea, Aegeus' wife perceived Theseus to be a threat for her children's inheritance and first tried to discredit and then to poison Theseus. When Aegeus discovered these schemes, he drove Medea out of Athens. Conflict with Crete While visiting in Athens, King Minos' son, Androgeus managed to defeat Aegeus in every contest during the Panathenaic Games. Out of envy, Aegeus sent him to conquer the Marathonian Bull, which killed him. Minos was angry and declared war on Athens. He offered the Athenians peace, however, under the condition that Athens would send seven young men and seven young women every nine years to Crete to be fed to the Minotaur, a vicious monster. This continued until Theseus killed the Minotaur with the help of Ariadne, Minos' daughter. After his adventures in Crete, Theseus returned by ship to Athens. His father, Aegeus previously had asked him to hang a white sail as a sign that Theseus is alive, but Theseus neglected this request. When Aegeus saw Theseus' ships without a white sail, he assumed the worst and threw himself in his grief into the
the wife of Sciron. But, in some accounts, he was regarded as the son of Scyrius or Phemius and was not of the stock of the Erechtheids, since he was only an adopted son of Pandion. Aegeus' first wife was Meta, daughter of Hoples and his second wife was Chalciope, daughter of Rhexenor, neither of whom bore him any children. He was also credited to be the father of Medus by the witch Medea. In a rare account, Pallas was also said to be the son of Aegeus. Mythology Reign Aegeus was born in Megara where his father Pandion had settled after being expelled from Athens by the sons of Metion who seized the throne. After the death of Pandion, now king of Megara, Aegeus in conjunction with his three brothers successfully attacked Athens, took control over the government and expelled the usurpers, the Metionids. Then, they divide the power among themselves but Aegeus obtained the sovereignty of Attica, succeeding Pandion to the throne. It has been said that Megara was at the time a part of Attica, and that Nisus received his part when he became king of that city. Lycus became king of Euboea whereas Pallas received the southern part of the territory. Aegeus, being the eldest of the brothers, received what they all regarded as the best part: Athens. The division of the land was explained further in the following text by the geographer Strabo: ... when Attica was divided into four parts, Nisus obtained Megaris as his portion and founded Nisaea. Now, according to Philochorus, his rule extended from the Isthmus to the Pythium, but according to Andron, only as far as Eleusis and the Thriasian Plain. Although different writers have stated the division into four parts in different ways, it suffices to take the following from Sophocles: Aegeus says that his father ordered him to depart to the shorelands, assigning to him as the eldest the best portion of this land; then to Lycus he assigns Euboea's garden that lies side by side therewith; and for Nisus he selects the neighboring land of Sceiron's shore; and the southerly part of the land fell to this rugged Pallas, breeder of giants. Later on, Lycus was driven from the territory by Aegeus himself, and had to seek refuge in Arene, Messenia which was ruled by King Aphareus. Pallas and his fifty sons revolted at a later time, being crushed by Aegeus' son Theseus. Heirless King Still without a male heir with his previous marriages, Aegeus asked the oracle at Delphi for advice. According to Pausanias, Aegeus ascribed this misfortune to the anger of Aphrodite and in order to conciliate her introduced her
remained ineffective. During the first winter of the Peloponnesian War (431 BC) Athens expelled the Aeginetans and established a cleruchy in their island. The exiles were settled by Sparta in Thyreatis, on the frontiers of Laconia and Argolis. Even in their new home they were not safe from Athenian rancour. A force commanded by Nicias landed in 424 BC, and killed most of them. At the end of the Peloponnesian War Lysander restored the scattered remnants of the old inhabitants to the island, which was used by the Spartans as a base for operations against Athens during the Corinthian War. Its greatness, however, was at an end. The part which it plays henceforward is insignificant. It would be a mistake to attribute the demise of Aegina solely to the development of the Athenian navy. It is probable that the power of Aegina had steadily declined during the twenty years after Salamis, and that it had declined absolutely, as well as relatively to that of Athens. Commerce was the source of Aegina's greatness, and her trade, which seems to have been principally with the Levant, must have suffered seriously from the war with Persia. Aegina's medism in 491 is to be explained by its commercial relations with the Persian Empire. It was forced into patriotism in spite of itself, and the glory won by the battle of Salamis was paid for by the loss of its trade and the decay of its marine. The completeness of the ruin of so powerful a state is explained by the economic conditions of the island, the prosperity of which was based on slave labour. It is impossible, indeed, to accept Aristotle's (cf. Athenaeus vi. 272) estimate of 470,000 as the number of the slave population; it is clear, however, that the number must have been much greater than that of the free inhabitants. In this respect the history of Aegina does but anticipate the history of Greece as a whole. The constitutional history of Aegina is unusually simple. So long as the island retained its independence the government was an oligarchy. There is no trace of heroic monarchy and no tradition of a tyrannis. The story of Nicodromus, while it proves the existence of a democratic party, suggests, at the same time, that it could count upon little support. Hellenistic period and Roman rule Aegina with the rest of Greece became dominated successively by the Macedonians (322–229 BC), the Achaeans (229–211 BC), Aetolians (211–210 BC), Attalus of Pergamum (210–133 BC) and the Romans (after 133 BC). A sign at the Archaeological Museum of Aegina is reported to say that a Jewish community is believed to have been established in Aegina "at the end of the second and during the 3rd century AD" by Jews fleeing the barbarian invasions of the time in Greece. However, the first phases of those invasions began in the 4th century. Local Christian tradition has it that a Christian community was established there in the 1st century, having as its bishop Crispus, the ruler of the Corinthian synagogue, who became a Christian, and was baptised by Paul the Apostle. There are written records of participation by later bishops of Aegina, Gabriel and Thomas, in the Councils of Constantinople in 869 and 879. The see was at first a suffragan of the metropolitan see of Corinth, but was later given the rank of archdiocese. No longer a residential bishopric, Aegina is today listed by the Catholic Church as a titular see. Byzantine period Aegina belonged to the East Roman (Byzantine) Empire after the division of the Roman Empire in 395. It remained Eastern Roman during the period of crisis of the 7th–8th centuries, when most of the Balkans and the Greek mainland were overrun by Slavic invasions. Indeed, according to the Chronicle of Monemvasia, the island served as a refuge for the Corinthians fleeing these incursions. The island flourished during the early 9th century, as evidenced by church construction activity, but suffered greatly from Arab raids originating from Crete. Various hagiographies record a large-scale raid , that resulted in the flight of much of the population to the Greek mainland. During that time, some of the population sought refuge in the island's hinterland, establishing the settlement of Palaia Chora. According to the 12th-century bishop of Athens, Michael Choniates, by his time the island had become a base for pirates. This is corroborated by Benedict of Peterborough's graphic account of Greece, as it was in 1191; he states that many of the islands were uninhabited for fear of pirates and that Aegina, along with Salamis and Makronisos, were their strongholds. Frankish rule after 1204 After the dissolution and partition of the Byzantine Empire by the Fourth Crusade in 1204, Aegina was accorded to the Republic of Venice. In the event, it became controlled by the Duchy of Athens. The Catalan Company seized control of Athens, and with it Aegina, in 1317, and in 1425 the island became controlled by the Venetians, when Alioto Caopena, at that time ruler of Aegina, placed himself by treaty under the Republic's protection to escape the danger of a Turkish raid. The island must then have been fruitful, for one of the conditions by which Venice accorded him protection was that he should supply grain to Venetian colonies. He agreed to surrender the island to Venice if his family became extinct. Antonio II Acciaioli opposed the treaty for one of his adopted daughters had married the future lord of Aegina, Antonello Caopena. Venetians in Aegina (1451–1537) In 1451, Aegina became Venetian. The islanders welcomed Venetian rule; the claims of Antonello's uncle Arnà, who had lands in Argolis, were satisfied by a pension. A Venetian governor (rettore) was appointed, who was dependent on the authorities of Nauplia. After Arnà's death, his son Alioto renewed his claim to the island but was told that the republic was resolved to keep it. He and his family were pensioned and one of them aided in the defence of Aegina against the Turks in 1537, was captured with his family, and died in a Turkish dungeon. In 1463 the Turco-Venetian war began, which was destined to cost the Venetians Negroponte (Euboea), the island of Lemnos, most of the Cyclades islands, Scudra and their colonies in the Morea. Peace was concluded in 1479. Venice still retained Aegina, Lepanto (Naupactus), Nauplia, Monemvasia, Modon, Navarino, Coron, and the islands Crete, Mykonos and Tinos. Aegina remained subject to Nauplia. Administration Aegina obtained money for its defences by reluctantly sacrificing its cherished relic, the head of St. George, which had been carried there from Livadia by the Catalans. In 1462, the Venetian Senate ordered the relic to be removed to St. Giorgio Maggiore in Venice and on 12 November, it was transported from Aegina by Vettore Cappello, the famous Venetian commander. In return, the Senate gave the Aeginetes 100 ducats apiece towards fortifying the island. In 1519, the government was reformed. The system of having two rectors was found to result in frequent quarrels and the republic thenceforth sent out a single official styled Bailie and Captain, assisted by two councillors, who performed the duties of camerlengo by turns. The Bailie's authority extended over the rector of Aegina, whereas Kastri (opposite the island Hydra) was granted to two families, the Palaiologoi and the Alberti. Society at Nauplia was divided into three classes: nobles, citizens and plebeians, and it was customary for nobles alone to possess the much-coveted local offices, such as the judge of the inferior court and inspector of weights and measures. The populace now demanded its share and the home government ordered that at least one of the three inspectors should be a non-noble. Aegina had always been exposed to the raids of corsairs and had oppressive governors during these last 30 years of Venetian rule. Venetian nobles were not willing to go to this island. In 1533, three rectors of Aegina were punished for their acts of injustice and there is a graphic account of the reception given by the Aeginetans to the captain of Nauplia, who came to command an enquiry into the administration of these delinquents (vid. inscription over the entrance of St. George the Catholic in Paliachora). The rectors had spurned their ancient right to elect an islander to keep one key of the money-chest. They had also threatened to leave the island en masse with the commissioner, unless the captain avenged their wrongs. To spare the economy of the community, it was ordered that appeals from the governor's decision should be made on Crete, instead of in Venice. The republic was to pay a bakshish to the Turkish governor of the Morea and to the voivode who was stationed at the frontier of Thermisi (opposite Hydra). The fortifications too, were allowed to become decrepit and were inadequately guarded. 16th century After the end of the Duchy of Athens and the principality of Achaia, the only Latin possessions left on the mainland of Greece were the papal city of Monemvasia, the fortress of Vonitsa, the Messenian stations Coron and Modon, Lepanto, Pteleon, Navarino, and the castles of Argos and Nauplia, to which the island of Aegina was subordinate. In 1502–03, the new peace treaty left Venice with nothing but Cephalonia, Monemvasia and Nauplia, with their appurtenances in the Morea. And against the sack of Megara, it had to endure the temporary capture of the castle of Aegina by Kemal Reis and the abduction of 2000 inhabitants. This treaty was renewed in 1513 and 1521. All supplies of grain from Nauplia and Monemvasia had to be imported from Turkish possessions, while corsairs rendered dangerous all traffic by sea. In 1537, sultan Suleiman declared war upon Venice and his admiral Hayreddin Barbarossa devastated much of the Ionian Islands, and in October invaded the island of Aegina. On the fourth day Palaiochora was captured, but the Latin church of St George was spared. Hayreddin Barbarossa had the adult male population massacred and took away 6,000 surviving women and children as slaves. Then Barbarossa sailed to Naxos, whence he carried off an immense booty, compelling the Duke of Naxos to purchase his further independence by paying a tribute of 5000 ducats. With the peace of 1540, Venice ceded Nauplia and Monemvasia. For nearly 150 years afterwards, Venice ruled no part of the mainland of Greece except Parga and Butrinto (subordinate politically to the Ionian Islands), but it still retained its insular dominions Cyprus, Crete, Tenos and six Ionian islands. First Ottoman period (1540–1687) The island was attacked and left desolate by Francesco Morosini during the Cretan War (1654). Second Venetian period (1687–1715) In 1684, the beginning of the Morean War between Venice and the Ottoman Empire resulted in the temporary reconquest of a large part of the country by the Republic. In 1687 the Venetian army arrived in Piraeus and captured Attica. The number of the Athenians at that time exceeded 6,000, the Albanians from the villages of Attica excluded, whilst in 1674 the population of Aegina did not seem to exceed 3,000 inhabitants, two thirds of which were women. The Aeginetans had been reduced to poverty to pay their taxes. The most significant plague epidemic began in Attica during 1688, an occasion that caused the massive migration of Athenians toward the south; most of them settled in Aegina. In 1693 Morosini resumed command, but his only acts were to refortify the castle of Aegina, which he had demolished during the Cretan war in 1655, the cost of upkeep being paid as long as the war lasted by the Athenians, and to place it and Salamis under Malipiero as Governor. This caused the Athenians to send him a request for the renewal of Venetian protection and an offer of an annual tribute. He died in 1694 and Zeno was appointed at his place. In 1699, thanks to English mediation, the war ended with the peace of Karlowitz by which Venice retained possession of the 7 Ionian islands as well as Butrinto and Parga, the Morea, Spinalonga and Suda, Tenos, Santa Maura and Aegina and ceased to pay a tribute for Zante, but which restored Lepanto to the Ottoman sultan. Cerigo and Aegina were united administratively since the peace with Morea, which not only paid all the expenses of administration but furnished a substantial balance for the naval defence of Venice, in which it was directly interested. Second Ottoman period (1715–1821) During the early part of the Ottoman–Venetian War of 1714–1718 the Ottoman Fleet commanded by Canum Hoca captured Aegina. Ottomans rule in Aegina and the Morea was resumed and confirmed by the Treaty of Passarowitz, and they retained control of the island with the exception of a brief Russian occupation Orlov Revolt (early 1770s), until the beginning of the Greek War of Independence in 1821. Greek Revolution During the Greek War of Independence, Aegina became an administrative centre for the Greek revolutionary authorities. Ioannis Kapodistrias was briefly established here. Landmarks Temple of Aphaea, dedicated to its namesake, a goddess who was later associated with Athena; the temple was part of a pre-Christian, equilateral holy triangle of temples including the Athenian Parthenon and the temple of Poseidon at Sounion. Monastery of Agios Nectarios, dedicated to Nectarios of Aegina, a recent saint of the Greek Orthodox Church. A statue in the principal square commemorates Ioannis Kapodistrias (1776–1831), the first administrator of free modern Greece. The Orphanage of Kapodistrias is a large building, known locally as The Prison (Οι Φυλακές, Oi Filakes), constructed in 1828-29 by Ioannis Kapodistrias as a home for children orphaned as a result of the Greek War of Independence. The building also housed schools, vocational workshops, the National Public Library, the National Archaeological Museum, a military academy, the National Printing Office and the National Conservatory for Choir and Orchestra. From about 1880 it was used as a prison, and housed political prisoners during the Greek Junta (1967-1974) - hence its local name. There are currently plans to restore the building as a museum. The Tower of Markellos was probably built during the second Venetian occupation, 1687–1714, as a watch tower in anticipation of a Turkish siege. A castle, fortified walls and numerous watchtowers were built at this time. The tower was abandoned after the Turkish occupation of 1714, until revolutionary leader Spyros Markellos bought the tower as his residence in around 1802. In 1826-28 it was the headquarters of the temporary government of the embryonic Greek state. It subsequently was used as a police headquarters and housed various government agencies until it was abandoned again in the mid 19th century. It is currently owned by the Municipality of Aegina. Temple of Zeus Hellanios, near the village of Pachia Rachi, is a 13th-century Byzantine church, built on the ruins of the ancient temple to Zeus Hellanios, built in the 4th century BC. The staircase leading up to the church, some of the original walls, and loose stones from the earlier temple remain. Economy Pistachios In 1896, the physician Nikolaos Peroglou introduced the systematic cultivation of pistachios, which soon became popular among the
vi. 272) estimate of 470,000 as the number of the slave population; it is clear, however, that the number must have been much greater than that of the free inhabitants. In this respect the history of Aegina does but anticipate the history of Greece as a whole. The constitutional history of Aegina is unusually simple. So long as the island retained its independence the government was an oligarchy. There is no trace of heroic monarchy and no tradition of a tyrannis. The story of Nicodromus, while it proves the existence of a democratic party, suggests, at the same time, that it could count upon little support. Hellenistic period and Roman rule Aegina with the rest of Greece became dominated successively by the Macedonians (322–229 BC), the Achaeans (229–211 BC), Aetolians (211–210 BC), Attalus of Pergamum (210–133 BC) and the Romans (after 133 BC). A sign at the Archaeological Museum of Aegina is reported to say that a Jewish community is believed to have been established in Aegina "at the end of the second and during the 3rd century AD" by Jews fleeing the barbarian invasions of the time in Greece. However, the first phases of those invasions began in the 4th century. Local Christian tradition has it that a Christian community was established there in the 1st century, having as its bishop Crispus, the ruler of the Corinthian synagogue, who became a Christian, and was baptised by Paul the Apostle. There are written records of participation by later bishops of Aegina, Gabriel and Thomas, in the Councils of Constantinople in 869 and 879. The see was at first a suffragan of the metropolitan see of Corinth, but was later given the rank of archdiocese. No longer a residential bishopric, Aegina is today listed by the Catholic Church as a titular see. Byzantine period Aegina belonged to the East Roman (Byzantine) Empire after the division of the Roman Empire in 395. It remained Eastern Roman during the period of crisis of the 7th–8th centuries, when most of the Balkans and the Greek mainland were overrun by Slavic invasions. Indeed, according to the Chronicle of Monemvasia, the island served as a refuge for the Corinthians fleeing these incursions. The island flourished during the early 9th century, as evidenced by church construction activity, but suffered greatly from Arab raids originating from Crete. Various hagiographies record a large-scale raid , that resulted in the flight of much of the population to the Greek mainland. During that time, some of the population sought refuge in the island's hinterland, establishing the settlement of Palaia Chora. According to the 12th-century bishop of Athens, Michael Choniates, by his time the island had become a base for pirates. This is corroborated by Benedict of Peterborough's graphic account of Greece, as it was in 1191; he states that many of the islands were uninhabited for fear of pirates and that Aegina, along with Salamis and Makronisos, were their strongholds. Frankish rule after 1204 After the dissolution and partition of the Byzantine Empire by the Fourth Crusade in 1204, Aegina was accorded to the Republic of Venice. In the event, it became controlled by the Duchy of Athens. The Catalan Company seized control of Athens, and with it Aegina, in 1317, and in 1425 the island became controlled by the Venetians, when Alioto Caopena, at that time ruler of Aegina, placed himself by treaty under the Republic's protection to escape the danger of a Turkish raid. The island must then have been fruitful, for one of the conditions by which Venice accorded him protection was that he should supply grain to Venetian colonies. He agreed to surrender the island to Venice if his family became extinct. Antonio II Acciaioli opposed the treaty for one of his adopted daughters had married the future lord of Aegina, Antonello Caopena. Venetians in Aegina (1451–1537) In 1451, Aegina became Venetian. The islanders welcomed Venetian rule; the claims of Antonello's uncle Arnà, who had lands in Argolis, were satisfied by a pension. A Venetian governor (rettore) was appointed, who was dependent on the authorities of Nauplia. After Arnà's death, his son Alioto renewed his claim to the island but was told that the republic was resolved to keep it. He and his family were pensioned and one of them aided in the defence of Aegina against the Turks in 1537, was captured with his family, and died in a Turkish dungeon. In 1463 the Turco-Venetian war began, which was destined to cost the Venetians Negroponte (Euboea), the island of Lemnos, most of the Cyclades islands, Scudra and their colonies in the Morea. Peace was concluded in 1479. Venice still retained Aegina, Lepanto (Naupactus), Nauplia, Monemvasia, Modon, Navarino, Coron, and the islands Crete, Mykonos and Tinos. Aegina remained subject to Nauplia. Administration Aegina obtained money for its defences by reluctantly sacrificing its cherished relic, the head of St. George, which had been carried there from Livadia by the Catalans. In 1462, the Venetian Senate ordered the relic to be removed to St. Giorgio Maggiore in Venice and on 12 November, it was transported from Aegina by Vettore Cappello, the famous Venetian commander. In return, the Senate gave the Aeginetes 100 ducats apiece towards fortifying the island. In 1519, the government was reformed. The system of having two rectors was found to result in frequent quarrels and the republic thenceforth sent out a single official styled Bailie and Captain, assisted by two councillors, who performed the duties of camerlengo by turns. The Bailie's authority extended over the rector of Aegina, whereas Kastri (opposite the island Hydra) was granted to two families, the Palaiologoi and the Alberti. Society at Nauplia was divided into three classes: nobles, citizens and plebeians, and it was customary for nobles alone to possess the much-coveted local offices, such as the judge of the inferior court and inspector of weights and measures. The populace now demanded its share and the home government ordered that at least one of the three inspectors should be a non-noble. Aegina had always been exposed to the raids of corsairs and had oppressive governors during these last 30 years of Venetian rule. Venetian nobles were not willing to go to this island. In 1533, three rectors of Aegina were punished for their acts of injustice and there is a graphic account of the reception given by the Aeginetans to the captain of Nauplia, who came to command an enquiry into the administration of these delinquents (vid. inscription over the entrance of St. George the Catholic in Paliachora). The rectors had spurned their ancient right to elect an islander to keep one key of the money-chest. They had also threatened to leave the island en masse with the commissioner, unless the captain avenged their wrongs. To spare the economy of the community, it was ordered that appeals from the governor's decision should be made on Crete, instead of in Venice. The republic was to pay a bakshish to the Turkish governor of the Morea and to the voivode who was stationed at the frontier of Thermisi (opposite Hydra). The fortifications too, were allowed to become decrepit and were inadequately guarded. 16th century After the end of the Duchy of Athens and the principality of Achaia, the only Latin possessions left on the mainland of Greece were the papal city of Monemvasia, the fortress of Vonitsa, the Messenian stations Coron and Modon, Lepanto, Pteleon, Navarino, and the castles of Argos and Nauplia, to which the island of Aegina was subordinate. In 1502–03, the new peace treaty left Venice with nothing but Cephalonia, Monemvasia and Nauplia, with their appurtenances in the Morea. And against the sack of Megara, it had to endure the temporary capture of the castle of Aegina by Kemal Reis and the abduction of 2000 inhabitants. This treaty was renewed in 1513 and 1521. All supplies of grain from Nauplia and Monemvasia had to be imported from Turkish possessions, while corsairs rendered dangerous all traffic by sea. In 1537, sultan Suleiman declared war upon Venice and his admiral Hayreddin Barbarossa devastated much of the Ionian Islands, and in October invaded the island of Aegina. On the fourth day Palaiochora was captured, but the Latin church of St George was spared. Hayreddin Barbarossa had the adult male population massacred and took away 6,000 surviving women and children as slaves. Then Barbarossa sailed to Naxos, whence he carried off an immense booty, compelling the Duke of Naxos to purchase his further independence by paying a tribute of 5000 ducats. With the peace of 1540, Venice ceded Nauplia and Monemvasia. For nearly 150 years afterwards, Venice ruled no part of the mainland of Greece except Parga and Butrinto (subordinate politically to the Ionian Islands), but it still retained its insular dominions Cyprus, Crete, Tenos and six Ionian islands. First Ottoman period (1540–1687) The island was attacked and left desolate by Francesco Morosini during the Cretan War (1654). Second Venetian period (1687–1715) In 1684, the beginning of the Morean War between Venice and the Ottoman Empire resulted in the temporary reconquest of a large part of the country by the Republic. In 1687 the Venetian army arrived in Piraeus and captured Attica. The number of the Athenians at that time exceeded 6,000, the Albanians from the villages of Attica excluded, whilst in 1674 the population of Aegina did not seem to exceed 3,000 inhabitants, two thirds of which were women. The Aeginetans had been reduced to poverty to pay their taxes. The most significant plague epidemic began in Attica during 1688, an occasion that caused the massive migration of Athenians toward the south; most of them settled in Aegina. In 1693 Morosini resumed command, but his only acts were to refortify the castle of Aegina, which he had demolished during the Cretan war in 1655, the cost of upkeep being paid as long as the war lasted by the Athenians, and to place it and Salamis under Malipiero as Governor. This caused the Athenians to send him a request for the renewal of Venetian protection and an offer of an annual tribute. He died in 1694 and Zeno was appointed at his place. In 1699, thanks to English mediation, the war ended with the peace of Karlowitz by which Venice retained possession of the 7 Ionian islands as well as Butrinto and Parga, the Morea, Spinalonga and Suda, Tenos, Santa Maura and Aegina and ceased to pay a tribute for Zante, but which restored Lepanto to the Ottoman sultan. Cerigo and Aegina were united administratively since the peace with Morea, which not only paid all the expenses of administration but furnished a substantial balance for the naval defence of Venice, in which it was directly interested. Second Ottoman period (1715–1821) During the early part of the Ottoman–Venetian War of 1714–1718 the Ottoman Fleet commanded by Canum Hoca captured Aegina. Ottomans rule in Aegina and the Morea was resumed and confirmed by the Treaty of Passarowitz, and they retained control of the island with the exception of a brief Russian occupation Orlov Revolt (early 1770s), until the beginning of the Greek War of Independence in 1821. Greek Revolution During the Greek War of Independence, Aegina became an administrative centre for the Greek revolutionary authorities. Ioannis Kapodistrias was briefly established here. Landmarks Temple of Aphaea, dedicated to its namesake, a goddess who was later associated with Athena; the temple was part of a pre-Christian, equilateral holy triangle of temples including the Athenian Parthenon and the temple of Poseidon at Sounion. Monastery of Agios Nectarios, dedicated to Nectarios of Aegina, a recent saint of the Greek Orthodox Church. A statue in the principal square commemorates Ioannis Kapodistrias (1776–1831), the first administrator of free modern Greece. The Orphanage of Kapodistrias is a large building, known locally as The Prison (Οι Φυλακές, Oi Filakes), constructed in 1828-29 by Ioannis Kapodistrias as a home for children orphaned as a result of the Greek War of Independence. The building also housed schools, vocational workshops, the National Public Library, the National Archaeological Museum, a military academy, the National Printing Office and the National Conservatory for Choir and Orchestra. From about 1880 it was used as a prison, and housed political prisoners during the Greek Junta (1967-1974) - hence its local name. There are currently plans to restore the building as a museum. The Tower of Markellos was probably built during the second Venetian occupation, 1687–1714, as a watch tower in anticipation of a Turkish siege. A castle, fortified walls and numerous watchtowers were built at this time. The tower was abandoned after the Turkish occupation of 1714, until revolutionary leader Spyros Markellos bought the tower as his residence in around 1802. In 1826-28 it was the headquarters of the temporary government of the embryonic Greek state. It subsequently was used as a police headquarters and housed various government agencies until it was abandoned again in the mid 19th century. It is currently owned by the Municipality of Aegina. Temple of Zeus Hellanios, near the village of Pachia Rachi, is a 13th-century Byzantine church, built on the ruins of the ancient temple to Zeus Hellanios, built in the 4th century BC. The staircase leading up to the church, some of the original walls, and loose stones from the earlier temple remain. Economy Pistachios In 1896, the physician Nikolaos Peroglou introduced the systematic cultivation of pistachios, which soon became popular among the inhabitants of the island. By 1950, pistachio cultivation had significantly displaced the rest of the agricultural activity due to its high profitability but also due to the phylloxera that threatened the vineyards that time. As a result, in the early 60s, the first pistachio peeling factory was established in the Plakakia area by Grigorios Konidaris. The quality of "Fistiki Aeginis" (Aegina Pistachios), a name that was established as a product of Protected Designation of Origin (PDO) in 1996, is considered internationally excellent and superior to several foreign varieties, due to the special climatic conditions of the island (drought) as well as soil's volcanic characteristics. Pistachios have made Aegina famous all over the world. Today, half of the pistachio growers are members of the Agricultural Cooperative of Aegina's Pistachio Producers. It is estimated that pistachio cultivation covers 29,000 acres of the island while the total production reaches 2,700 tons per year. In recent years, in mid-September, the Pistachio Festival has been organized every year under the name "Fistiki Fest". Culture Mythology In Greek mythology, Aegina was a daughter of the river god Asopus and the nymph Metope. She bore at least two children: Menoetius by Actor, and Aeacus by the god Zeus. When Zeus abducted Aegina, he took her to Oenone, an island close to Attica. Here, Aegina gave birth to Aeacus, who would later become king of Oenone; thenceforth, the island's name was Aegina. Aegina was the gathering place of Myrmidons; in Aegina they gathered and trained. Zeus needed an elite army and at first thought that Aegina, which at the time did not have any villagers, was a good place. So he changed some ants (, Myrmigia) into warriors who had six hands and wore black armour. Later, the Myrmidons, commanded by Achilles, were known as the most fearsome fighting unit in Greece. Famous Aeginetans Aeacus, the first king of Aegina according to mythology, in whose honour the Aeacea were celebrated Smilis (6th century BC), sculptor Onatas (5th century BC), sculptor Ptolichus (5th century
the aegis Athena wears in her angry moods—a fearsome thing with a surface of gold like scaly snake-skin, and the linked serpents and the Gorgon herself upon the goddess's breast—a severed head rolling its eyes", furnished with golden tassels and bearing the Gorgoneion (Medusa's head) in the central boss. Some of the Attic vase-painters retained an archaic tradition that the tassels had originally been serpents in their representations of the aegis. When the Olympian deities overtook the older deities of Greece and she was born of Metis (inside Zeus who had swallowed the goddess) and "re-born" through the head of Zeus fully clothed, Athena already wore her typical garments. When the Olympian shakes the aegis, Mount Ida is wrapped in clouds, the thunder rolls and men are struck down with fear. "Aegis-bearing Zeus", as he is in the Iliad, sometimes lends the fearsome aegis to Athena. In the Iliad when Zeus sends Apollo to revive the wounded Hector, Apollo, holding the aegis, charges the Achaeans, pushing them back to their ships drawn up on the shore. According to Edith Hamilton's Mythology: Timeless Tales of Gods and Heroes, the Aegis is the breastplate of Zeus, and was "awful to behold". However, Zeus is normally portrayed in classical sculpture holding a thunderbolt or lightning, bearing neither a shield nor a breastplate. In classical poetry and art Classical Greece interpreted the Homeric aegis usually as a cover of some kind borne by Athena. It was supposed by Euripides (Ion, 995) that the aegis borne by Athena was the skin of the slain Gorgon, yet the usual understanding is that the Gorgoneion was added to the aegis, a votive offering from a grateful Perseus. In a similar interpretation, Aex, a daughter of Helios, represented as a great fire-breathing chthonic serpent similar to the Chimera, was slain and flayed by Athena, who afterwards wore its skin, the aegis, as a cuirass (Diodorus Siculus iii. 70), or as a chlamys. The Douris cup shows that the aegis was represented exactly as the skin of the great serpent, with its scales clearly delineated. John Tzetzes says that aegis was the skin of the monstrous giant Pallas whom Athena overcame and whose name she attached to her own. In a late rendering by Gaius Julius Hyginus (Poetical Astronomy ii. 13), Zeus is said to have used the skin of a pet goat owned by his nurse Amalthea (aigis "goat-skin") which suckled him in Crete, as a shield when he went forth to do battle against the Titans. The aegis appears in works of art sometimes as an animal's skin thrown over Athena's shoulders and arms, occasionally with a border of snakes, usually also bearing the Gorgon head, the gorgoneion. In some pottery it appears as a tasselled cover over Athena's dress. It is sometimes represented on the statues of Roman emperors, heroes, and warriors, and on cameos and vases. A vestige of that appears in a portrait of Alexander the Great in a fresco from Pompeii dated to the first century BC, which shows the image of the head of a woman on his armor that resembles the Gorgon. Origins Herodotus thought he had identified the source of the
Greek mythology and adopted by the Romans; there are parallels in Norse mythology and in Egyptian mythology as well, where the Greek word aegis is applied by extension. In Greek mythology The aegis of Athena is referred to in several places in The Iliad. "It produced a sound as from myriad roaring dragons (Iliad, 4.17) and was borne by Athena in battle ... and among them went bright-eyed Athene, holding the precious aegis which is ageless and immortal: a hundred tassels of pure gold hang fluttering from it, tight-woven each of them, and each the worth of a hundred oxen." Virgil imagines the Cyclopes in Hephaestus' forge, who "busily burnished the aegis Athena wears in her angry moods—a fearsome thing with a surface of gold like scaly snake-skin, and the linked serpents and the Gorgon herself upon the goddess's breast—a severed head rolling its eyes", furnished with golden tassels and bearing the Gorgoneion (Medusa's head) in the central boss. Some of the Attic vase-painters retained an archaic tradition that the tassels had originally been serpents in their representations of the aegis. When the Olympian deities overtook the older deities of Greece and she was born of Metis (inside Zeus who had swallowed the goddess) and "re-born" through the head of Zeus fully clothed, Athena already wore her typical garments. When the Olympian shakes the aegis, Mount Ida is wrapped in clouds, the thunder rolls and men are struck down with fear. "Aegis-bearing Zeus", as he is in the Iliad, sometimes lends the fearsome aegis to Athena. In the Iliad when Zeus sends Apollo to revive the wounded Hector, Apollo, holding the aegis, charges the Achaeans, pushing them back to their ships drawn up on the shore. According to Edith Hamilton's Mythology: Timeless Tales of Gods and Heroes, the Aegis is the breastplate of Zeus, and was "awful to behold". However, Zeus is normally portrayed in classical sculpture holding a thunderbolt or lightning, bearing neither a shield nor a breastplate. In classical poetry and art Classical Greece interpreted the Homeric aegis usually as a cover of some kind borne by Athena. It was supposed by Euripides (Ion, 995) that the aegis borne by Athena was the skin of the slain Gorgon, yet the usual understanding is that the Gorgoneion was added to the aegis, a votive offering from a grateful Perseus. In a similar
Aletes became king until Orestes returned several years later and killed him. Orestes later married Aegisthus' daughter Erigone. In culture Homer gives no information about Aegisthus' antecedents. We learn from him only that, after the death of Thyestes, Aegisthus ruled as king at Mycenae and took no part in the Trojan expedition. While Agamemnon was absent on his expedition against Troy, Aegisthus seduced Clytemnestra, and was so wicked as to offer up thanks to the gods for the success with which his criminal exertions were crowned. In order not to be surprised by the return of Agamemnon, he sent out spies, and when Agamemnon came, Aegisthus invited him to a repast at which he had him treacherously murdered. In Aeschylus's Oresteia, Aegisthus is a minor figure. In the first play, Agamemnon, he appears at the end to claim the throne, after Clytemnestra herself has killed Agamemnon and Cassandra. Clytemnestra wields the axe she has used to quell dissent. In The Libation Bearers he is killed quickly by Orestes, who then struggles over having to kill his mother. Aegisthus is referred to as a "weak lion", plotting the murders but having his lover commit the deeds. According to Johanna Leah Braff, he "takes the traditional female role, as one who devises but is passive and does not act." Christopher Collard describes him as the foil to Clytemnestra, his brief speech in Agamemnon revealing him to be "cowardly, sly, weak, full of noisy threats - a typical 'tyrant figure' in embryo." Aeschylus's portrayal of Aegisthus as a weak, implicitly feminised figure, influenced later writers and artists who often depict him as an effeminate or decadent individual, either manipulating or dominated by the more powerful Clytemnestra. He appears in Seneca's Agamemnon, enticing her to murder. In Richard Strauss's and Hugo von Hofmannsthal's opera, Elektra his voice is "a decidedly high-pitched tenor, punctuated by irrational upward leaps, that rises to high pitched squeals during his death colloquy with Elektra." In the first production he was depicted as "an epicene...with long curly locks and rouged lips, half-cringing, half-posturing seductively." An ancient tomb in Mycenae is fancifully known as the 'Tomb of Aigisthus'. It dates from around 1470 BC. References External links Kings of Mycenae Fictional offspring
performed a sacrifice, hiding his identity from her. When Aegisthus was born, his mother abandoned him, ashamed of his origin, and he was raised by shepherds and suckled by a goat, hence his name Aegisthus (from , male goat). Atreus, not knowing the baby's origin, took Aegisthus in and raised him as his own son. Death of Atreus In the night in which Pelopia had been raped by her father, she had taken from him his sword which she afterwards gave to Aegisthus. When she discovered that the sword belonged to her own father, she realised that her son was the product of incestuous rape. In despair, she killed herself. Atreus in his enmity towards his brother sent Aegisthus to kill him; but the sword which Aegisthus carried was the cause of the recognition between Thyestes and his son, and the latter returned and slew his uncle Atreus, while he was offering a sacrifice on the seacoast. Aegisthus and his father now took possession of their lawful inheritance from which they had been expelled by Atreus. Power struggle over Mycenae Aegisthus and Thyestes thereafter ruled over Mycenae jointly, exiling Atreus' sons Agamemnon and Menelaus to Sparta, where King Tyndareus gave the pair his daughters, Clytemnestra and Helen, to take as wives. Agamemnon and Clytemnestra had four children: one son, Orestes, and three daughters, Iphigenia, Electra and Chrysothemis. After the death of Tyndareus, Meneleaus became king of Sparta. He used the Spartan army to drive out Aegisthus and Thyestes from Mycenae and place Agamemnon on the throne. Agamemnon extended his dominion by conquest and became the most powerful ruler in Greece. After Helen's abduction to Troy, Agamemnon was forced to sacrifice his own daughter Iphigenia in order to appease the gods before setting off for Ilium. While Agamemnon was away fighting in the Trojan War, Clytemnestra turned against her husband and took Aegisthus as a lover. Upon Agamemnon's return to Mycenae, Aegisthus and Clytemnestra worked together to kill Agamemnon with certain accounts recording Aegisthus committing the murder while others record Clytemnestra herself exacting revenge on Agamemnon for his murder of Iphigenia. Following Agamemnon's death, Aegisthus reigned over Mycenae for seven years. He and Clytemnestra had a son, Aletes, and two daughters, Erigone and Helen. In the eighth year of his reign Orestes, the
Aristotle, in 467 BC a large meteorite landed near Aegospotami. It was described as brown in colour and the size of a wagon load. A comet, tentatively identified as Halley's Comet, was reported at the time the meteorite landed. This is possibly the first European record of Halley's comet. Aegospotami is located on the Dardanelles, northeast of the modern
Goat Streams) is the ancient Greek name for a small river issuing into the Hellespont (Modern Turkish Çanakkale Boğazı), northeast of Sestos. At its mouth was the scene of the decisive battle in 405 BC in which Lysander destroyed the Athenian fleet, ending the Peloponnesian War. The ancient Greek township of the same name, whose existence is attested by coins of the 5th and 4th centuries, and the river itself were located in ancient Thrace in the Chersonese. According to ancient
Sassanid Khosrau II's early seventh century push through Syria, his generals Shahrbaraz and Shahin attacked Jerusalem () aided by the Jews of Palaestina Prima, who had risen up against the Byzantines. In the Siege of Jerusalem of 614 AD, after 21 days of relentless siege warfare, Jerusalem was captured. Byzantine chronicles relate that the Sassanids and Jews slaughtered tens of thousands of Christians in the city, many at the Mamilla Pool, and destroyed their monuments and churches, including the Church of the Holy Sepulchre. The conquered city would remain in Sassanid hands for some fifteen years until the Byzantine emperor Heraclius reconquered it in 629. Byzantine Jerusalem was conquered by the Arab armies of Umar ibn al-Khattab in AD 638, which resulted in the removal of the restrictions on Jews living in the city. Among Muslims of Islam's earliest era it was referred to as Madinat bayt al-Maqdis, 'City of the Temple', a name restricted to the Temple Mount. The rest of the city was called "Iliya", reflecting the Roman name Aelia Capitolina. Plan of the city The city was without walls, protected by a light garrison of the Tenth Legion, during the Late Roman period. The detachment at Jerusalem, which apparently encamped all over the city's western hill, was responsible for preventing Jews from returning to the city. Roman enforcement of this prohibition continued through the 4th century. Layout and street pattern The urban plan of Aelia Capitolina was that of a typical Roman town wherein main thoroughfares crisscrossed the urban grid lengthwise and widthwise. The urban grid was based on the usual central north–south road (cardo maximus) and central east–west route (decumanus maximus). However, as the main cardo ran up the western hill, and the Temple Mount blocked the eastward route of the main decumanus, the strict pattern had to be adapted to the local topography; a secondary, eastern cardo, diverged from the western one and ran down the Tyropoeon Valley, while the decumanus had to zigzag around the Temple Mount, passing it on its northern side. The Hadrianic western cardo terminated not far beyond its junction with the decumanus, where it reached the Roman garrison's encampment, but in the Byzantine period it was extended over the former camp to reach the southern, expanded margins of the city. The two cardines converged near the Damascus Gate, and a semicircular piazza covered the remaining space; in the piazza a columnar monument was constructed, hence the Arabic name for the gate - Bab el-Amud (Gate of the Column). Tetrapylones were constructed at the other junctions between the main roads. This street pattern has been preserved in the Old City of Jerusalem to the present. The original thoroughfare, flanked by rows of columns and shops, was about 73 feet (22 meters) wide, but buildings have extended onto the streets over the centuries, and the modern lanes replacing the ancient grid are now quite narrow. The substantial remains of the western cardo have now been exposed to view near the junction with Suq el-Bazaar, and remnants of one of the tetrapylones are preserved in the 19th century Franciscan chapel at the junction of the Via Dolorosa and Suq Khan ez-Zeit. Western forum As was standard for new Roman cities, Hadrian placed the city's main forum at the junction of the main cardo and decumanus, now the location for the (smaller) Muristan. Adjacent to the forum, Hadrian built a large temple to Venus, at a
was built on the Temple Mount. The Latin name Aelia is the source of the much later Arabic term Īlyāʾ (إيلياء), a 7th-century Islamic name for Jerusalem. History Jerusalem, once heavily rebuilt by Herod, was still in ruins following the decisive siege of the city, as part of the First Jewish–Roman War in AD 70. According to Eusebius, the Jerusalem church was scattered twice, in 70 and 135, with the difference that from 70 to 130 the bishops of Jerusalem have evidently Jewish names, whereas after 135 the bishops of Aelia Capitolina appear to be Greeks. Eusebius' evidence for continuation of a church at Aelia Capitolina is confirmed by the Bordeaux Pilgrim. The Roman emperor Hadrian decided to rebuild the city as a Roman colony, which would be inhabited by his legionaries. Hadrian's new city was to be dedicated to himself and certain Roman gods, in particular Jupiter. There is controversy as to whether Hadrian's anti-Jewish decrees followed the Jewish Bar Kokhba revolt or preceded it and were the cause of the revolt. The older view is that the Bar Kokhba revolt, which took the Romans three years to suppress, enraged Hadrian, and he became determined to erase Judaism from the province. Circumcision was forbidden and Jews were expelled from the city. Hadrian renamed Iudaea Province to Syria Palaestina, dispensing with the name of Judaea. Jerusalem was renamed "Aelia Capitolina" and rebuilt in the style of its original Hippodamian plan although adapted to Roman use. Jews were prohibited from entering the city on pain of death, except for one day each year, during the holiday of Tisha B'Av. Taken together, these measures (which also affected Jewish Christians) essentially secularized the city. The ban was maintained until the 7th century, though Christians would soon be granted an exemption: during the 4th century, the Roman emperor Constantine I ordered the construction of Christian holy sites in the city, including the Church of the Holy Sepulchre. Burial remains from the Byzantine period are exclusively Christian, suggesting that the population of Jerusalem in Byzantine times probably consisted only of Christians. In the fifth century, the eastern continuation of the Roman Empire that was ruled from Constantinople, maintained control of the city. At the beginning of the fifth century, within the span of a few decades, the city shifted from Byzantine to Persian rule, then back to Roman-Byzantine dominion. Following Sassanid Khosrau II's early seventh century push through Syria, his generals Shahrbaraz and Shahin attacked Jerusalem () aided by the Jews of Palaestina Prima, who had risen up against the Byzantines. In the Siege of Jerusalem of 614 AD, after 21 days of relentless siege warfare, Jerusalem was captured. Byzantine chronicles relate that the Sassanids and Jews slaughtered tens of thousands of Christians in the city, many at the Mamilla Pool, and destroyed their monuments and churches, including the Church of the Holy Sepulchre. The conquered city would remain in Sassanid hands for some fifteen years until the Byzantine emperor Heraclius reconquered it in 629. Byzantine Jerusalem was conquered by the Arab armies of Umar ibn al-Khattab in AD 638, which resulted in the removal of the restrictions on Jews living in the city. Among Muslims of Islam's earliest era it was referred to as Madinat bayt al-Maqdis, 'City of the Temple', a name restricted to the Temple Mount. The rest of the city was called "Iliya", reflecting the Roman name Aelia Capitolina. Plan of the city The city was without walls, protected by a light garrison of the Tenth Legion, during the Late Roman period. The detachment at Jerusalem, which apparently encamped all over the city's western hill, was responsible for preventing Jews from returning to the city. Roman enforcement of this prohibition continued through the 4th century. Layout and street pattern The urban plan of Aelia Capitolina was that of a typical Roman town wherein main thoroughfares crisscrossed the urban grid lengthwise and widthwise. The urban grid was based on the usual central north–south road (cardo maximus) and central east–west route (decumanus maximus). However, as the main cardo ran up the western hill, and the Temple Mount blocked the
wrote in Greek Lucius Aelianus, one of the thirty tyrants under the Roman empire Aelianus Meccius, ancient Greek physician, tutor of Galen Tiberius Plautius Silvanus Aelianus, adopted nephew of Plautia Urgulanilla, first wife of Claudius; consul 45 and 74 AD Aelianus (rebel), leader of the Bagaudae peasant rebels Aelianus
Praetorian Prefect, executed by Trajan Claudius Aelianus, Roman writer, teacher and historian of the 3rd century, who wrote in Greek Lucius Aelianus, one of the thirty tyrants under the Roman empire Aelianus Meccius, ancient Greek physician, tutor of Galen Tiberius Plautius Silvanus Aelianus, adopted nephew of
tactics as practiced by the Hellenistic successors of Alexander the Great. The author claims to have consulted all the best authorities, the most important of which was a lost treatise on the subject by Polybius. Perhaps the chief value of Aelian's work lies in his critical account of preceding works on the art of war, and in the fullness of his technical details in matters of drill. Aelian also gives a brief account of the constitution of a Roman army at that time. The work arose, he says, from a conversation he had with the emperor Nerva at Frontinus's house at Formiae. He promises a work on Naval Tactics also; but this, if it was written, is lost. Critics of the 18th century — Guichard Folard and the Prince de Ligne — were unanimous in thinking Aelian greatly inferior to Arrian, but Aelian exercised a great influence both on his immediate successors, the Byzantines, and later on the Arabs, (who translated the text for their own use). The author of the Strategikon ascribed to the emperor Maurice selectively used Aelian's work as a conceptional model, especially its preface. Emperor Leo VI the Wise incorporated much of Aelian's text in his own Taktika. The Arabic version of Aelian was made about 1350. It
copious details to be found in the treatise rendered it of the highest value to the army organisers of the 16th century, who were engaged in fashioning a regular military system out of the semi-feudal systems of previous generations. The Macedonian phalanx of Aelian had many points of resemblance to the solid masses of pikemen and the squadrons of cavalry of the Spanish and Dutch systems, and the translations made in the 16th century formed the groundwork of numerous books on drill and tactics. The first significant reference to the influence of Aelian in the 16th century is a letter to Maurice of Nassau, Prince of Orange from his cousin William Louis, Count of Nassau-Dillenburg on December 8, 1594. The letter is influential in supporting the thesis of the early-modern Military Revolution. In the letter, William Louis
a polysaccharide, generally extracted from certain red seaweed. It is a linear polymer made up of the repeating unit of agarobiose, which is a disaccharide made up of D-galactose and 3,6-anhydro-L-galactopyranose. Agarose is one of the two principal components of agar, and is purified from agar by removing agar's other component, agaropectin. Agarose is frequently used in molecular biology for the separation of large molecules, especially DNA, by electrophoresis. Slabs of agarose gels (usually 0.7 - 2%) for electrophoresis are readily prepared by pouring the warm, liquid solution into a mold. A wide range of different agaroses of varying molecular weights and properties are commercially available for this purpose. Agarose may also be formed into beads and used in a number of chromatographic methods for protein purification. Structure Agarose is a linear polymer with a molecular weight of about 120,000, consisting of alternating D-galactose and 3,6-anhydro-L-galactopyranose linked by α-(1→3) and β-(1→4) glycosidic bonds. The 3,6-anhydro-L-galactopyranose is an L-galactose with an anhydro bridge between the 3 and 6 positions, although some L-galactose units in the polymer may not contain the bridge. Some D-galactose and L-galactose units can be methylated, and pyruvate and sulfate are also found in small quantities. Each agarose chain contains ~800 molecules of galactose, and the agarose polymer chains form helical fibres that aggregate into supercoiled structure with a radius of 20-30 nm. The fibers are quasi-rigid, and have a wide range of length depending on the agarose concentration. When solidified, the fibres form a three-dimensional mesh of channels of diameter ranging from 50 nm to >200 nm depending on the concentration of agarose used - higher concentrations yield lower average pore diameters. The 3-D structure is held together with hydrogen bonds and can therefore be disrupted by heating back to a liquid state. Properties Agarose is available as a white powder which dissolves in near-boiling water, and forms a gel when it cools. Agarose exhibits the phenomenon of thermal hysteresis in its liquid-to-gel transition, i.e. it gels and melts at different temperatures. The gelling and melting temperatures vary depending on the type of agarose. Standard agaroses derived from Gelidium has a gelling temperature of and a melting temperature of , while those derived from Gracilaria, due to its higher methoxy substituents, has a gelling temperature of and melting temperature of . The melting and gelling temperatures may be dependent on the concentration of the gel, particularly at low gel concentration of less than 1%. The gelling and melting temperatures are therefore given at a specified agarose concentration. Natural agarose contains uncharged methyl groups and the extent of methylation is directly proportional to the gelling temperature. Synthetic methylation however have the reverse effect, whereby increased methylation lowers the gelling temperature. A variety of chemically modified agaroses with different melting and gelling temperatures are available through chemical modifications. The agarose in the gel forms a meshwork that contains pores, and the size of the pores depends on the concentration of agarose added. On standing, the agarose gels are prone to syneresis (extrusion of water through the gel surface), but the process is slow enough to not interfere with the use of the gel. Agarose gel can have high gel strength at low concentration, making it suitable as an anti-convection medium for gel electrophoresis. Agarose gels as dilute as 0.15% can form slabs for gel electrophoresis. The agarose polymer contains charged groups, in particular pyruvate and sulfate. These negatively charged groups can slow down the movement of DNA molecules in a process called electroendosmosis (EEO), and low EEO agarose is therefore generally preferred for use in agarose gel electrophoresis of nucleic acids. Zero EEO agaroses are also available but these may be undesirable for some applications as they may be made by adding positively charged groups that can affect subsequent enzyme reactions. Electroendosmosis is a reason agarose is used preferentially over agar as agaropectin in agar contains a significant amount of negatively charged sulphate and carboxyl groups. The removal of agaropectin in agarose substantially reduces the EEO, as well as reducing the non-specific adsorption of biomolecules to the gel matrix. However, for some applications such as the electrophoresis of serum protein, a high EEO may be desirable, and agaropectin may be added in the gel used. Low melting and gelling temperature agaroses The melting and gelling temperatures of agarose can be modified by chemical modifications, most commonly by hydroxyethylation, which reduces the number of intrastrand hydrogen bonds, resulting in lower melting and setting temperatures than standard agaroses. The exact temperature is determined by the degree of substitution, and many available low-melting-point (LMP) agaroses can remain fluid at range. This property allows enzymatic manipulations to be carried out directly after the DNA gel electrophoresis by adding slices of melted gel containing DNA fragment of interest to a reaction mixture. The LMP agarose contains fewer of the sulphates that can affect some enzymatic reactions, and is therefore preferably used for some applications. Hydroxyethylation may reduce the pore size by reducing the packing density of the agarose bundles, therefore LMP gel can also have an effect on the time and separation during electrophoresis. Ultra-low melting or gelling temperature agaroses may gel only at . Applications Agarose is a preferred matrix for work with proteins and nucleic acids as it has a broad range of physical, chemical and thermal stability, and its lower degree of chemical complexity also makes it less likely to interact with biomolecules. Agarose is most commonly used as the medium for analytical scale electrophoretic
depending on the concentration of agarose used - higher concentrations yield lower average pore diameters. The 3-D structure is held together with hydrogen bonds and can therefore be disrupted by heating back to a liquid state. Properties Agarose is available as a white powder which dissolves in near-boiling water, and forms a gel when it cools. Agarose exhibits the phenomenon of thermal hysteresis in its liquid-to-gel transition, i.e. it gels and melts at different temperatures. The gelling and melting temperatures vary depending on the type of agarose. Standard agaroses derived from Gelidium has a gelling temperature of and a melting temperature of , while those derived from Gracilaria, due to its higher methoxy substituents, has a gelling temperature of and melting temperature of . The melting and gelling temperatures may be dependent on the concentration of the gel, particularly at low gel concentration of less than 1%. The gelling and melting temperatures are therefore given at a specified agarose concentration. Natural agarose contains uncharged methyl groups and the extent of methylation is directly proportional to the gelling temperature. Synthetic methylation however have the reverse effect, whereby increased methylation lowers the gelling temperature. A variety of chemically modified agaroses with different melting and gelling temperatures are available through chemical modifications. The agarose in the gel forms a meshwork that contains pores, and the size of the pores depends on the concentration of agarose added. On standing, the agarose gels are prone to syneresis (extrusion of water through the gel surface), but the process is slow enough to not interfere with the use of the gel. Agarose gel can have high gel strength at low concentration, making it suitable as an anti-convection medium for gel electrophoresis. Agarose gels as dilute as 0.15% can form slabs for gel electrophoresis. The agarose polymer contains charged groups, in particular pyruvate and sulfate. These negatively charged groups can slow down the movement of DNA molecules in a process called electroendosmosis (EEO), and low EEO agarose is therefore generally preferred for use in agarose gel electrophoresis of nucleic acids. Zero EEO agaroses are also available but these may be undesirable for some applications as they may be made by adding positively charged groups that can affect subsequent enzyme reactions. Electroendosmosis is a reason agarose is used preferentially over agar as agaropectin in agar contains a significant amount of negatively charged sulphate and carboxyl groups. The removal of agaropectin in agarose substantially reduces the EEO, as well as reducing the non-specific adsorption of biomolecules to the gel matrix. However, for some applications such as the electrophoresis of serum protein, a high EEO may be desirable, and agaropectin may be added in the gel used. Low melting and gelling temperature agaroses The melting and gelling temperatures of agarose can be modified by chemical modifications, most commonly by hydroxyethylation, which reduces the number of intrastrand hydrogen bonds, resulting in lower melting and setting temperatures than standard agaroses. The exact temperature is determined by the degree of substitution, and many available low-melting-point (LMP) agaroses can remain fluid at range. This property allows enzymatic manipulations to be carried out directly after the DNA gel electrophoresis by adding slices of melted gel containing DNA fragment of interest to a reaction mixture. The LMP agarose contains fewer of the sulphates that can affect some enzymatic reactions, and is therefore preferably used for some applications. Hydroxyethylation may reduce the pore size by reducing the packing density of the agarose bundles, therefore LMP gel can also have an effect on the time and separation during electrophoresis. Ultra-low melting or gelling temperature agaroses may gel only at . Applications Agarose is a preferred matrix for work with proteins and nucleic acids as it has a broad range of physical, chemical and thermal stability, and its lower degree of chemical complexity also makes it less likely to interact with biomolecules. Agarose is most commonly used as the medium for analytical scale electrophoretic separation in agarose gel electrophoresis. Gels made from purified agarose have a relatively large pore size, making them useful for separation of
The radiation beam passes through this flame at its longest axis, and the flame gas flow-rates may be adjusted to produce the highest concentration of free atoms. The burner height may also be adjusted, so that the radiation beam passes through the zone of highest atom cloud density in the flame, resulting in the highest sensitivity. The processes in a flame include the stages of desolvation (drying) in which the solvent is evaporated and the dry sample nano-particles remain, vaporization (transfer to the gaseous phase) in which the solid particles are converted into gaseous molecule, atomization in which the molecules are dissociated into free atoms, and ionization where (depending on the ionization potential of the analyte atoms and the energy available in a particular flame) atoms may be in part converted to gaseous ions. Each of these stages includes the risk of interference in case the degree of phase transfer is different for the analyte in the calibration standard and in the sample. Ionization is generally undesirable, as it reduces the number of atoms that are available for measurement, i.e., the sensitivity. In flame AAS a steady-state signal is generated during the time period when the sample is aspirated. This technique is typically used for determinations in the mg L−1 range, and may be extended down to a few μg L−1 for some elements. Electrothermal atomizers Electrothermal AAS (ET AAS) using graphite tube atomizers was pioneered by Boris V. L’vov at the Saint Petersburg Polytechnical Institute, Russia, since the late 1950s, and investigated in parallel by Hans Massmann at the Institute of Spectrochemistry and Applied Spectroscopy (ISAS) in Dortmund, Germany. Although a wide variety of graphite tube designs have been used over the years, the dimensions nowadays are typically 20–25 mm in length and 5–6 mm inner diameter. With this technique liquid/dissolved, solid and gaseous samples may be analyzed directly. A measured volume (typically 10–50 μL) or a weighed mass (typically around 1 mg) of a solid sample are introduced into the graphite tube and subject to a temperature program. This typically consists of stages, such as drying – the solvent is evaporated; pyrolysis – the majority of the matrix constituents are removed; atomization – the analyte element is released to the gaseous phase; and cleaning – eventual residues in the graphite tube are removed at high temperature. The graphite tubes are heated via their ohmic resistance using a low-voltage high-current power supply; the temperature in the individual stages can be controlled very closely, and temperature ramps between the individual stages facilitate separation of sample components. Tubes may be heated transversely or longitudinally, where the former ones have the advantage of a more homogeneous temperature distribution over their length. The so-called stabilized temperature platform furnace (STPF) concept, proposed by Walter Slavin, based on research of Boris L’vov, makes ET AAS essentially free from interference. The major components of this concept are atomization of the sample from a graphite platform inserted into the graphite tube (L’vov platform) instead of from the tube wall in order to delay atomization until the gas phase in the atomizer has reached a stable temperature; use of a chemical modifier in order to stabilize the analyte to a pyrolysis temperature that is sufficient to remove the majority of the matrix components; and integration of the absorbance over the time of the transient absorption signal instead of using peak height absorbance for quantification. In ET AAS a transient signal is generated, the area of which is directly proportional to the mass of analyte (not its concentration) introduced into the graphite tube. This technique has the advantage that any kind of sample, solid, liquid or gaseous, can be analyzed directly. Its sensitivity is 2–3 orders of magnitude higher than that of flame AAS, so that determinations in the low μg L−1 range (for a typical sample volume of 20 μL) and ng g−1 range (for a typical sample mass of 1 mg) can be carried out. It shows a very high degree of freedom from interferences, so that ET AAS might be considered the most robust technique available nowadays for the determination of trace elements in complex matrices. Specialized atomization techniques While flame and electrothermal vaporizers are the most common atomization techniques, several other atomization methods are utilized for specialized use. Glow-discharge atomization A glow-discharge device (GD) serves as a versatile source, as it can simultaneously introduce and atomize the sample. The glow discharge occurs in a low-pressure argon gas atmosphere between 1 and 10 torr. In this atmosphere lies a pair of electrodes applying a DC voltage of 250 to 1000 V to break down the argon gas into positively charged ions and electrons. These ions, under the influence of the electric field, are accelerated into the cathode surface containing the sample, bombarding the sample and causing neutral sample atom ejection through the process known as sputtering. The atomic vapor produced by this discharge is composed of ions, ground state atoms, and fraction of excited atoms. When the excited atoms relax back into their ground state, a low-intensity glow is emitted, giving the technique its name. The requirement for samples of glow discharge atomizers is that they are electrical conductors. Consequently, atomizers are most commonly used in the analysis of metals and other conducting samples. However, with proper modifications, it can be utilized to analyze liquid samples as well as nonconducting materials by mixing them with a conductor (e.g. graphite). Hydride atomization Hydride generation techniques are specialized in solutions of specific elements. The technique provides a means of introducing samples containing arsenic, antimony, selenium, bismuth, and lead into an atomizer in the gas phase. With these elements, hydride atomization enhances detection limits by a factor of 10 to 100 compared to alternative methods. Hydride generation occurs by adding an acidified aqueous solution of the sample to a 1% aqueous solution of sodium borohydride, all of which is contained in a glass vessel. The volatile hydride generated by the reaction that occurs is swept into the atomization chamber by an inert gas, where it undergoes decomposition. This process forms an atomized form of the analyte, which can then be measured by absorption or emission spectrometry. Cold-vapor atomization The cold-vapor technique is an atomization method limited to only the determination of mercury, due to it being the only metallic element to have a large enough vapor pressure at ambient temperature. Because of this, it has an important use in determining organic mercury compounds in samples and their distribution in the environment. The method initiates by converting mercury into Hg2+ by oxidation from nitric and sulfuric acids, followed by a reduction of Hg2+ with tin(II) chloride. The mercury, is then swept into a long-pass absorption tube by bubbling a stream of inert gas through the reaction mixture. The concentration is determined by measuring the absorbance of this gas at 253.7 nm. Detection limits for this technique are in the parts-per-billion range making it an excellent mercury detection atomization method. Two types of burners are used: total consumption burner and premix burner. Radiation sources We have to distinguish between line source AAS (LS AAS) and continuum source AAS (CS AAS).
this gas at 253.7 nm. Detection limits for this technique are in the parts-per-billion range making it an excellent mercury detection atomization method. Two types of burners are used: total consumption burner and premix burner. Radiation sources We have to distinguish between line source AAS (LS AAS) and continuum source AAS (CS AAS). In classical LS AAS, as it has been proposed by Alan Walsh, the high spectral resolution required for AAS measurements is provided by the radiation source itself that emits the spectrum of the analyte in the form of lines that are narrower than the absorption lines. Continuum sources, such as deuterium lamps, are only used for background correction purposes. The advantage of this technique is that only a medium-resolution monochromator is necessary for measuring AAS; however, it has the disadvantage that usually a separate lamp is required for each element that has to be determined. In CS AAS, in contrast, a single lamp, emitting a continuum spectrum over the entire spectral range of interest is used for all elements. Obviously, a high-resolution monochromator is required for this technique, as will be discussed later. Hollow cathode lamps Hollow cathode lamps (HCL) are the most common radiation source in LS AAS. Inside the sealed lamp, filled with argon or neon gas at low pressure, is a cylindrical metal cathode containing the element of interest and an anode. A high voltage is applied across the anode and cathode, resulting in an ionization of the fill gas. The gas ions are accelerated towards the cathode and, upon impact on the cathode, sputter cathode material that is excited in the glow discharge to emit the radiation of the sputtered material, i.e., the element of interest. In the majority of cases single element lamps are used, where the cathode is pressed out of predominantly compounds of the target element. Multi-element lamps are available with combinations of compounds of the target elements pressed in the cathode. Multi element lamps produce slightly less sensitivity than single element lamps and the combinations of elements have to be selected carefully to avoid spectral interferences. Most multi-element lamps combine a handful of elements, e.g.: 2 - 8. Atomic Absorption Spectrometers can feature as few as 1-2 hollow cathode lamp positions or in automated multi-element spectrometers, a 8-12 lamp positions may be typically available. Electrodeless discharge lamps Electrodeless discharge lamps (EDL) contain a small quantity of the analyte as a metal or a salt in a quartz bulb together with an inert gas, typically argon gas, at low pressure. The bulb is inserted into a coil that is generating an electromagnetic radio frequency field, resulting in a low-pressure inductively coupled discharge in the lamp. The emission from an EDL is higher than that from an HCL, and the line width is generally narrower, but EDLs need a separate power supply and might need a longer time to stabilize. Deuterium lamps Deuterium HCL or even hydrogen HCL and deuterium discharge lamps are used in LS AAS for background correction purposes. The radiation intensity emitted by these lamps decreases significantly with increasing wavelength, so that they can be only used in the wavelength range between 190 and about 320 nm. Continuum sources When a continuum radiation source is used for AAS, it is necessary to use a high-resolution monochromator, as will be discussed later. In addition, it is necessary that the lamp emits radiation of intensity at least an order of magnitude above that of a typical HCL over the entire wavelength range from 190 nm to 900 nm. A special high-pressure xenon short arc lamp, operating in a hot-spot mode has been developed to fulfill these requirements. Spectrometer As already pointed out above, there is a difference between medium-resolution spectrometers that are used for LS AAS and high-resolution spectrometers that are designed for CS AAS. The spectrometer includes the spectral sorting device (monochromator) and the detector. Spectrometers for LS AAS In LS AAS the high resolution that is required for the measurement of atomic absorption is provided by the narrow line emission of the radiation source, and the monochromator simply has to resolve the analytical line from other radiation emitted by the lamp. This can usually be accomplished with a band pass between 0.2 and 2 nm, i.e., a medium-resolution monochromator. Another feature to make LS AAS element-specific is modulation of the primary radiation and the use of a selective amplifier that is tuned to the same modulation frequency, as already postulated by Alan Walsh. This way any (unmodulated) radiation emitted for example by the atomizer can be excluded, which is imperative for LS AAS. Simple monochromators of the Littrow or (better) the Czerny-Turner design are typically used for LS AAS. Photomultiplier tubes are the most frequently used detectors in LS AAS, although solid state detectors might be preferred because of their better signal-to-noise ratio. Spectrometers for CS AAS When a continuum radiation source is used for AAS measurement it is indispensable to work with a high-resolution monochromator. The resolution has to be equal to or better than the half-width of an atomic absorption line (about 2 pm) in order to avoid losses of sensitivity and linearity of the calibration graph. The research with high-resolution (HR) CS AAS was pioneered by the groups of O’Haver and Harnly in the US, who also developed the (up until now) only simultaneous multi-element spectrometer for this technique. The breakthrough, however, came when the group of Becker-Ross in Berlin, Germany, built a spectrometer entirely designed for HR-CS AAS. The first commercial equipment for HR-CS AAS was introduced by Analytik Jena (Jena, Germany) at the beginning of the 21st century, based on the design proposed by Becker-Ross and Florek. These spectrometers use a compact double monochromator with a prism pre-monochromator and an echelle grating monochromator for high resolution. A linear charge-coupled device (CCD) array with 200 pixels is used as the detector. The second monochromator does not have an exit slit; hence the spectral environment at both sides of the analytical line becomes visible at high resolution. As typically only 3–5 pixels are used to measure the atomic absorption, the other pixels are available for correction purposes. One of these corrections is that for lamp flicker noise, which is independent of wavelength, resulting in measurements with very low noise level; other corrections are those for background absorption, as will be discussed later. Background absorption and background correction The relatively small number of atomic absorption lines (compared to atomic emission lines) and their narrow width (a few pm) make spectral overlap rare; there are only few examples known that an absorption line from one element will overlap with another. Molecular absorption, in contrast, is much broader, so that it is more likely that some molecular absorption band will overlap with an atomic line. This kind of absorption might be caused by un-dissociated molecules of concomitant elements of the sample or by flame gases. We have to distinguish between the spectra of di-atomic molecules, which exhibit a pronounced fine structure, and those of larger (usually tri-atomic) molecules that don't show such fine structure. Another source of background absorption, particularly in ET AAS, is scattering of the primary radiation at particles that are generated in the atomization stage, when the matrix could not be removed sufficiently in the pyrolysis stage. All these phenomena, molecular absorption and radiation scattering, can result in artificially high absorption and an improperly high (erroneous) calculation for the concentration or mass of the analyte in the sample. There are several techniques available to correct for background absorption, and they are significantly different for LS AAS and HR-CS AAS. Background correction techniques in LS AAS In LS AAS background absorption can only be corrected using instrumental techniques, and all of them are based on two sequential measurements: firstly, total absorption (atomic plus background), secondly, background absorption only. The difference of the two measurements gives the net atomic absorption. Because of this, and because of the use of additional devices in the spectrometer, the signal-to-noise ratio of background-corrected signals is always significantly inferior compared to uncorrected signals. It should also be pointed out that in LS AAS there is no way to correct for (the rare case of) a direct overlap of two atomic lines. In essence there are three techniques used for background correction in LS AAS: Deuterium background correction This is the oldest and still most commonly used technique, particularly for flame AAS. In this case, a separate source (a deuterium lamp) with broad emission is used to measure the background absorption over the entire width of the exit slit of the spectrometer. The use of a separate lamp makes this technique the least accurate one, as it cannot correct for any structured background. It also cannot be used at wavelengths above about 320 nm, as the emission intensity of the deuterium lamp becomes very weak. The use of deuterium HCL is preferable compared to an arc lamp due to the better fit of the image of the former lamp with that of the analyte HCL. Smith-Hieftje background correction This technique (named after their inventors) is based on the line-broadening and self-reversal of emission lines from HCL when high current is applied. Total absorption is measured with normal lamp current, i.e., with a narrow emission line, and background absorption after application of a high-current pulse with the profile of the self-reversed line, which has little emission at the original wavelength, but strong emission on both sides of the analytical line. The advantage of this technique is that only one radiation source is used; among the disadvantages are that the high-current pulses reduce lamp lifetime, and that the technique can only be used for relatively volatile elements, as only those exhibit sufficient self-reversal to avoid dramatic loss of sensitivity. Another problem is that background is not measured at the same wavelength as total absorption, making the technique unsuitable for correcting structured background. Zeeman-effect background correction An alternating magnetic field is applied at the atomizer (graphite furnace) to split the absorption line into three components, the π component, which remains at the same position as the original absorption line, and two σ components, which are moved to higher and lower wavelengths, respectively. Total absorption is measured without magnetic field and background absorption with the magnetic field on. The π component has to be removed in this case, e.g. using a polarizer, and the σ components do not overlap with the emission profile of the lamp, so that only the background absorption is measured. The advantages of this technique are that total and background absorption are measured with the same emission profile of the same lamp, so that any kind of background, including background with fine structure can be corrected accurately, unless the molecule responsible for the background is also affected by the magnetic field and using a chopper as a polariser reduces the signal to noise ratio. While the disadvantages are the increased complexity of the spectrometer and power supply needed for running the powerful magnet needed to split the absorption line. Background correction techniques in HR-CS AAS In HR-CS AAS background correction is carried out mathematically in the software using information from detector pixels that are not used for measuring atomic absorption; hence, in contrast to LS AAS, no additional components are required for background correction. Background correction using correction pixels It has already been mentioned that in HR-CS AAS lamp flicker noise is eliminated using correction pixels. In fact, any increase or decrease in radiation intensity that is observed to the same extent at all pixels chosen for correction is eliminated
action, however, as an aide-de-camp to General Washington, who retained a high opinion of him. St. Clair was at Yorktown when Lord Cornwallis surrendered his army. During his military service, St. Clair was elected a member of the American Philosophical Society in 1780. "President of the United States in Congress Assembled" St. Clair was a member of the Pennsylvania Council of Censors in 1783, and was elected a delegate to the Confederation Congress, serving from November 2, 1785, until November 28, 1787. Chaos ruled the day in early 1787 with Shays's Rebellion in full force and the states refusing to settle land disputes or contribute to the now six-year-old federal government. On February 2, 1787, the delegates finally gathered into a quorum and elected St. Clair to a one-year term as President of the Continental Congress. Congress enacted its most important piece of legislation, the Northwest Ordinance, during St. Clair's tenure as president. Time was running out for the Confederation Congress, however; during St. Clair's presidency, the Philadelphia Convention was drafting a new United States Constitution, which would abolish the old Congress. Northwest Territory Under the Northwest Ordinance of 1787, which created the Northwest Territory, General St. Clair was appointed governor of what is now Ohio, Indiana, Illinois, Michigan, along with parts of Wisconsin and Minnesota. He named Cincinnati, Ohio, after the Society of the Cincinnati, and it was there that he established his home. As Governor, he formulated Maxwell's Code (named after its printer, William Maxwell), the first written laws of the territory. He also sought to end Native American claims to Ohio land and clear the way for white settlement. In 1789, he succeeded in getting certain Native Americans to sign the Treaty of Fort Harmar, but many native leaders had not been invited to participate in the negotiations, or had refused to do so. Rather than settling the Native Americans' claims, the treaty provoked them to further resistance in what is also sometimes known as the "Northwest Indian War" (or "Little Turtle's War"). Mutual hostilities led to a campaign by General Josiah Harmar, whose 1,500 militiamen were defeated by the Native Americans in October 1790. In March 1791, St. Clair succeeded Harmar as commander of the United States Army and was commissioned as a major general. He personally led a punitive expedition involving two Regular Army regiments and some militia. In October 1791 as an advance post for his campaign, Fort Jefferson (Ohio) was built under the direction of General Arthur St. Clair. Located in present-day Darke County in far western Ohio, the fort was built of wood and intended primarily as a supply depot; accordingly, it was originally named Fort Deposit. One month later, near modern-day Fort Recovery, his force advanced to the location of Native American settlements near the headwaters of the Wabash River, but on November 4 they were routed in battle by a tribal confederation led by Miami Chief Little Turtle and Shawnee chief Blue Jacket. They were aided by British collaborators Alexander McKee and Simon Girty. More than 600 soldiers and scores of women and children were killed in the battle, which has since borne the name "St. Clair's Defeat", also known as the "Battle of the Wabash", the "Columbia Massacre," or the "Battle of
at the Battle of the Plains of Abraham which resulted in the capture of Quebec City. Settler in America On April 16, 1762, he resigned his commission, and, in 1764, he settled in Ligonier Valley, Pennsylvania, where he purchased land and erected mills. He was the largest landowner in Western Pennsylvania. In 1770, St. Clair became a justice of the court, of quarter sessions and of common pleas, a member of the proprietary council, a justice, recorder, and clerk of the orphans' court, and prothonotary of Bedford and Westmoreland counties. In 1774, the colony of Virginia took claim of the area around Pittsburgh, Pennsylvania, and some residents of Western Pennsylvania took up arms to eject them. St. Clair issued an order for the arrest of the officer leading the Virginia troops. Lord Dunmore's War eventually settled the boundary dispute. Revolutionary War By the mid-1770s, St. Clair considered himself more of an American than a British subject. In January 1776, he accepted a commission in the Continental Army as a colonel of the 3rd Pennsylvania Regiment. He first saw service in the later days of the Quebec invasion, where he saw action in the Battle of Trois-Rivières. He was appointed a brigadier general in August 1776, and was sent by Gen. George Washington to help organize the New Jersey militia. He took part in George Washington's crossing of the Delaware River on the night of December 25–26, 1776, before the Battle of Trenton on the morning of December 26. Many biographers credit St. Clair with the strategy that led to Washington's capture of Princeton, New Jersey, on January 3, 1777. St. Clair was promoted to major general in February 1777. In April 1777, St. Clair was sent to defend Fort Ticonderoga. His outnumbered garrison could not resist British General John Burgoyne's larger force in the Saratoga campaign. St. Clair was forced to retreat at the Siege of Fort Ticonderoga on July 5, 1777. He withdrew his forces and played no further part in the campaign. In 1778 he was court-martialed for the loss of Ticonderoga. The court exonerated him and he returned to duty, although he was no longer given any battlefield commands. He still saw action, however, as an aide-de-camp to General Washington, who retained a high opinion of him. St. Clair was at Yorktown when Lord Cornwallis surrendered his army. During his military service, St. Clair was elected a member of the American Philosophical Society in 1780. "President of the United States in Congress Assembled" St. Clair was a member of the Pennsylvania Council of Censors in 1783, and was elected a delegate to the Confederation Congress, serving from November 2, 1785, until November 28, 1787. Chaos ruled the day in early 1787 with Shays's Rebellion in full force and the states refusing to settle land disputes or contribute to the now six-year-old federal government. On February 2, 1787, the delegates finally gathered into a quorum and elected St. Clair to a one-year term as President of the Continental Congress. Congress enacted its most important piece of legislation, the Northwest Ordinance, during St. Clair's tenure as president. Time was running out for the Confederation Congress, however; during St. Clair's presidency, the Philadelphia Convention was drafting a new United States Constitution, which would abolish the old Congress. Northwest Territory Under the Northwest Ordinance of 1787, which created the Northwest Territory, General St. Clair was appointed governor of what is now Ohio, Indiana, Illinois, Michigan, along with parts of Wisconsin and Minnesota. He named Cincinnati, Ohio, after the Society of the Cincinnati, and it was there that he established his home. As Governor, he formulated Maxwell's Code (named after its printer, William Maxwell), the first written laws of the territory. He also sought to end Native American claims to Ohio land and clear the way for white settlement. In 1789, he succeeded in getting certain Native Americans to sign the Treaty of Fort Harmar, but many native leaders had not been invited to participate in the negotiations, or had refused to do so. Rather than settling the Native Americans' claims, the treaty provoked them to further resistance in what is also sometimes known as the "Northwest Indian War" (or "Little Turtle's War"). Mutual hostilities led to a campaign by General Josiah Harmar, whose 1,500 militiamen were defeated by the Native Americans in October 1790. In March 1791, St. Clair succeeded Harmar as commander of the United States Army and was commissioned as a major general. He personally led a punitive expedition involving two Regular Army regiments and some militia. In October 1791 as an advance post for his campaign, Fort Jefferson (Ohio) was built under the direction of General Arthur St. Clair. Located in present-day Darke County in far western Ohio, the fort was built of wood and intended primarily as a supply depot; accordingly, it was originally named Fort Deposit. One month later, near modern-day Fort Recovery, his force advanced to the location of Native American settlements near the headwaters of the Wabash River, but on November 4 they were routed in battle by a tribal confederation led by Miami Chief Little Turtle and Shawnee chief Blue Jacket. They were aided by British collaborators Alexander McKee and Simon Girty. More than 600 soldiers
September 2009, the city was hit by a tornado with an intensity of F1 on the Fujita scale. There was little damage except torn billboards, flying tiles, overturned cars, and broken windows but no casualties. Weather Data for Ajaccio Heraldry History Antiquity The city was not mentioned by the Greek geographer Ptolemy of Alexandria in the 2nd century AD despite the presence of a place called Ourkinion in the Cinarca area. It is likely that the city of Ajaccio had its first development at this time. The 2nd century was a period of prosperity in the Mediterranean basin (the Pax Romana) and there was a need for a proper port at the head of the several valleys that lead to the Gulf able to accommodate large ships. Some important underwater archaeological discoveries recently made of Roman ships tend to confirm this. Further excavations conducted recently led to the discovery of important early Christian remains likely to significantly a reevaluation upwards of the size of Ajaccio city in Late Antiquity and the beginning of the Middle Ages. The city was in any case already significant enough to be the seat of a diocese, mentioned by Pope Gregory the Great in 591. The city was then further north than the location chosen later by the Genoese - in the location of the existing quarters of Castel Vecchio and Sainte-Lucie. The earliest certain written record of a settlement at Ajaccio with a name ancestral to its name was the exhortation in Epistle 77 written in 601AD by Gregory the great to the Defensor Boniface, one of two known rectors of the early Corsican church, to tell him not to leave Aléria and Adjacium without bishops. There is no earlier use of the term and Adjacium is not an attested Latin word, which probably means that it is a Latinization of a word in some other language. The Ravenna Cosmography of about 700 AD cites Agiation, which sometimes is taken as evidence of a prior Greek city, as -ion appears to be a Greek ending. There is, however, no evidence at all of a Greek presence on the west coast and the Ionians at Aléria on the east coast had been expelled by the Etruscans long before Roman domination. Ptolemy, who must come the closest to representing indigenous names, lists the Lochra River just south of a feature he calls the "sandy shore" on the southwest coast. If the shore is the Campo dell'Oro (Place of Gold) the Lochra would seem to be the combined mouth of the Gravona and Prunelli Rivers, neither one of which sounds like Lochra. North of there was a Roman city, Ourchinion. The western coastline was so distorted, however, that it is impossible to say where Adjacium was; certainly, he would have known its name and location if he had had any first-hand knowledge of the island and if in fact it was there. Ptolemy's Ourchinion is further north than Ajaccio and does not have the same name. It could be Sagone. The lack of correspondence between Ptolemaic and historical names known to be ancient has no defense except in the case of the two Roman colonies, Aleria and Mariana. In any case the population of the region must belong to Ptolemy's Tarabeni or Titiani people, neither of which are ever heard about again. Archaeological evidence The population of the city throughout the centuries maintained an oral tradition that it had originally been Roman. Travellers of the 19th century could point to the Hill of San Giovanni on the northwest shore of the Gulf of Ajaccio, which still had a cathedral said to have been the 6th-century seat of the Bishop of Ajaccio. The Castello Vecchio ("old castle"), a ruined citadel, was believed to be Roman but turned out to have Gothic features. The hill was planted with vines. The farmers kept turning up artifacts and terracotta funerary urns that seemed to be Roman. In the 20th century, the hill was covered over with buildings and became a part of downtown Ajaccio. In 2005 construction plans for a lot on the hill offered the opportunity to the Institut national de recherches archéologiques preventatives (Inrap) to excavate. They found the baptistry of a 6th-century cathedral and large amounts of pottery dated to the 6th and 7th centuries AD; in other words, an early Christian town. A cemetery had been placed over the old church. In it was a single Roman grave covered over with roof tiles bearing short indecipherable inscriptions. The finds of the previous century had included Roman coins. This is the only evidence so far of a Roman city continuous with the early Christian one. Medieval Genoese period It has been established that after the 8th century the city, like most other Corsican coastal communities, strongly declined and disappeared almost completely. Nevertheless, a castle and a cathedral were still in place in 1492 which last was not demolished until 1748. Towards the end of the 15th century, the Genoese were eager to assert their dominance in the south of the island and decided to rebuild the city of Ajaccio. Several sites were considered: the Pointe de la Parata (not chosen because it was too exposed to the wind), the ancient city (finally considered unsafe because of the proximity of the salt ponds), and finally the Punta della Lechia which was finally selected. Work began on the town on 21 April 1492 south of the Christian village by the Bank of Saint George at Genoa, who sent Cristoforo of Gandini, an architect, to build it. He began with a castle on Capo di Bolo, around which he constructed residences for several hundred people. The new city was essentially a colony of Genoa. The Corsicans were restricted from the city for some years. Nevertheless, the town grew rapidly and became the administrative capital of the province of Au Delà Des Monts (more or less the current Corse-du-Sud). Bastia remained the capital of the entire island. Although at first populated exclusively by the Genoese, the city slowly opened to the Corsicans while the Ajaccians, almost to the French conquest, were legally citizens of the Republic of Genoa and were happy to distinguish themselves from the insular paesani who lived mainly in Borgu, a suburb outside the city walls (the current rue Fesch was the main street). Attachment to France Ajaccio was occupied from 1553 to 1559 by the French, but it again fell to the Genoese after the Treaty of Cateau Cambresis in the latter year. Subsequently, the Republic of Genoa was strong enough to keep Corsica until 1755, the year Pasquale Paoli proclaimed the Corsican Republic. Paoli took most of the island for the republic, but he was unable to force Genoese troops out of the citadels of Saint-Florent, Calvi, Ajaccio, Bastia and Algajola. Leaving them there, he went on to build the nation, while the Republic of Genoa was left to ponder prospects and solutions. Their ultimate solution was to sell Corsica to France in 1768 and French troops of the Ancien Régime replaced Genoese ones in the citadels, including Ajaccio's. Corsica was formally annexed to France in 1780. Napoleon Napoleon Bonaparte (born as Napoleone di Buonaparte) was born at Ajaccio in the same year as the Battle of Ponte Novu, 1769. The Buonaparte family at the time had a modest four-story home in town (now a museum known as Maison Bonaparte) and a rarely used country home in the hills north of the city (now site of the Arboretum des Milelli). The father of the family, attorney Carlo di Buonaparte, was secretary to Pasquale Paoli during the Corsican Republic. After the defeat of Paoli, the Comte de Marbeuf began to meet with some leading Corsicans to outline the shape of the future and enlist their assistance. The Comte was among a delegation from Ajaccio in 1769, offered his loyalty and was appointed assessor. Marbeuf also offered Carlo di Buonaparte an appointment for one of his sons to the Military College of Brienne, but Napoleone did not speak French which was a requirement and he had to be at least ten years of age. There is a dispute concerning Napoleon's age because of this requirement; the emperor is known to have altered the civic records at Ajaccio concerning himself and it is possible that he was born in Corte in 1768 when his father was there on business. In any case Napoleon was sent to a school in Autun to learn basic French, then after a year went to Brienne from 1779 to 1784. At Brienne Napoleon concentrated on studies. He wrote a boyish history of Corsica. He did not share his father's views but held Pasquale Paoli in high esteem and was at heart a Corsican nationalist. The top students were encouraged to go into the artillery. After graduation and a brief sojourn at the Military School of Paris Napoleon applied for a second-lieutenancy in the artillery regiment of La Fère at Valence and after a time was given the position. Meanwhile, his father died and his mother was cast into poverty in Corsica, still having four children to support. Her only income was Napoleon's meager salary. The regiment was in Auxonne when the revolution broke out in the summer of 1789. Napoleon returned on leave to Ajaccio in October, became a Jacobin and began to work for the revolution. The National Assembly in Paris united Corsica to France and pardoned its exiles. Paoli returned in 1790 after 21 years and kissed the soil on which he stood. He and Napoleon met and toured the battlefield of Paoli's defeat. A national assembly at Orezza created the department of Corsica and Paoli was subsequently elected president. He commanded the national guard raised by Napoleon. After a brief return to his regiment Napoleon was promoted to First Lieutenant and came home again on leave in 1791. The death of a rich uncle relieved the family's poverty. All officers were recalled from leave in 1792, intervention threatened and war with Austria (Marie-Antoinette's homeland) began. Napoleon returned to Paris for review, was exonerated, then promoted to Captain and given leave to escort his sister, a schoolgirl, back to Corsica at state expense. His family was prospering; his estate increased. Napoleon became a Lieutenant-Colonel in the Corsican National Guard. Paoli sent him off on an expedition to Sardinia, ordered by France, under Paolis's nephew but the nephew had secret orders from Paoli to make sure the expedition failed. Paoli was now a conservative, opposing the execution of the king and supporting an alliance with Great Britain. Returning from Sardinia Napoleon with his family and all his supporters were instrumental in getting Paoli denounced at the National Convention in Paris in 1793. Napoleon earned the hatred of the Paolists by pretending to support Paoli and then turning against him (payment, one supposes, for Sardinia). Paoli was convicted in absentia, a warrant was issued for his arrest (which could not be served) and Napoleon was dispatched to Corsica as Inspector General of Artillery to take the citadel of Ajaccio from the royalists who had held it since 1789. The Paolists combining with the royalists defeated the French in two pitched battles and Napoleon and his family went on the run, hiding by day, while the Paolists burned their estate. Napoleon and his mother, Laetitia, were taken out by ship in June 1793, by friends while two of the girls found refuge with other friends. They landed in Toulon with only Napoleon's pay for their support. The Bonapartes moved to Marseille but in August Toulon offered itself to the British and received the protection of a fleet under Admiral Hood. The Siege of Toulon began in September under revolutionary officers mainly untrained in the art of war. Napoleon happened to present socially one evening and during a casual conversation over a misplaced 24-pounder explained the value of artillery. Taken seriously he was allowed to bring up over 100 guns from coastal emplacements but his plan for the taking of Toulon was set aside as one incompetent officer superseded another. By December they decided to try his plan and made him a Colonel. Placing the guns at close range he used them to keep the British fleet away while he battered down the walls of Toulon. As soon as the Committee of Public Safety heard of the victory Napoleon became a Brigadier General, the start of his meteoric rise to power. The Bonapartes were back in Ajaccio in 1797 under the protection of General Napoleon. Soon after Napoleon became First Consul and then emperor, using his office to spread revolution throughout Europe. In 1811 he made Ajaccio the capital of the new Department of Corsica. Despite his subsequent defeat by the Prussians, Russians, and British, his exile and his death, no victorious power reversed that decision or tried to remove Corsica from France. Among the natives, though Corsican nationalism is strong, and feeling often runs high in favour of a union with Italy; loyalty to France, however, as evidenced by elections, remains stronger. 19th and 20th centuries In the 19th century Ajaccio became a winter resort of the high society of the time, especially for the English, in the same way as Monaco, Cannes, and Nice. An Anglican Church was even built. The first prison in France for children was built in Ajaccio in 1855: the Horticultural colony of Saint Anthony. It was a correctional colony for juvenile delinquents (from 8 to 20 years old), established under Article 10 of the Act of 5 August 1850. Nearly 1,200 children from all over France stayed there until 1866, when it was closed. Sixty percent of them perished, the victims of poor sanitation and malaria which infested the unhealthy areas that they were responsible to clean. Contemporary history On 9 September 1943, the people of Ajaccio rose up against the Nazi occupiers and became the first French town to be liberated from the domination of the Germans. General Charles de Gaulle went to Ajaccio on 8 October 1943 and said: "We owe it to the field of battle the lesson of the page of history that was written in French Corsica. Corsica to her fortune and honour is the first morsel of France to be liberated; which was done intentionally and willingly, in the light of its liberation, this demonstrates that these are the intentions and the will of the whole nation." Throughout this period, no Jew was executed or deported from Corsica through the protection afforded by its people and its government. This event now allows Corsica to aspire to the title "Righteous Among the Nations", as no French region except for the commune Le Chambon-sur-Lignon in Haute-Loire carries this title. Their case is being investigated . Since the middle of the 20th century, Ajaccio has seen significant development. The city has seen population growth and considerable urban sprawl. Today Ajaccio is the capital of Corsica and the main town of the island and seeks to establish itself as a true regional centre. Economy The city is, with Bastia, the economic, commercial and administrative centre of Corsica. Its urban area of nearly 90,000 inhabitants is spread over a large part of the Corse-du-Sud, on either side of the
far the main source of employment in the city. Ajaccio is an administrative centre comprising communal, intercommunal, departmental, regional, and prefectural services. It is also a shopping centre with the commercial streets of the city centre and the areas of peripheral activities such as that of Mezzavia (hypermarket Géant Casino) and along the ring road (hypermarket Carrefour and E. Leclerc). Tourism is one of the most vital aspects of the economy, split between the seaside tourism of summer, cultural tourism, and fishing. A number of hotels, varying from one star to five star, are present across the commune. Ajaccio is the seat of the Chamber of Commerce and Industry of Ajaccio and Corsica South. It manages the ports of Ajaccio, Bonifacio, Porto-Vecchio, Propriano and the Tino Rossi marina. It also manages Ajaccio airport and Figari airport as well as the convention centre and the Centre of Ricanto. Secondary industry is underdeveloped, apart from the aeronautical company Corsica Aerospace Composites CCA, the largest company on the island with 135 employees at two sites. The storage sites of GDF Suez (formerly Gaz de France) and Antargaz in the district of Vazzio are classified as high risk. Energy The Centrale EDF du Vazzio, a heavy oil power station, provides the south of the island with electricity. The Gravona Canal delivers water for consumption by the city. Transport Road access By road, the city is accessible from National Route NR194 from Bastia and NR193 via NR196 from Bonifacio. These two main axes, as well as the roads leading to suburban villages, connect Ajaccio from the north - the site of Ajaccio forming a dead end blocked by the sea to the south. Only the Cours Napoleon and the Boulevard du Roi Jerome cross the city. Along with the high urban density, this explains the major traffic and parking problems especially during peak hours and during the summer tourist season. A bypass through several neighbourhoods is nearing completion. Communal bus services The Muvistrada provide services on 21 urban routes, one "city" route for local links and 20 suburban lines. The frequency varies according to demand with intervals of 30 minutes for the most important routes: A park and ride with 300 spaces was built at Mezzana in the neighbouring commune of Sarrola-Carcopino in order to promote intermodality between cars and public transport. It was inaugurated on 12 July 2010. Airport The city is served by an Ajaccio Napoleon Bonaparte Airport which is the headquarters of Air Corsica, a Corsican airline. It connects Ajaccio to a number of cities in mainland France (including Paris, Marseille, Nice, and Brive) and to places in Europe to serve the tourist industry. The airline CCM Airlines also has its head office on the grounds of the Airport. Port The port of Ajaccio is connected to the French mainland on an almost daily basis (Marseille, Toulon, Nice). There are also occasional links to the Italian mainland (Livorno) and to Sardinia, as well as a seasonal service serving Calvi and Propriano. The two major shipping companies providing these links are Corsica Linea and Corsica Ferries. Ajaccio has also become a stopover for cruises with a total of 418,086 passengers in 2007by far the largest in Corsica and the second-largest in France (after Marseille, but ahead of Nice/Villefranche-sur-Mer and Cannes). The goal is for Ajaccio to eventually become the premier French port for cruises as well as being a main departure point. The Port function of the city is also served by the commercial, pleasure craft, and artisanal fisheries (3 ports). Railways The railway station in Ajaccio belongs to Chemins de fer de la Corse and is located near the port at the Square Pierre Griffi. It connects Ajaccio to Corte, Bastia (3 h 25 min) and Calvi. There are two optional stops: Salines Halt north of the city in the district of the same name Campo dell'Oro Halt near the airport In addition, the municipality has introduced an additional commuter service between Mezzana station in the suburbs and Ajaccio station located in the centre. Administration Ajaccio was successively: Capital of the district of the department of Corsica in 1790 to 1793 Capital of the department of Liamone from 1793 to 1811 Capital of the department of Corsica from 1811 to 1975 Capital of the region and the collectivité territoriale de Corse since 1970 and the department of Corse-du-Sud since 1976 Policy Ajaccio remained (with some interruptions) an electoral stronghold of the Bonapartist (CCB) party until the municipal elections of 2001. The outgoing municipality was then beaten by a left-wing coalition led by Simon Renucci which gathered Social Democrats, Communists, and Charles Napoleon - the pretender to the imperial throne. List of Successive Mayors of Ajaccio Quarters 10 Quarters are recognized by the municipality. Cannes-Binda: an area north of the city, consisting of Housing estates, classed as a Sensitive urban zone (ZUS) with Les Salines, subject to a policy of urban renewal Centre Ville: The tourist heart of the city consisting of shopping streets and major thoroughfares Casone: a bourgeois neighbourhood with an affluent population located in the former winter resort on the heights of the southern city. Les Jardins de l'Empereur: a neighbourhood classified as a Sensitive urban zone (ZUS) on the heights of the city, consisting of housing estates overlooking the city Mezzavia: northern quarter of the town with several subdivisions and areas of business and economic activities Octroi-Sainte Lucie: constitutes the northern part of the city centre near the port and the railway station Pietralba: quarter northeast of the city, classified ZUS Résidence des Îles: quarter to the south of the city near the tourist route of Sanguinaires in a quality environment Saint-Jean: collection of buildings for a population with low incomes, close to the historic urban core of the city, classified as a Sensitive urban zone (ZUS) Saline: quarter north of the city, consisting of large apartment blocks, classed as a Sensitive urban zone (ZUS) with Les Cannes, subject to a policy of urban renewal Vazzio: quarter northeast of the city, near the airport, the EDF Central, and the Francois Coty stadium. Intercommunality Since December 2001, Ajaccio has been part of the Communauté d'agglomération du Pays Ajaccien with nine other communes: Afa, Alata, Appietto, Cuttoli-Corticchiato, Peri, Sarrola-Carcopino, Tavaco, Valle-di-Mezzana, and Villanova. Origins The geopolitical arrangements of the commune are slightly different from those typical of Corsica and France. Usually an arrondissement includes cantons and a canton includes one to several communes including the chef-lieu, "chief place", from which the canton takes its name. The city of Ajaccio is one commune, but it contains four cantons, Cantons 1–4, and a fraction of Canton 5. The latter contains three other communes: Bastelicaccia, Alata and Villanova, making a total of four communes for the five cantons of Ajaccio. Each canton contains a certain number of quartiers, "quarters". Cantons 1, 2, 3, 4 are located along the Gulf of Ajaccio from west to east, while 5 is a little further up the valleys of the Gravona and the Prunelli Rivers. These political divisions subdivide the population of Ajaccio into units that can be more democratically served but they do not give a true picture of the size of Ajaccio. In general language, "greater Ajaccio" includes about 100,000 people with all the medical, educational, utility and transportational facilities of a big city. Up until World War II it was still possible to regard the city as being a settlement of narrow streets localized to a part of the harbour or the Gulf of Ajaccio: such bucolic descriptions do not fit the city of today, and travelogues intended for mountain or coastal recreational areas do not generally apply to Corsica's few big cities. The arrondissement contains other cantons that extend generally up the two rivers into central Corsica. Twin towns – sister cities Ajaccio is twinned with: La Maddalena, Italy (1991) Population The population of Ajaccio increased sharply after 1960 due to migration from rural areas and the coming of "Pied-Noirs" (French Algerians), immigrants from the Maghreb and French from mainland France. Health Ajaccio has three hospital sites: the Misericordia Hospital, built in 1950, is located on the heights of the city centre. This is the main medical facility in the region. The Annex Eugenie. the Psychiatric Hospital of Castelluccio is west of the city centre and is also home of cancer services and long-stay patients. Education Ajaccio is the headquarters of the Academy of Corsica. The city of Ajaccio has: 18 nursery schools (16 public and 2 private) 17 primary schools (15 public and 2 private) 6 colleges 5 Public Schools: Collège Arthur-Giovoni Collège des Padule Collège Laetitia Bonaparte Collège Fesch EREA 1 Private School: Institution Saint Paul 3 sixth-form colleges/senior high schools 2 public schools: Lycée Laetitia Bonaparte Lycée Fesch 1 private: Institution Saint Paul 2 LEP (vocational high schools) Lycée Finosello Lycée Jules Antonini Higher education is undeveloped except for a few BTS and IFSI, the University of Corsica Pascal Paoli is located in Corte. A research facility of INRA is also located on Ajaccio. Culture and heritage Ajaccio has a varied tourism potential, with both a cultural framework in the centre of the city and a natural heritage around the coves and beaches of the Mediterranean Sea, as well as the Natura 2000 reserve of the îles Sanguinaires. Civil heritage The commune has many buildings and structures that are registered as historical monuments: The Monument to General Abbatucci in the Place Abbatucci (1854) The Monument to Napoleon I in the Place d'Austerlitz (20th century) The Baciocchi Family Mansion at 9 Rue Bonaparte (18th century) The Fesch Palace at 48 bis Rue Cardinal-Fesch (1827) The Monument to the First Consul in the Place Foch (1850) The Peraldi House at 18 Rue Forcioli-Conti (1820) The Grand Hotel at Cours Grandval (1869) The old Château Conti at Cours Grandval (19th century) The Monument to Napoleon and his brothers in the Place du General de Gaulle (1864) The Monument to Cardinal Fesch at the Cour du Musée Fesch (1856) The old Alban Factory at 89 Cours Napoleon (1913) The Milelli House in the Saint-Antoine Quarter (17th century) The Hotel Palace-Cyrnos (1880), an old Luxury Hotel from the 19th century and a famous palace of the old days in the quarter "for foreigners" now converted into housing. The Lantivy Palace (1837), an Italian palace now headquarters of the prefecture of Corsica. The Hotel de Ville (1836) Napoleon Bonaparte's House (17th century) now a national museum: the Maison Bonaparte The old Lazaretto of Aspretto (1843) The Citadel (1554) The Sawmill at Les Salines (1944) The Lighthouse on the Sanguinaires Islands (1844) Other sites of interest The Monument in the Place du Casone The old town and the Borgu are typically Mediterranean with their narrow streets and picturesque buildings The Place Bonaparte, a quarter frequented chiefly by winter visitors attracted by the mild climate of the town. The Musée Fesch houses a large collection of Italian Renaissance paintings The Bandera Museum, a History Museum of Mediterranean Corsica The Municipal library, in the north wing of Musée Fesch, has early printed books from as early as the 14th century The area known as the Foreigners' Quarter has a number of old palaces, villas, and buildings once built for the wintering British in the Belle Époque such as the Anglican Church and the Grand Hotel Continental. Some of the buildings are in bad condition and very degraded, others were destroyed for the construction of modern buildings. The Genoese towers: Torra di Capu di Fenu, Torra di a Parata, and Torra di Castelluchju in the Îles Sanguinaires archipelago The Square Pierre Griffi (in front of the railway station), hero of the Corsican Resistance, one of the members of the Pearl Harbour secret mission, the first operation launched in occupied Corsica to coordinate resistance. The Statue of Commandant Jean L'Herminier (in front of the ferry terminal), commander of the French submarine Casabianca (1935) which actively participated in the struggle for the liberation of Corsica in September 1943. Religious heritage The town is the seat of a bishopric dating at least from the 7th century. It has tribunals of first instance and of commerce, training colleges, a communal college, a museum and a library; the three latter are established in the Palais Fesch, founded by Cardinal Fesch, who was born at Ajaccio in 1763. The commune has several religious buildings and structures that are registered as historical monuments: The former Episcopal Palace at 24 Rue Bonaparte (1622) The Oratory of Saint Roch at Rue Cardinal-Fesch (1599) The Chapel of Saint Erasme or Sant'Erasmu at 22 Rue Forcioli-Conti (17th century) The Oratory of Saint John the Baptist at Rue du Roi-de-Dome (1565) The Cathedral of Santa Maria Assunta at Rue Saint-Charles (1582) from the Renaissance which depended on the diocese of Ajaccio and where Napoleon was baptized with its organ from Cavaillé-Coll. The Chapel of the Greeks on the Route des Sanguiunaires (1619) The Early Christian Baptistery of Saint John (6th century) The Imperial Chapel (1857) houses the graves of Napoleon's parents and his brothers and sisters. Other religious sites of interest The Church of Saint Roch, Neoclassical architecture by Ajaccien project architect Barthélémy Maglioli (1885) Environmental heritage Sanguinaires Archipelago: The Route des Sanguinaires runs along the southern coast of the city after the Saint François Beach. It is lined with villas and coves and beaches. Along the road is the Ajaccio cemetery with the grave of Corsican singer Tino Rossi. At the mouth of the Route des Sanguinaires is the Pointe de la Parata near the archipelago and the lighthouse. The Sentier des Crêtes (Crest Trail) starts from the city centre and is an easy hike offering splendid views of the Gulf of Ajaccio. The shores of the Gulf are dotted with a multitude of small coves and beaches ideal for swimming and scuba diving. Many small paths traversing the maquis (high ground covered in thick vegetation) in the commune from which the Maquis resistance network was named. Interests The city has two marinas and a casino. The main activities are concentrated in the city centre on the Route des Sanguinaires (cinemas, bars, clubs etc.). In popular culture Films made in Ajaccio include: Napoléon, one of the last successful French silent films by Abel Gance in 1927. Les Radonneurs, a French film directed by Philippe Harel in 1997. Les Sanguinaires, a film by Laurent Cantet in 1998. The Amazing Race, an American TV series by Elise Doganieri and Bertram van Munster in 2001 (season 6 episode 9). L'Enquête Corse, directed by Alain Berberian in 2004. Trois petites filles, a French film directed by Jean-Loup Hubert in 2004. Joueuse (Queen to Play), a French film directed by Caroline Bottaro in 2009. Sports There are various sports facilities developed throughout the city. AC Ajaccio is a French Ligue 2 football club which plays at the Stade François Coty (13,500 seats) in the north-east of the city Gazélec Football Club Ajaccio, in Championnat National, football club which plays at the Stade Ange Casanova located at Mezzavia, 2,900 seats. GFCO Ajaccio handball GFCO Ajaccio Volleyball GFCO Ajaccio Basketball Vignetta Racecourse Notable people Carlo Buonaparte (1746–1785), politician, father of Napoleon Bonaparte Felice Pasquale Baciocchi (1762–1841), general of the armies of the Revolution and the Empire, brother in law of the Emperor Napoleon 1st, Grand Duke of Tuscany Joseph Fesch (1763–1839), cardinal Napoleon Bonaparte (1769–1821), Emperor of France Lucien Bonaparte (1775–1840), Prince of Canino and Musignano, Interior Minister of France Elisa Bonaparte (1777–1820), Grand Duchess of Tuscany Louis Bonaparte (1778–1846), King of Holland Caroline Bonaparte (1782–1839), Queen Consort of Naples and Sicily Jérôme Bonaparte (1784–1860), King of Westphalia François Coty (1874–1934), perfumer, businessman, newspaper publisher and politician Irène Bordoni (1895–1953), singer and actress Tino Rossi (1907–1983), singer and actor Michel Giacometti (1929–1990), ethnomusicologist François Duprat (1941–1978), writer Michel Ferracci-Porri (born 1949), writer Jean-Michel Cavalli (born 1959), football player and manager Alizée (born 1984), singer Military Units that were stationed in Ajaccio: 163rd Infantry Regiment, 1906 173rd Infantry Regiment The Aspretto
in 1868–69 and 1896–97. The state acceded to the Government of India on 1 January 1950; the ruling chief was granted a privy purse of Rs. 74,700/-, and the courtesy use of his styles and titles. All of these were revoked by the government of India in 1971, at the time when these privileges were revoked from all erstwhile princes. The former princely state became part of the new Indian state of Vindhya Pradesh, and most of the territory of the former state, including the town of Ajaigarh, became part of Panna District, with a smaller portion going to Chhatarpur District. Vindhya Pradesh was merged into Madhya Pradesh on 1 November 1956. Rulers of Ajaygarh Maharajadhiraja Chhatrasal : 1649–1731 (founder ruler of many kingdoms) ___|__ Hirdeshah Jagatraj Bhartichandra (Panna) (Jaitpur) (Jaso) |__ Vir Singh Kirat Singh Pahar Singh (1758–1765) |__ Khuman Singh Guman Singh (1765–1792) Durg Singh (Charkari) (Banda)(No issues) | |__Son of__| Bhakhat Singh :b. 1792-d. 1837 (Founder ruler of Ajaigarh) _|___ Madho Singh (r. 1837–1849) Mahipat Singh (r. 1849–1853) (No male issue) | | Ranjore Singh (K.C.I.E)__Vijay Singh (R. 1853–1855) (born 1844; died 1919) (died early, fell from horse) _| Jaipal Singh Bhopal Singh (K.C.I.E.) Pakshpal Singh (born 1866; died 1942) | Punyapratap Singh: (born 1884; died 1958) | Devendra Vijay Singh (born 1913; died 1984) (Privy Purses, titles abolished) _|_
in 1765 by Guman Singh, a Bundela Rajput who was the nephew of Raja Pahar Singh of Jaitpur. After Ajaigarh was captured by the British in 1809, it became a princely state in the Bundelkhand Agency of the Central India Agency. It had an area of , and a population of 78,236 in 1901. The rulers bore the title of sawai maharaja. He commanded an estimated annual revenue of about £15,000/-, and paid a tribute of £460/-. The chief resided at the town of Nowgong, at the foot of the hill-fortress of Ajaigarh, from which the state took its name. This fort, situated on a steep hill, towers more than above the eponymous township, and contains the ruins of several temples adorned with elaborately carved sculptures. The town was often afflicted by malaria, and suffered severely from famine in 1868–69 and 1896–97. The state acceded to the Government of India on 1 January 1950; the ruling chief was granted a privy purse of Rs. 74,700/-, and the courtesy use of his styles and titles. All of these were revoked by the government of India in 1971, at the time when these privileges were revoked from all erstwhile princes. The former princely state became part of the new Indian state of Vindhya Pradesh, and most of the territory of the former state, including the town of Ajaigarh, became part of Panna District, with a smaller portion going to Chhatarpur District. Vindhya Pradesh was merged into Madhya Pradesh on 1 November 1956. Rulers of Ajaygarh Maharajadhiraja Chhatrasal : 1649–1731 (founder ruler of many kingdoms) ___|__ Hirdeshah Jagatraj Bhartichandra (Panna) (Jaitpur) (Jaso) |__ Vir Singh Kirat Singh Pahar Singh (1758–1765) |__ Khuman Singh Guman Singh (1765–1792) Durg Singh (Charkari) (Banda)(No issues) | |__Son of__| Bhakhat Singh :b. 1792-d. 1837
caves deployed a huge number of builders. Cave 1 Cave 1 was built on the eastern end of the horseshoe-shaped scarp and is now the first cave the visitor encounters. This cave, when first made, would have been in a less prominent position, right at the end of the row. According to Spink, it is one of the last caves to have been excavated, when the best sites had been taken, and was never fully inaugurated for worship by the dedication of the Buddha image in the central shrine. This is shown by the absence of sooty deposits from butter lamps on the base of the shrine image, and the lack of damage to the paintings that would have happened if the garland-hooks around the shrine had been in use for any period of time. Spink states that the Vākāṭaka Emperor Harishena was the benefactor of the work, and this is reflected in the emphasis on imagery of royalty in the cave, with those Jataka tales being selected that tell of those previous lives of the Buddha in which he was royal. The cliff has a steeper slope here than at other caves, so to achieve a tall grand facade it was necessary to cut far back into the slope, giving a large courtyard in front of the facade. There was originally a columned portico in front of the present facade, which can be seen "half-intact in the 1880s" in pictures of the site, but this fell down completely and the remains, despite containing fine carvings, were carelessly thrown down the slope into the river and lost. This cave (35.7 m × 27.6 m) has one of the most elaborate carved facades, with relief sculptures on entablature and ridges, and most surfaces embellished with decorative carving. There are scenes carved from the life of the Buddha as well as a number of decorative motifs. A two-pillared portico, visible in the 19th-century photographs, has since perished. The cave has a forecourt with cells fronted by pillared vestibules on either side. These have a high plinth level. The cave has a porch with simple cells at both ends. The absence of pillared vestibules on the ends suggests that the porch was not excavated in the latest phase of Ajanta when pillared vestibules had become customary. Most areas of the porch were once covered with murals, of which many fragments remain, especially on the ceiling. There are three doorways: a central doorway and two side doorways. Two square windows were carved between the doorways to brighten the interiors. Each wall of the hall inside is nearly long and high. Twelve pillars make a square colonnade inside, supporting the ceiling and creating spacious aisles along the walls. There is a shrine carved on the rear wall to house an impressive seated image of the Buddha, his hands being in the dharmachakrapravartana mudra. There are four cells on each of the left, rear, and the right walls, though due to rock fault there are none at the ends of the rear aisle. The paintings of Cave 1 cover the walls and the ceilings. They are in a fair state of preservation, although the full scheme was never completed. The scenes depicted are mostly didactic, devotional, and ornamental, with scenes from the Jataka stories of the Buddha's former lives as a bodhisattva, the life of the Gautama Buddha, and those of his veneration. The two most famous individual painted images at Ajanta are the two over-lifesize figures of the protective bodhisattvas Padmapani and Vajrapani on either side of the entrance to the Buddha shrine on the wall of the rear aisle (see illustrations above). Other significant frescoes in Cave 1 include the Sibi, Sankhapala, Mahajanaka, Mahaummagga, and Champeyya Jataka tales. The cave-paintings also show the Temptation of Mara, the miracle of Sravasti where the Buddha simultaneously manifests in many forms, the story of Nanda, and the story of Siddhartha and Yasodhara. Cave 2 Cave 2, adjacent to Cave 1, is known for the paintings that have been preserved on its walls, ceilings, and pillars. It looks similar to Cave 1 and is in a better state of preservation. This cave is best known for its feminine focus, intricate rock carvings and paint artwork yet it is incomplete and lacks consistency. One of the 5th-century frescos in this cave also shows children at a school, with those in the front rows paying attention to the teacher, while those in the back row are shown distracted and acting. Cave 2 (35.7 m × 21.6 m) was started in the 460s, but mostly carved between 475 and 477 CE, probably sponsored and influenced by a woman closely related to emperor Harisena. It has a porch quite different from Cave 1. Even the façade carvings seem to be different. The cave is supported by robust pillars, ornamented with designs. The front porch consists of cells supported by pillared vestibules on both ends. The hall has four colonnades which are supporting the ceiling and surrounding a square in the center of the hall. Each arm or colonnade of the square is parallel to the respective walls of the hall, making an aisle in between. The colonnades have rock-beams above and below them. The capitals are carved and painted with various decorative themes that include ornamental, human, animal, vegetative, and semi-divine motifs. Major carvings include that of goddess Hariti. She is a Buddhist deity who originally was the demoness of smallpox and a child eater, who the Buddha converted into a guardian goddess of fertility, easy child birth and one who protects babies. The paintings on the ceilings and walls of Cave 2 have been widely published. They depict the Hamsa, Vidhurapandita, Ruru, Kshanti Jataka tales and the Purna Avadhana. Other frescos show the miracle of Sravasti, Ashtabhaya Avalokitesvara and the dream of Maya. Just as the stories illustrated in cave 1 emphasise kingship, those in cave 2 show many noble and powerful women in prominent roles, leading to suggestions that the patron was an unknown woman. The porch's rear wall has a doorway in the center, which allows entrance to the hall. On either side of the door is a square-shaped window to brighten the interior. Cave 3 Cave 3 is merely a start of an excavation; according to Spink it was begun right at the end of the final period of work and soon abandoned. This is an incomplete monastery and only the preliminary excavations of pillared veranda exist. The cave was one of the last projects to start at the site. Its date could be ascribed to circa 477 CE, just before the sudden death of Emperor Harisena. The work stopped after the scooping out of a rough entrance of the hall. Cave 4 Cave 4, a Vihara, was sponsored by Mathura, likely not a noble or courtly official, rather a wealthy devotee. This is the largest vihara in the inaugural group, which suggests he had immense wealth and influence without being a state official. It is placed at a significantly higher level, possibly because the artists realized that the rock quality at the lower and same level of other caves was poor and they had a better chance of a major vihara at an upper location. Another likely possibility is that the planners wanted to carve into the rock another large cistern to the left courtside for more residents, mirroring the right, a plan implied by the height of the forward cells on the left side. The Archaeological Survey of India dates it to the 6th century CE. Spink, in contrast, dates this cave's inauguration a century earlier, to about 463 CE, based on construction style and other inscriptions. Cave 4 shows evidence of a dramatic collapse of its ceiling in the central hall, likely in the 6th century, something caused by the vastness of the cave and geological flaws in the rock. Later, the artists attempted to overcome this geological flaw by raising the height of the ceiling through deeper excavation of the embedded basalt lava. The cave has a squarish plan, houses a colossal image of the Buddha in preaching pose flanked by bodhisattvas and celestial nymphs hovering above. It consists, of a verandah, a hypostylar hall, sanctum with an antechamber and a series of unfinished cells. This monastery is the largest among the Ajanta caves and it measures nearly (35m × 28m). The door frame is exquisitely sculpted flanking to the right is carved Bodhisattva as reliever of Eight Great Perils. The rear wall of the verandah contains the panel of litany of Avalokiteśvara. The cave's ceiling collapse likely affected its overall plan, caused it being left incomplete. Only the Buddha's statue and the major sculptures were completed, and except for what the sponsor considered most important elements all other elements inside the cave were never painted. Cave 5 Cave 5, an unfinished excavation, was planned as a monastery (10.32 × 16.8 m). Cave 5 is devoid of sculpture and architectural elements except the door frame. The ornate carvings on the frame has female figures with mythical makara creatures found in ancient and medieval-era Indian arts. The cave's construction was likely initiated about 465 CE but abandoned because the rock has geological flaws. The construction was resumed in 475 CE after Asmakas restarted work at the Ajanta caves, but abandoned again as the artists and sponsor redesigned and focussed on an expanded Cave 6 that abuts Cave 5. Cave 6 Cave 6 is two-storey monastery (16.85 × 18.07 m). It consists of a sanctum, a hall on both levels. The lower level is pillared and has attached cells. The upper hall also has subsidiary cells. The sanctums on both level feature a Buddha in the teaching posture. Elsewhere, the Buddha is shown in different mudras. The lower level walls depict the Miracle of Sravasti and the Temptation of Mara legends. Only the lower floor of cave 6 was finished. The unfinished upper floor of cave 6 has many private votive sculptures, and a shrine Buddha. The lower level of Cave 6 likely was the earliest excavation in the second stage of construction. This stage marked the Mahayana theme and Vakataka renaissance period of Ajanta reconstruction that started about four centuries after the earlier Hinayana theme construction. The upper storey was not envisioned in the beginning, it was added as an afterthought, likely around the time when the architects and artists abandoned further work on the geologically-flawed rock of Cave 5 immediately next to it. Both lower and upper Cave 6 show crude experimentation and construction errors. The cave work was most likely in progress between 460 and 470 CE, and it is the first that shows attendant Bodhisattvas. The upper cave construction probably began in 465, progressed swiftly, and much deeper into the rock than the lower level. The walls and sanctum's door frame of the both levels are intricately carved. These show themes such as makaras and other mythical creatures, apsaras, elephants in different stages of activity, females in waving or welcoming gesture. The upper level of Cave 6 is significant in that it shows a devotee in a kneeling posture at the Buddha's feet, an indication of devotional worship practices by the 5th century. The colossal Buddha of the shrine has an elaborate throne back, but was hastily finished in 477/478 CE, when king Harisena died. The shrine antechamber of the cave features an unfinished sculptural group of the Six Buddhas of the Past, of which only five statues were carved. This idea may have been influenced from those in Bagh Caves of Madhya Pradesh. Cave 7 Cave 7 is also a monastery (15.55 × 31.25 m) but a single storey. It consists of a sanctum, a hall with octagonal pillars, and eight small rooms for monks. The sanctum Buddha is shown in preaching posture. There are many art panels narrating Buddhist themes, including those of the Buddha with Nagamuchalinda and Miracle of Sravasti. Cave 7 has a grand facade with two porticos. The veranda has eight pillars of two types. One has an octagonal base with amalaka and lotus capital. The other lacks a distinctly shaped base, features an octagonal shaft instead with a plain capital. The veranda opens into an antechamber. On the left side in this antechamber are seated or standing sculptures such as those of 25 carved seated Buddhas in various postures and facial expressions, while on the right side are 58 seated Buddha reliefs in different postures, all placed on lotus. These Buddhas and others on the inner walls of the antechamber are a sculptural depiction of the Miracle of Sravasti in Buddhist theology. The bottom row shows two Nagas (serpents with hoods) holding the blooming lotus stalk. The antechamber leads to the sanctum through a door frame. On this frame are carved two females standing on makaras (mythical sea creatures). Inside the sanctum is the Buddha sitting on a lion throne in cross legged posture, surrounded by other Bodhisattva figures, two attendants with chauris and flying apsaras above. Perhaps because of faults in the rock, Cave 7 was never taken very deep into the cliff. It consists only of the two porticos and a shrine room with antechamber, with no central hall. Some cells were fitted in. The cave artwork likely underwent revisions and refurbishments over time. The first version was complete by about 469 CE, the myriad Buddhas added and painted a few years later between 476 and 478 CE. Cave 8 Cave 8 is another unfinished monastery (15.24 × 24.64 m). For many decades in the 20th-century, this cave was used as a storage and generator room. It is at the river level with easy access, relatively lower than other caves, and according to Archaeological Survey of India it is possibly one of the earliest monasteries. Much of its front is damaged, likely from a landslide. The cave excavation proved difficult and probably abandoned after a geological fault consisting of a mineral layer proved disruptive to stable carvings. Spink, in contrast, states that Cave 8 is perhaps the earliest cave from the second period, its shrine an "afterthought". It may well be the oldest Mahayana monastery excavated in India, according to Spink. The statue may have been loose rather than carved from the living rock, as it has now vanished. The cave was painted, but only traces remain. Cave 9 Caves 9 and 10 are the two chaitya or worship halls from the 2nd to 1st century BCE – the first period of construction, though both were reworked upon the end of the second period of construction in the 5th century CE. Cave 9 (18.24 m × 8.04 m) is smaller than Cave 10 (30.5 m × 12.2 m), but more complex. This has led Spink to the view that Cave 10 was perhaps originally of the 1st century BCE, and cave 9 about a hundred years later. The small "shrinelets" called caves 9A to 9D and 10A also date from the second period. These were commissioned by individuals. Cave 9 arch has remnant profile that suggests that it likely had wooden fittings. The cave has a distinct apsidal shape, nave, aisle and an apse with an icon, architecture, and plan that reminds one of the cathedrals built in Europe many centuries later. The aisle has a row of 23 pillars. The ceiling is vaulted. The stupa is at the center of the apse, with a circumambulation path around it. The stupa sits on a high cylindrical base. On the left wall of the cave are votaries approaching the stupa, which suggests a devotional tradition. According to Spink, the paintings in this cave, including the intrusive standing Buddhas on the pillars, were added in the 5th century. Above the pillars and also behind the stupa are colorful paintings of the Buddha with Padmapani and Vajrapani next to him, they wear jewels and necklaces, while yogis, citizens and Buddhist bhikshu are shown approaching the Buddha with garlands and offerings, with men wearing dhoti and turbans wrapped around their heads. On the walls are friezes of Jataka tales, but likely from the Hinayana phase of early construction. Some of the panels and reliefs inside as well as outside Cave 10 do not make narrative sense, but are related to Buddhist legends. This lack of narrative flow may be because these were added by different monks and official donors in the 5th century wherever empty space was available. This devotionalism and the worship hall character of this cave is the likely reason why four additional shrinelets 9A, 9B, 9C, and 9D were added between Cave 9 and 10. Cave 10 Cave 10, a vast prayer hall or Chaitya, is dated to about the 1st century BCE, together with the nearby vihara cave No 12. These two caves are thus among the earliest of the Ajanta complex. It has a large central apsidal hall with a row of 39 octagonal pillars, a nave separating its aisle and stupa at the end for worship. The stupa has a pradakshina patha (circumambulatory path). This cave is significant because its scale confirms the influence of Buddhism in South Asia by the 1st century BCE and its continued though declining influence in India through the 5th century CE. Further, the cave includes a number of inscriptions where parts of the cave are "gifts of prasada" by different individuals, which in turn suggests that the cave was sponsored as a community effort rather than a single king or one elite official. Cave 10 is also historically important because in April 1819, a British Army officer John Smith saw its arch and introduced his discovery to the attention of the Western audience. Chronology Several others caves were also built in Western India around the same period under royal sponsorship. It is thought that the chronology of these early Chaitya Caves is as follows: first Cave 9 at Kondivite Caves and then Cave 12 at the Bhaja Caves, which both predate Cave 10 of Ajanta. Then, after Cave 10 of Ajanta, in chronological order: Cave 3 at Pitalkhora, Cave 1 at Kondana Caves, Cave 9 at Ajanta, which, with its more ornate designs, may have been built about a century later, Cave 18 at Nasik Caves, and Cave 7 at Bedse Caves, to finally culminate with the "final perfection" of the Great Chaitya at Karla Caves. Inscription Cave 10 features a Sanskrit inscription in Brahmi script that is archaeologically important. The inscription is the oldest of the Ajanta site, the Brahmi letters being paleographically dated to circa the 2nd century BCE. It reads: Paintings The paintings in cave 10 include some surviving from the early period, many from an incomplete programme of modernisation in the second period, and a very large number of smaller late intrusive images for votive purposes, around the 479–480 CE, nearly all Buddhas and many with donor inscriptions from individuals. These mostly avoided over-painting the "official" programme and after the best positions were used up are tucked away in less prominent positions not yet painted; the total of these (including those now lost) was probably over 300, and the hands of many different artists are visible. The paintings are numerous and from two periods, many narrating the Jataka tales in a clockwise sequence. Both Hinayana and Mahayana stage paintings are discernable, though the former are more faded and begrimed with early centuries of Hinayana worship. Of interest here is the Saddanta Jataka tale – the fable about six tusked elephant, and the Shyama Jataka – the story about the man who dedicates his life serving his blind parents. According to Stella Kramrisch, the oldest layer of the Cave 10 paintings date from about 100 BCE, and the principles behind their composition are analogous to those from the same era at Sanchi and Amaravati. Caves 11 Cave 11 is a monastery (19.87 × 17.35 m) from the later 5th century. The cave veranda has pillars with octagonal shafts and square bases. The ceiling of the veranda shows evidence of floral designs and eroded reliefs. Only the center panel is discernible wherein the Buddha is seen with votaries lining up to pray before him. Inside, the cave consists of a hall with a long rock bench opening into six rooms. Similar stone benches are found in Nasik Caves. Another pillared verandah ends in a sanctum with seated Buddha against an incomplete stupa, and has four cells. The cave has a few paintings showing Bodhisattvas and the Buddha. Of these, the Padmapani, a couple gathered to pray, a pair of peafowl, and a female figure painting have survived in the best condition. The sanctum of this cave may be among the last structures built at Ajanta because it features a circumambulation path around the seated Buddha. Caves 12 According to Archaeological Survey of India (ASI), Cave 12 is an early stage Hinayana (Theravada) monastery (14.9 × 17.82 m) from the 2nd to 1st century BCE. Spink however only dates it to the 1st century BCE. The cave is damaged with its front wall completely collapsed. Its three sides inside have twelve cells, each with two stone beds. Cave 13 Cave 13 is another small monastery from the early period, consisting of a hall with seven cells, each also with two stone beds, all carved out of the rock. Each cell has rock-cut beds for the monks. In contrast to ASI's estimate, Gupte and Mahajan date both these caves about two to three centuries later, between 1st and 2nd-century CE. Cave 14 Cave 14 is another unfinished monastery (13.43 × 19.28 m) but carved above Cave 13. The entrance door frame shows sala bhanjikas. Cave 15 Cave 15 is a more complete monastery (19.62 × 15.98 m) with evidence that it had paintings. The cave consists of an eight-celled hall ending in a sanctum, an antechamber and a verandah with pillars. The reliefs show the Buddha, while the sanctum Buddha is shown seated in the Simhasana posture. Cave 15 door frame has carvings of pigeons eating grain. Cave 15A Cave 15A is the smallest cave with a hall and one cell on each side. Its entrance is just to the right of the elephant-decorated entrance to Cave 16. It is an ancient Hinayana cave with three cells opening around a minuscule central hall. The doors are decorated with a rail and arch pattern. It had an inscription in an ancient script, which has been lost. Cave 16 Cave 16 occupies a prime position near the middle of site, and was sponsored by Varahadeva, minister of Vakataka king Harishena (r. c. 475 – c. 500 CE). He devoted it to the community of monks, with an inscription that expresses his wish, may "the entire world (...) enter that peaceful and noble state free from sorrow and disease" and affirming his devotion to the Buddhist faith: "regarding the sacred law as his only companion, (he was) extremely devoted to the Buddha, the teacher of the world". He was, states Spink, probably someone who revered both the Buddha and the Hindu gods, as he proclaims his Hindu heritage in an inscription in the nearby Ghatotkacha Cave. The 7th-century Chinese traveler Xuan Zang described the cave as the entrance to the site. Cave 16 (19.5 m × 22.25 m × 4.6 m) influenced the architecture of the entire site. Spink and other scholars call it the "crucial cave" that helps trace the chronology of the second and closing stages of the entire cave's complex construction. Cave 16 is a Mahayana monastery and has the standard arrangement of a main doorway, two windows, and two aisle doorways. The veranda of this monastery is 19.5 m × 3 m, while the main hall is almost a perfect square with 19.5 m side. The paintings in Cave 16 are numerous. Narratives include various Jataka tales such as Hasti, Mahaummagga and the Sutasoma fables. Other frescos depict the conversion of Nanda, miracle of Sravasti, Sujata's offering, Asita's visit, the dream of Maya, the Trapusha and Bhallika story, and the ploughing festival. The Hasti Jataka frescos tell the story of a Bodhisattva elephant who learns of a large group of people starving, then tells them to go below a cliff where they could find food. The elephant proceeds to sacrifice himself by jumping off that cliff thereby becoming food so that the people can survive. These frescos are found immediately to the left of entrance, in the front corridor and the narrative follows a clockwise direction. The Mahaummagga Jataka frescos are found on the left wall of the corridor, which narrates the story of a child Bodhisattva. Thereafter, in the left corridor is the legend surrounding the conversion of Nanda – the half brother of the Buddha. The story depicted is one of the two major versions of the Nanda legend in the Buddhist tradition, one where Nanda wants to lead a sensuous life with the girl he had just wed and the Buddha takes him to heaven and later hell to show the spiritual dangers of a sensual life. After the Nanda-related frescos, the cave presents Manushi Buddhas, followed by flying votaries with offerings to worship the Buddha and the Buddha seated in teaching asana and dharma chakra mudra. The right wall of the corridor show the scenes from the life of the Buddha. These include Sujata offering food to the Buddha with a begging bowl in white dress, Tapussa and Bhalluka next to the Buddha after they offering wheat and honey to the Buddha as monk, the future Buddha sitting alone under a tree, and the Buddha at a ploughing festival. One mural shows Buddha's parents trying to dissuade him from becoming a monk. Another shows the Buddha at the palace surrounded by men in dhoti and women in sari as his behavior presents the four signs that he is likely to renounce. On this side of the corridor are also paintings that show the future Buddha as a baby with sage Asita with rishi-like looks. According to Spink, some of the Cave 16 paintings were left incomplete. Cave 17 Cave 17 (34.5 m × 25.63 m) along with Cave 16 with two great stone elephants at the entrance and Cave 26 with sleeping Buddha, were some of the many caves sponsored by the Hindu Vakataka prime minister Varahadeva. Cave 17 had additional donors such as the local king Upendragupta, as evidenced by the inscription therein. The cave features a large and most sophisticated vihara design, along with some of the best-preserved and well-known paintings of all the caves. While Cave 16 is known for depicting the life stories of the Buddha, the Cave 17 paintings has attracted much attention for extolling human virtues by narrating the Jataka tales. The narration includes attention to details and a realism which Stella Kramrisch calls "lavish elegance" accomplished by efficient craftsmen. The ancient artists, states Kramrisch, tried to show wind passing over a crop by showing it bending in waves, and a similar profusion of rhythmic sequences that unroll story after story, visually presenting the metaphysical. The Cave 17 monastery includes a colonnaded porch, a number of pillars each with a distinct style, a peristyle design for the interior hall, a shrine antechamber located deep in the cave, larger windows and doors for more light, along with extensive integrated carvings of Indian gods and goddesses. The hall of this monastery is a square, with 20 pillars. The grand scale of the carving also introduced errors of taking out too much rock to shape the walls, states Spink, which led to the cave being splayed out toward the rear. Cave 17 has one long inscription by king Upendragupta, in which he explains that he has "expended abundant wealth" on building this vihara, bringing much satisfaction to the devotees. Altogether, Upendragupta is known to have sponsored at least 5 of the caves in Ajanta. He may have spent too much wealth on religious pursuits however, as he was ultimately defeated by the attacks of the Asmaka. Cave 17 has thirty major murals. The paintings of Cave 17 depict Buddha in various forms and postures – Vipasyi, Sikhi, Visvbhu, Krakuchchanda, Kanakamuni, Kashyapa and Sakyamuni. Also depicted are Avalokitesvara, the story of Udayin and Gupta, the story of Nalagiri, the Wheel of life, a panel celebrating various ancient Indian musicians and a panel that tells of Prince Simhala's expedition to Sri Lanka. The narrative frescos depict the various Jataka tales such as the Shaddanta, Hasti, Hamsa, Vessantara, Sutasoma, Mahakapi (in two versions), Sarabhamiga, Machchha, Matiposaka, Shyama, Mahisha, Valahassa, Sibi, Ruru and Nigrodamiga Jatakas. The depictions weave in the norms of the early 1st millennium culture and the society. They show themes as diverse as a shipwreck, a princess applying makeup, lovers in scenes of dalliance, and a wine drinking scene of a couple with the woman and man amorously seated. Some frescos attempt to show the key characters from various parts of a Jataka tale by co-depicting animals and attendants in the same scene. Cave 18 Cave 18 is a small rectangular space (3.38 × 11.66 m) with two octagonal pillars and it joins into another cell. Its role is unclear. Cave 19 (5th century CE) Cave 19 is a worship hall (chaitya griha, 16.05 × 7.09 m) datable to the fifth century CE. The hall shows painted Buddha, depicted in different postures. This worship hall is now visited through what was previously a carved room. The presence of this room before the hall suggests that the original plan included a mandala style courtyard for devotees to gather and wait, an entrance and facade to this courtyard, all of whose ruins are now lost to history. Cave 19 is one of the caves known for its sculpture. It includes Naga figures with a serpent canopy protecting the Buddha, similar to those found for spiritual icons in the ancient Jain and Hindu traditions. It includes Yaksha dvarapala
the Multai and Sangaloda plates), from late 7th or early 8th century. It is the last inscription in Ajanta. Cave 27 Cave 27 is a monastery and may have been planned as an attachment to Cave 26. Its two storeys are damaged, with the upper level partially collapsed. Its plan is similar to other monasteries. Cave 28 Cave 28 is an unfinished monastery, partially excavated, at the westernmost end of the Ajanta complex and barely accessible. Cave 29 Cave 29 an unfinished monastery at the highest level of the Ajanta complex, apparently unnoticed when the initial numbering system was established, and physically located between Caves 20 and 21. Cave 30 In 1956, a landslide covered the footpath leading to Cave 16. In the attempts to clear and restore the walkway, a small aperture and votive stupa were noticed in the debris by the workers, in a location near the stream bed. Further tracing and excavations led to a previously unknown Hinayana monastery cave dated to the 2nd and 1st century BCE. Cave 30 may actually be the oldest cave of the Ajanta complex. It is a 3.66 m × 3.66 m cave with three cells, each with two stone beds and stone pillows on the side of each cell. The cell door lintels show lotus and garland carvings. The cave has two inscriptions in an unknown script. It also has a platform on its veranda with a fine view of the river ravine below and the forest cover. According to Gupte and Mahajan, this cave may have been closed at some point with large carefully carved pieces as it distracted the entrance view of Cave 16. Other infrastructure Over 80% of the Ajanta caves were vihara (temporary traveler residences, monasteries). The designers and artisans who built these caves included facilities for collecting donations and storing grains and food for the visitors and monks. Many of the caves include large repositories cut into the floor. The largest storage spaces are found, states Spink, in the "very commodious recesses in the shrines of both Ajanta Cave Lower 6 and Cave 11". These caves were probably chosen because of their relative convenience and the security they offered due to their higher level. The choice of integrating covered vaults cut into the floor may have been driven by the need to provide sleeping space and logistical ease. Recent excavations A burnt-brick vihara monastery facing the caves on the right bank of the river Waghora has been recently excavated. It has a number of cells facing a central courtyard, in which a stupa was established. A coin of the Western Satraps ruler Visvasena (ruled 293–304 CE) as well as a gold coin of the Byzantine Emperor Theodosius II (ruled 402-450 CE) were found in the excavations, giving further numismatic confirmation for the dating of the caves. A terracotta plaque of Mahishasuramardini was also found, which was possibly under worship by the artisans. Copies of the paintings The paintings have deteriorated significantly since they were rediscovered, and a number of 19th-century copies and drawings are important for a complete understanding of the works. A number of attempts to copy the Ajanta paintings began in the 19th century for European and Japanese museums. Some of these works have later been lost in natural and fire disasters. In 1846 for example, Major Robert Gill, an Army officer from Madras Presidency and a painter, was appointed by the Royal Asiatic Society to make copies of the frescos on the cave walls. Gill worked on his painting at the site from 1844 to 1863. He made 27 copies of large sections of murals, but all but four were destroyed in a fire at the Crystal Palace in London in 1866, where they were on display. Gill returned to the site, and recommenced his labours, replicating the murals until his death in 1875. Another attempt was made in 1872 when the Bombay Presidency commissioned John Griffiths to work with his students to make copies of Ajanta paintings, again for shipping to England. They worked on this for thirteen years and some 300 canvases were produced, many of which were displayed at the Imperial Institute on Exhibition Road in London, one of the forerunners of the Victoria and Albert Museum. But in 1885 another fire destroyed over a hundred of the paintings in storage in a wing of the museum. The V&A still has 166 paintings surviving from both sets, though none have been on permanent display since 1955. The largest are some . A conservation project was undertaken on about half of them in 2006, also involving the University of Northumbria. Griffith and his students had unfortunately painted many of the paintings with "cheap varnish" in order to make them easier to see, which has added to the deterioration of the originals, as has, according to Spink and others, recent cleaning by the ASI. A further set of copies were made between 1909 and 1911 by Christiana Herringham (Lady Herringham) and a group of students from the Calcutta School of Art that included the future Indian Modernist painter Nandalal Bose. The copies were published in full colour as the first publication of London's fledgling India Society. More than the earlier copies, these aimed to fill in holes and damage to recreate the original condition rather than record the state of the paintings as she was seeing them. According to one writer, unlike the paintings created by her predecessors Griffiths and Gill, whose copies were influenced by British Victorian styles of painting, those of the Herringham expedition preferred an 'Indian Renascence' aesthetic of the type pioneered by Abanindranath Tagore. Early photographic surveys were made by Robert Gill, whose photos, including some using stereoscopy, were used in books by him and Fergusson (many are available online from the British Library), then Victor Goloubew in 1911 and E.L. Vassey, who took the photos in the four volume study of the caves by Ghulam Yazdani (published 1930–1955). Some slightly creative copies of Ajanta frescos, especially the painting of the Adoration of the Buddha from the shrine antechamber of Cave 17, were commissioned by Thomas Holbein Hendley (1847–1917) for the decoration of the walls of the hall of the Albert Hall Museum, Jaipur, India. He had the work painted by a local artist variously named Murli or Murali. The museum was opened to the public in 1887. This work is otherwise presented as characteristic of the end of the 19th century. Another attempt to make copies of the murals was made by the Japanese artist Arai Kampō (荒井寛方:1878–1945) after being invited by Rabindranath Tagore to India to teach Japanese painting techniques. He worked on making copies with tracings on Japanese paper from 1916 to 1918 and his work was conserved at Tokyo Imperial University until the materials perished during the 1923 Great Kantō earthquake. Significance Natives, society and culture in the arts at Ajanta The Ajanta cave arts are a window into the culture, society and religiosity of the native population of India between the 2nd century BCE and 5th century CE. Different scholars have variously interpreted them from the perspective of gender studies, history, sociology, and the anthropology of South Asia. The dress, the jewelry, the gender relations, the social activities depicted showcase at least a lifestyle of the royalty and elite, and in others definitely the costumes of the common man, monks and rishi depicted therein. They shine "light on life in India" around mid 1st millennium CE. The Ajanta artworks provide a contrast between the spiritual life of monks who had given up all materialistic possessions versus the sensual life of those it considered materialistic, luxurious, symbols of wealth, leisurely and high fashion. Many frescos show scenes from shops, festivals, jesters at processions, palaces and performance art pavilions. These friezes share themes and details of those found in Bharhut, Sanchi, Amaravati, Ellora, Bagh, Aihole, Badami and other archaeological sites in India. Ajanta caves contributes to visual and descriptive sense of the ancient and early medieval Indian culture and artistic traditions, particularly those around the Gupta Empire era period. The early colonial era description of Ajanta caves was largely orientalist and critical, inconsistent with the Victorian values and stereotyping. According to William Dalrymple, the themes and arts in the Ajanta caves were puzzling to the 19th-century Orientalists. Lacking the Asian cultural heritage and framework that sees "nothing odd in the juxtaposition of monk and dancing girl", and with no knowledge of Jataka Tales or equivalent Indian fables, they could not comprehend it. They projected their own views and assumptions, calling it something that lacks reason and rationale, something that is meaningless crude representation of royalty and foreigners with mysticism and sensuousness. The 19th-century views and interpretations of the Ajanta Caves were conditioned by ideas and assumptions in the colonial mind, saw what they wanted to see. To many who are unaware of the premises of Indian religions in general, and Buddhism in particular, the significance of Ajanta Caves has been like rest of Indian art. According to Richard Cohen, Ajanta Caves to them has been yet another example of "worship this stock, or that stone, or monstrous idol". In contrast, to the Indian mind and the larger Buddhist community, it is everything that art ought to be, the religious and the secular, the spiritual and the social fused to enlightened perfection. According to Walter Spink – one of the most respected Art historians on Ajanta, these caves were by 475 CE a much-revered site to the Indians, with throngs of "travelers, pilgrims, monks and traders". The site was vastly transformed into its current form in just 20 years, between early 460 CE to early 480 CE, by regional architects and artisans. This accomplishment, states Spink, makes Ajanta, "one of the most remarkable creative achievements in man's history". Foreigners in the paintings of Ajanta The Ajanta Caves painting are a significant source of socio-economic information in ancient India, particularly in relation to the interactions of India with foreign cultures at the time most of the paintings were made, in the 5th century CE. According to Indian historian Haroon Khan Sherwani: "The paintings at Ajanta clearly demonstrate the cosmopolitan character of Buddhism, which opened its way to men of all races, Greek, Persian, Saka, Pahlava, Kushan and Huna". Depictions of foreigners abound: according to Spink, "Ajanta’s paintings are filled with such foreign types." They have sometimes been a source of misinterpretation as in the so-called "Persian Embassy Scene". These foreigners may reflect the Sassanian merchants, visitors and the flourishing trade routes of the day. The so-called "Persian Embassy Scene" Cave 1, for example, shows a mural fresco with characters with foreigner faces or dresses, the so-called "Persian Embassy Scene". This scene is located at the right of the entrance door upon entering the hall. According to Spink, James Fergusson, a 19th-century architectural historian, had decided that this scene corresponded to the Persian ambassador in 625 CE to the court of the Hindu Chalukya king Pulakeshin II. An alternate theory has been that the fresco represents a Hindu ambassador visiting the Persian king Khusrau II in 625 CE, a theory that Fergusson disagreed with. These assumptions by colonial British era art historians, state Spink and other scholars, has been responsible for wrongly dating this painting to the 7th century, when in fact this reflects an incomplete Harisena-era painting of a Jataka tale (the Mahasudarsana jataka, in which the enthroned king is actually the Buddha in one of his previous lives as King) with the representation of trade between India and distant lands such as Sassanian near East that was common by the 5th century. International trade, growth of Buddhism Cave 1 has several frescos with characters with foreigners' faces or dresses. Similar depictions are found in the paintings of Cave 17. Such murals, states Pia Brancaccio, suggest a prosperous and multicultural society in 5th-century India active in international trade. These also suggest that this trade was economically important enough to the Deccan region that the artists chose to include it with precision. Additional evidence of international trade includes the use of the blue lapis lazuli pigment to depict foreigners in the Ajanta paintings, which must have been imported from Afghanistan or Iran. It also suggests, states Branacaccio, that the Buddhist monastic world was closely connected with trading guilds and the court culture in this period. A small number of scenes show foreigners drinking wine in Caves 1 and 2. Some show foreign Near East kings with wine and their retinue which presumably add to the "general regal emphasis" of the cave. According to Brancaccio, the Ajanta paintings show a variety of colorful, delicate textiles and women making cotton. Textile probably was one of the major exports to foreign lands, along with gems. These were exported first through the Red Sea, and later through the Persian Gulf, thereby bringing a period of economic and cultural exchange between the Indians, the Sasanian Empire and the Persian merchants before Islam was founded in the Arabian peninsula. While scholars generally agree that these murals confirm trade and cultural connections between India and Sassanian west, their specific significance and interpretation varies. Brancaccio, for example, suggests that the ship and jars in them probably reflect foreign ships carrying wine imported to India. In contrast, Schlinghoff interprets the jars to be holding water, and ships shown as Indian ships used in international trade. Similar depictions are found in the paintings of Cave 17, but this time in direct relation to the worship of the Buddha. In Cave 17, a painting of the Buddha descending from the Trayastrimsa Heaven shows he being attended by many foreigners. Many foreigners in this painting are thus shown as listeners to the Buddhist Dharma. The ethnic diversity is depicted in the painting in the clothes (kaftans, Sasanian helmets, round caps), hairdos and skin colors. In the Visvantara Jataka of Cave 17, according to Brancaccio, the scene probably shows a servant from Central Asia holding a foreign metal ewer, while a dark-complexioned servant holds a cup to an amorous couple. In another painting in Cave 17, relating to the conversion of Nanda, a man possibly from northeast Africa appears as a servant. These representations show, states Brancaccio, that the artists were familiar with people of Sogdia, Central Asia, Persia and possibly East Africa. Another hypothesis is offered by Upadhya, who states that the artists who built Ajanta caves "very probably included foreigners". Impact on later painting and other arts The Ajanta paintings, or more likely the general style they come from, influenced painting in Tibet and Sri Lanka. Some influences from Ajanta have also suggested in the Kizil Caves of the Tarim Basin, in particular in early caves such as the Peacock Cave. The rediscovery of ancient Indian paintings at Ajanta provided Indian artists with examples from ancient India to follow. Nandalal Bose experimented with techniques to follow the ancient style which allowed him to develop his unique style. Abanindranath Tagore and Syed Thajudeen also used the Ajanta paintings for inspiration. Anna Pavlova's ballet Ajanta's Frescoes was inspired by her visit to Ajanta, choreographed by Ivan Clustine, with music by Nikolai Tcherepnin (one report says Mikhail Fokine in 1923). and premiered at Covent Garden in 1923. Jewish American poet Muriel Rukeyser wrote about the caves in "Ajanta," the opening poem of her third collection Beast in View (1944). Rukeyser was inspired in part by writings on the caves by artist Mukul Dey in 1925 and art historian Stella Kramrisch in 1937. See also Barabar Caves Dambulla cave temple Notes References Bibliography "ASI": Archaeological Survey of India website, with a concise entry on the Caves, accessed 20 October 2010 Burgess, James and Fergusson J. Cave Temples of India. (London: W.H. Allen & Co., 1880. Delhi: Munshiram Manoharlal Publishers, 2005). Burgess, James and Indraji, Bhagwanlal. Inscriptions from the Cave Temples of Western India, Archaeological Survey of Western India, Memoirs, 10 (Bombay: Government Central Press, 1881). Burgess, James. Buddhist Cave Temples and Their Inscriptions, Archaeological Survey of Western India, 4 (London: Trubner & Co., 1883; Varanasi: Indological Book House, 1964). Burgess, James. "Notes on the Bauddha Rock Temples of Ajanta, Their Paintings and Sculptures," Archaeological Survey of Western India, 9 (Bombay: Government Central Press, 1879). Behl, Benoy K. The Ajanta Caves (London: Thames & Hudson, 1998. New York: Harry N. Abrams, 1998). . Cohen, Richard S. "Nāga, Yaksinī, Buddha: Local Deities and Local Buddhism at Ajanta," History of Religions. 37/4 (May 1998): 360–400. Cohen, Richard S. "Problems in the Writing of Ajanta’s History: The Epigraphic Evidence," Indo-Iranian Journal. 40/2 (April 1997): 125–48. Cohen, Richard S. Setting the Three Jewels: The Complex Culture of Buddhism at the Ajanta Caves. A PhD dissertation (Asian Languages and Cultures: Buddhist Studies, University of Michigan, 1995). Cowell, E.B. The Jataka, I-VI (Cambridge: Cambridge, 1895; reprint, 1907). Dhavalikar, M.K. Late Hinayana Caves of Western India (Pune: 1984). Griffiths, J. Paintings in the Buddhist Cave Temples of Ajanta, 2 vols. (London: 1896–1897). Halder, Asit Kumar. "AJANTA" Edited and annotated by Prasenjit Dasgupta and Soumen Paul, with a foreword by Gautam Halder LALMATI. Kolkata. 2009 Kramrisch, Stella. A Survey of Painting in the Deccan (Calcutta and London: The India Society in co-operation with the Dept. of Archaeology, 1937). Reproduced: "Ajanta," Exploring India’s Sacred Art: Selected Writings of Stella Kramrisch, ed. Miller, Barbara Stoler (Philadelphia: University of Pennsylvania Press: 1983), pp. 273–307; reprint (New Delhi: Indira Gandhi National Centre for the Arts, 1994), pp. 273–307. Majumdar, R.C. and A.S. Altekar, eds. The Vakataka-Gupta Age. New History of Indian People Series, VI (Benares: Motilal Banarasidass, 1946; reprint, Delhi: 1960). Mirashi, V.V. "Historical Evidence in Dandin’s Dasakumaracharita," Annals of the Bhandarkar Oriental Research Institute, 24 (1945), 20ff. Reproduced: Studies in Indology, 1 (Nagpur: Vidarbha Samshodhan Mandal, 1960), pp. 164–77. Mirashi, V.V. Inscription of the Vakatakas. Corpus Inscriptionum Indicarum Series, 5 (Ootacamund: Government Epigraphist for India, 1963). Mirashi, V.V. The Ghatotkacha Cave Inscriptions with a Note on Ghatotkacha Cave Temples by Srinivasachar, P. (Hyderabad: Archaeological Department, 1952). Mirashi, V.V. Vakataka inscription in Cave XVI at Ajanta. Hyderabad Archaeological Series, 14 (Calcutta: Baptist mission Press for the Archaeological Department of His Highness the Nizam's Dominions, 1941). Mitra, Debala. Ajanta, 8th ed. (Delhi: Archaeological Survey of India, 1980). Nagaraju, S. Buddhist Architecture of Western India (Delhi: 1981) Parimoo, Ratan; et al. The Art of Ajanta: New Perspectives, 2 vols (New Delhi: Books & Books, 1991). Schlingloff, Dieter. Guide to the Ajanta Paintings, vol. 1; Narrative Wall Paintings (Delhi: Munshiram Manoharlal Publishers Pvt. Ltd., 1999) Schlingloff, Dieter. Studies in the Ajanta Paintings: Identifications and Interpretations (New Delhi: 1987). Shastri, Ajay Mitra, ed. The Age of the Vakatakas (New Delhi: Harman, 1992). Singh, Rajesh Kumar. An Introduction to the Ajanta Caves (Baroda: Hari Sena Press, 2012). Singh, Rajesh Kumar. 'The Early Development of the Cave 26-Complex at Ajanta,’ South Asian Studies (London: March 2012), vol. 28, No. 1, pp. 37–68. Singh, Rajesh Kumar. 'Buddhabhadra’s Dedicatory Inscription at Ajanta: A Review,’ in Pratnakirti: Recent Studies in Indian Epigraphy, History, Archaeology, and Art, 2 vols, Professor Shrinivas S. Ritti Felicitation volume, ed. by Shriniwas V. Padigar and Shivanand V (Delhi: Agam Kala Prakashan, 2012), vol. 1, pp. 34–46. Singh, Rajesh Kumar, et al. Ajanta: Digital Encyclopaedia [CD-Rom] (New Delhi: Indira Gandhi National Centre for Arts, 2005). Singh, Rajesh Kumar. "Enumerating the Sailagrhas of Ajanta," Journal of the Asiatic Society of Mumbai 82, 2009: 122–26. Singh, Rajesh Kumar. "Ajanta: Cave 8 Revisited," Jnana-Pravah Research Journal 12, 2009: 68–80. Singh, Rajesh Kumar. "Some Problems in Fixing the Date of Ajanta Caves," Kala, the Journal of Indian Art History Congress 17, 2008: 69–85. Spink, Walter M. "A Reconstruction of Events related to the development of Vakataka caves," C.S. Sivaramamurti felicitation volume, ed. M.S. Nagaraja Rao (New Delhi: 1987). Spink, Walter M. "Ajanta’s Chronology: Cave 1’s Patronage," Chhavi 2, ed. Krishna, Anand (Benares: Bharat Kala Bhawan, 1981), pp. 144–57. Spink, Walter M. "Ajanta’s Chronology: Cave 7’s Twice-born Buddha," Studies in Buddhist Art of South Asia, ed. Narain, A.K. (New Delhi: 1985), pp. 103–16. Spink, Walter M. "Ajanta’s Chronology: Politics and Patronage," Kaladarsana, ed. Williams, Joanna (New Delhi: 1981), pp. 109–26. Spink, Walter M. "Ajanta’s Chronology: The Crucial Cave," Ars Orientalis, 10 (1975), pp. 143–169. Spink, Walter M. "Ajanta’s Chronology: The Problem of Cave 11," Ars Orientalis, 7 (1968), pp. 155–168. Spink, Walter M. "Ajanta’s Paintings: A Checklist for their Dating," Dimensions of Indian Art, Pupul Jayakar Felicitation Volume, ed. Chandra, Lokesh; and Jain, Jyotindra (Delhi: Agam Kala Prakashan, 1987), p. 457. Spink, Walter M. "Notes on Buddha Images," The Art of Ajanta: New Perspectives, vol. 2, ed. Parimoo, Ratan, et al. (New Delhi: Books & Books, 1991), pp. 213–41. Spink, Walter M. "The Achievement of Ajanta," The Age of the Vakatakas, ed. Shastri, Ajaya Mitra (New Delhi: Harman Publishing House, 1992), pp. 177–202. Spink, Walter M. "The Vakataka’s Flowering and Fall," The Art of Ajanta: New Perspectives, vol. 2, ed. Parimoo, Ratan, et al. (New Delhi: Books & Books, 1991), pp. 71–99. Spink, Walter M. "The Archaeology of Ajanta," Ars Orientalis, 21, pp. 67–94. Weiner, Sheila L. Ajanta: Its Place in Buddhist Art (Berkeley and Los Angeles: University of California Press, 1977). Yazdani, Gulam. Ajanta: the Colour and Monochrome Reproductions of the Ajanta Frescos Based on Photography, 4 vols. (London: Oxford University Press, 1930 [31?], 1955). Yazdani, Gulam. The Early History of the Deccan, Parts 7–9 (Oxford: 1960). Zin, Monika. Guide to the Ajanta Paintings, vol.
oldest hill fort in India. It stands, with precipitous surroundings, at a height of 2,855 ft. above sea-level, and between 1,300 and 1,400 ft. above the valley at its base; and it is partially enclosed by a wall some 20 feet thick and as many high, built of huge blocks of stone, cut and squared and are about in circumference. This hill fort guarding Ajmer, was the seat of the Chauhan rulers. It was built by King Ajaypal Chauhan on the summit of Taragarh Hill and overlooks Ajmer. The battlements run along the top of the hill. When it fell to the British Raj, the fort was dismantled on the orders of Lord William Bentinck in 1832 and was converted into a sanatorium for the British troops stationed at the garrison town of Nasirabad. Within it stands the shrine of a Muhammadan saint, Saiyid Husain, known as the Ganj Shahldan.In the older city, lying in the valley beneath the Taragarh hill and now abandoned, the Nur-chashma, a garden-house used by the Mughals, still remains, as also a water-lift commenced by Maldeo Rathor, to raise water to the Taragarh citadel. Ajmer Sharif Dargah: It is a shrine of Khwaja Moinuddin Chishti which is situated at the foot of the Taragarh hill, and consists of several white marble buildings arranged around two courtyards, including a massive gate donated by the Nizam of Hyderabad, and the Akbari Mosque, built by the Mughal emperor Shah Jahan and containing the domed tomb of the saint. Akbar and his queen used to come here by foot every year on pilgrimage from Agra in observance of a vow when he prayed for a son. The large pillars called "Kose ('Mile') Minars" (Kos Minar), erected at intervals of about along the entire way between Agra and Ajmer mark the places where the royal pilgrims halted every day, they are also seen today, one such is near private bus station in Ajmer City. About 125,000 pilgrims visit the site every day. The Urs of Khwaja Moinuddin Chishti is celebrated every year on the 6th and 7th of Rajab. Tomb of Khwaja Husain Ajmeri: Khwaja Husain Ajmeri also known as Shaikh Husain Ajmeri, he was a Grandson of Khwaja Moinuddin Chishty of Ajmer from the line of Khwaja Fakhruddin's son Khwaja Husamuddin Jigar Sokhta, he was SajjadaNasheen and Mutwalli of Ajmer Dargah before and the time of Emperor Akbar and Emperor Jahangir, his tomb situated near Sola Khamba (Tomb of Khwaja Alauddin another grandson of Khwaja Moinuddin Chishty of Ajmer), Behind Shahjahani Mosque Dargar Sharif Ajmer, he was leave the world in the year 1619-20 his tomb build in the year 1637–38. Soni Ji Ki Nasiyaan : It is architecturally rich Jain temple built in the late nineteenth century whose main chamber Swarna Nagari "City of Gold", has prominent depiction of Ayodhya made from 1000 kg of gold. Mayo College: The college was founded in 1875 at the suggestion of Lord Mayo as a college where the sons of chiefs and nobles might receive an education to fit them for their high positions and important duties. It was known as "Indian Eton", as a number of Indian princes studied in this college. The main building, in white marble, is a classic example of Indo-Saracenic architecture. In front of the college is memorial marble statue of Lord Mayo. The boarding-houses are arranged in the form of a horseshoe, with the college in the centre of the base. Some of the Native States built boarding-houses, while the Government of India presented the college park, comprising 167 acres and formerly the site of the old Residency, and erected the main building, the residences of the principal and vice-principal, and the Ajmer boarding- house. It provided the salaries of the English staff. The foundation-stone of the college was laid in 1878, and the building was opened by the Marquis of Dufferin in 1885. John Lockwood Kipling, father of Nobel Laureate, Rudyard Kipling, had been principal of Mayo College. Akbari Fort & Museum: The city's museum was once the residence of Prince Salīm, the son of the Emperor Akbar, and presently houses a collection of Mughal and Rajput armour and sculpture. This is a magnificent example of Mughal architecture, construction of which was commissioned by Akbar in 1570. This is where Salim, as the Emperor Jahangir, read out the firman permitting the British East India Company to trade with India. It is a massive square building, with lofty octagonal bastions at each corner. It was the headquarters of the administration in their time and in that of the Marathas. It was here that the emperors appeared in state, and that, as recorded by Sir Thomas Roe, criminals were publicly executed. The interior was used as a magazine during the British occupation until 1857; and the central building, used as a tahsil office. With the fort, the outer city walls, of the same period, are connected. These surround the city and are pierced by the Delhi, Madar, Usri, Agra, and Tirpolia gates. Nareli Jain Temple: is a Jain temple complex of fourteen temples recently built. It is known for its architecture and intricate stone carvings which gives it both a traditional and contemporary look. Ana Sagar Lake: This is an historic man-made lake built by Maharaja Anaji (1135–1150 CE). By the lake is the Daulat Bagh, a garden laid out by Emperor Jahangir. Emperor Shah Jahan later added five pavilions, known as the Baradari, between the garden and the lake embankment of the Ana Sagar supports the beautiful marble pavilions erected as pleasure-houses by Shah Jahan. The embankment, moreover, contains the - site of the former hammam (bath-room). Three of the five pavilions were at one time formed into residences
residence to Ajmer. A later text Prabandha-Kosha states that it was the 8th-century king Ajayaraja I who commissioned the Ajayameru fort, which later came to be known as the Taragarh fort of Ajmer. According to historian R. B. Singh, this claim appears to be true, as inscriptions dated to the 8th century CE have been found at Ajmer. Singh theorizes that Ajayaraja II later expanded the town area, constructed palaces, and moved the Chahamana capital from Shakambhari to Ajmer. In 1193, Ajmer was annexed by the Mamluks of the Delhi Sultanate, and later was returned to Rajput rulers under condition of tribute. In 1556, Ajmer came under the Mughal Empire after being conquered by Mughal Emperor Akbar. It was made the capital of the eponymous Ajmer Subah. The city enjoyed special favour under the Mughals, who made frequent pilgrimages to the city to visit the dargah of Moinuddin Chishti. The city was also used as a military base for campaigns against Rajput rulers, and on a number of occasions became the site of celebration when a campaign bore success. Mughal Emperors and their nobles made generous donations to the city, and endowed it with constructions such as Akbar's palace and pavilions along the Ana Sagar. Their most prominent building activities were in the dargah and its vicinity. Jahanara Begum and Dara Shikoh, children of Shah Jahan, were both born in the city in 1614 and 1615 respectively. Mughal patronage of the city had waned by the beginning of the 18th century. In 1771, the Scindias conquered the city, and in 1818, the British gained authority over the city. Colonial-era Ajmer served as the headquarters of the Ajmer-Merwara Province and possessed a Central jail, a large General Hospital, and two smaller hospitals according to Gazetteer, 1908. It was the headquarters of a native regiment and of a Railway Volunteer corps. From the 1900s, the United Free Church of Scotland, the church of England, the Roman Catholics, and the American Episcopal Methodists have mission establishments here. At that time there were twelve printing presses in the city, from which eight weekly newspapers were published. At the time of Independence Ajmer continued as a separate state with its own legislature until its merger with erstwhile Rajputana province then called Rajasthan. The Legislature of Ajmer State was housed in the building which now houses T. T. College. It had 30 MLAs, and Haribhau Upadhyay was the first chief minister of the erstwhile state, with Bhagirath Chaudhary as the first Vidhan Sabha speaker. In 1956, after acceptance of the proposal by Fazil Ali, Ajmer was merged into Rajasthan to form Ajmer District with the addition of Kishangarh sub-division of Jaipur district. Other Names A gujarati historic Novel named Gujaratno Jay written by Zaverchand Meghani, based on various Jain Prabandhas, describes the city as sapādalakṣaṇa (સપાદલક્ષણ). Geography Ajmer is in the northwest of India and is surrounded by the Aravali Mountains. It is situated on the lower slopes of the Taragarh Hill of that range. To the northwest is the Nagapathar Range of the Aravali Mountain Ranges which protects it from desertification from the Thar Desert. Climate Ajmer has a hot, semi-arid climate with over of rain every year, but most of the rain occurs in the monsoon months, between June and September. Temperatures remain relatively high throughout the year, with the summer months of April to early July having an average daily temperature of about . During the monsoon there is frequent heavy rain and thunderstorms, but flooding is not a common occurrence. The winter months of November to February are mild and temperate with average temperatures ranging from with little or no humidity. There are, however, occasional cold weather fronts that cause temperatures to fall to near freezing levels. Transportation Air The Kishangarh Airport is the nearest airport. It is 25 km from Ajmer city. The Ajmer Airport ground breaking ceremony was done by then Prime Minister of India Dr. Manmohan Singh in 2012. The airport was finally completed and inaugurated by then Union Minister of State for Civil Aviation Jayant Sinha and Chief Minister Vasundhara Raje on 11 October 2017. The Airport is operational since then and regular flights to/from Delhi, Mumbai, Hyderabad, Ahmedabad, Indore and Surat are currently available. The airport is now amongst main and busy airports of Rajasthan. Currently SpiceJet and Star Air operate from Ajmer Airport on daily basis. Kishangarh Airport, Ajmer is being managed and operated by Airport Authority of India (AAI). The Jaipur International Airport which is 135 km from Ajmer is the nearest International Airport. Rail The Ajmer Junction is the main railway station situated in the city. and was built during colonial times. Tourism Pushkar: Located few kilometres from Ajmer, is an important tourist and pilgrimage destination and a satellite town of Ajmer city. It is famous for Pushkar Lake and the 14th century Brahma Temple at Pushkar, dedicated to Brahmā, according to the Padma Purāņa, Pushkar is important pilgrimage site for Lord Brahmā. Around the world, Lord Brahma Temple is only situated at Pushkar Lake, Rajasthan, India. Manibandh or Chamunda Mata Mandir(Temple): is one among the 108 Shakti Peeth at Gayatri hills near Pushkar, 11 km from Ajmer. People know this temple as Chamunda Mata Temple. It takes 14 minutes to travel from Pushkar Lake to Chamunda Mata Mandir (about 5–6 km) Taragarh Fort: It is reputed to be the oldest hill fort in India. It stands, with precipitous surroundings, at
The clouds which strike Kathiawar and Kutch are deprived of a great deal of their moisture by the hills in those countries (now the majority of this region is in Gujarat state within independent India), and the greater part of the remainder is deposited on Mount Abu and the higher slopes of the Aravalli Range, leaving but little for Merwara, where the hills are lower, and still less for Ajmer. It is only when the monsoon is in considerable force that Merwara gets a plentiful supply from it. The north-eastern monsoon sweeps up the valley of the Ganges from the Bay of Bengal and waters the northern part of Rajasthan, but hardly penetrates farther west than the longitude of Ajmer. The rainfall of the district depends on the varying strength of these two monsoons. The agriculturist of Ajmer-Merwara could never rely upon two good harvests in succession. British rule Part of the Ajmer region, the territory of the future province was ceded to the British by Daulat Rao Sindhia of Gwalior State as part of a treaty dated 25 June 1818. Then in May 1823 the Merwara (Mewar) part was ceded to Britain by Udaipur State. Thereafter Ajmer-Merwara was administered directly by the British East India Company. After the Indian Mutiny of 1857, in 1858 the powers of the company were transferred to the British Crown and the Governor-General of India. His administration of Ajmer-Merwara was controlled by a chief commissioner who was subordinate to the British agent for the Rajputana Agency. Superintendents for Ajmer 9 Jul 181817 Jul 1818 Nixon 18 Jul 181815 Dec 1824 Francis Boyle Shannon Wilder (1785–1849) 16 Dec 182421 Apr 1825 Richard Moore (1st time) 22 Apr 182523 Oct 1827 Henry Middleton 24 Oct 182728 Nov 1831 Richard Cavendish 29 Nov 18311 Jul 1832 Richard Moore (2nd time) 2 Jul 183216 Apr 1834 Alexander Speirs 17 Apr 183430 Jun 1836 George Frederick Edmonstone (1813–1864) 1 Jul 183625 Jul 1837 Charles E. Trevelyan (1807–1886) 26 Jul 1837Feb 1842 J.D. Macnaghten Superintendents for Merwara (from Feb 1842, Ajmer-Merwara) 18231836 Henry Hall (1789–1875) 18361857 Charles George Dixon (died 1857) Agents of the Governors-general for the Rajputana agency 183229 Nov 1833 Abraham Lockett (1781–1834) 29 Nov 1833Jun 1834 Alexander Speirs Jun 18341 Feb 1839 Nathaniel Alves 1 Feb 18391839 John Ludlow (acting) (1788–1880) Apr 1839Dec 1847 James Sutherland (died 1848) Jan 1844Oct 1846 Charles Thoresby (died 1862) (acting for Sutherland) Dec 1847Jan 1853 John Low (1788–1880) 25 Jun 184819 Nov 1848 Showers (acting for Low) 8 Sep 18511 Dec 1851 D.A. Malcolm (acting for Low) 18521853 George St. Patrick Lawrence (1804–1884) (1st time) 5 Mar 1853Feb 1857 Henry Montgomery Lawrence (1806–1857) 15 Mar 1857Apr 1864 George St. Patrick Lawrence (s.a.) (2nd time) 10 Apr 185924 Nov 1860 William Frederick Eden (1814–1867) (acting for Lawrence) Apr 18641867 William Frederick Eden (s.a.) 18671870 Richard Harte Keatinge (1825–1904) 15 Jun 18701 Apr 1871 John Cheap Brooke (1818–1899) (acting for Keatinge) Chief Commissioners 1 Apr 187121 Jun 1873 Richard Harte Keatinge
the remainder is deposited on Mount Abu and the higher slopes of the Aravalli Range, leaving but little for Merwara, where the hills are lower, and still less for Ajmer. It is only when the monsoon is in considerable force that Merwara gets a plentiful supply from it. The north-eastern monsoon sweeps up the valley of the Ganges from the Bay of Bengal and waters the northern part of Rajasthan, but hardly penetrates farther west than the longitude of Ajmer. The rainfall of the district depends on the varying strength of these two monsoons. The agriculturist of Ajmer-Merwara could never rely upon two good harvests in succession. British rule Part of the Ajmer region, the territory of the future province was ceded to the British by Daulat Rao Sindhia of Gwalior State as part of a treaty dated 25 June 1818. Then in May 1823 the Merwara (Mewar) part was ceded to Britain by Udaipur State. Thereafter Ajmer-Merwara was administered directly by the British East India Company. After the Indian Mutiny of 1857, in 1858 the powers of the company were transferred to the British Crown and the Governor-General of India. His administration of Ajmer-Merwara was controlled by a chief commissioner who was subordinate to the British agent for the Rajputana Agency. Superintendents for Ajmer 9 Jul 181817 Jul 1818 Nixon 18 Jul 181815 Dec 1824 Francis Boyle Shannon Wilder (1785–1849) 16 Dec 182421 Apr 1825 Richard Moore (1st time) 22 Apr 182523 Oct 1827 Henry Middleton 24 Oct 182728 Nov 1831 Richard Cavendish 29 Nov 18311 Jul 1832 Richard Moore (2nd time) 2 Jul 183216 Apr 1834 Alexander Speirs 17 Apr 183430 Jun 1836 George Frederick Edmonstone (1813–1864) 1 Jul 183625 Jul 1837 Charles E. Trevelyan (1807–1886) 26 Jul 1837Feb 1842 J.D. Macnaghten Superintendents for Merwara (from Feb 1842, Ajmer-Merwara) 18231836 Henry Hall (1789–1875) 18361857 Charles George Dixon (died 1857) Agents of the Governors-general for the Rajputana agency 183229 Nov 1833 Abraham Lockett (1781–1834) 29 Nov 1833Jun 1834 Alexander Speirs Jun 18341 Feb 1839 Nathaniel Alves 1 Feb 18391839 John Ludlow (acting) (1788–1880) Apr 1839Dec 1847 James Sutherland (died 1848) Jan 1844Oct 1846 Charles Thoresby (died 1862) (acting for Sutherland) Dec 1847Jan 1853 John Low (1788–1880) 25 Jun 184819 Nov 1848 Showers (acting for Low) 8 Sep 18511 Dec 1851 D.A. Malcolm (acting for Low) 18521853 George St. Patrick Lawrence (1804–1884) (1st time) 5 Mar 1853Feb 1857 Henry Montgomery Lawrence (1806–1857) 15 Mar 1857Apr 1864 George St. Patrick Lawrence (s.a.) (2nd time) 10 Apr 185924 Nov 1860 William Frederick Eden (1814–1867) (acting for Lawrence) Apr 18641867 William Frederick Eden (s.a.) 18671870 Richard Harte Keatinge (1825–1904) 15 Jun 18701 Apr 1871 John Cheap Brooke (1818–1899) (acting for Keatinge) Chief Commissioners 1 Apr 187121 Jun 1873 Richard Harte Keatinge (s.a.) 1 Apr 187121 Jun 1873 John Cheape Brooke (s.a.) (acting for Keatinge) 21 Jun 18736 Apr 1874 Sir Lewis Pelly (1st time) (1825–1892) (acting to 6 Feb 1874) 6 Apr 18746 Jul 1874 William H. Beynon (acting) (1903) 6 Jul 187412 Nov 1874 Sir Lewis Pelly (2nd time) (s.a.) 12 Nov 187418 Aug 1876 Alfred Comyns Lyall (acting) (1835–1911) 18 Aug 18765 Mar 1877 Charles Kenneth Mackenzie Walter (1833–1892) (1st time)(acting) 5 Mar 187712 Dec 1878 Sir Lewis Pelly (3rd time) (s.a.) 12 Dec 187827 Mar 1887 Edward Ridley Colborne Bradford (1836–1911) (1st time) 17 Mar 188128 Nov 1882 Charles Kenneth Mackenzie Walter (s.a.) (2nd time) (acting) 28 Nov 188227 Mar 1887 Edward Ridley Colborne Bradford (s.a.) (2nd time) 27 Mar 188720 Mar 1890 Charles Kenneth Mackenzie Walter (1833–1892) (3rd time)(acting to 1 Apr 1887) 20 Mar 189027 Aug 1891 George Herbert Trevor (1st time) (1840–1927) 27 Aug 18912 Dec 1891 P.W. Powlett (acting) 2 Dec 189122 Nov 1893 George Herbert Trevor (2nd time) (s.a.) 22 Nov 189311 Jan 1894 William Francis Prideaux (acting) (1840–1914) 11 Jan 189520 Mar 1895 George Herbert Trevor (3rd time) (s.a.) 20 Mar 189510 Mar 1898 Robert Joseph Crosthwaite (1841–1917) 10 Mar 18981 May 1900 Arthur Henry Temple Martindale (1854–1942) (1st time) 1 May 19001 Apr 1901 William Hutt Curzon Wyllie (acting)(1848–1909) 1 Apr 19013 Feb 1902 A.P. Thornton (acting) 3 Feb 19021 Apr 1905 Arthur Henry Temple Martindale